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At least 757 records · Page 42Linked to original sources

Petrography, mineralogy, and geochemistry of deep gravelly sands in the Eyreville B core, Chesapeake Bay impact structure

The ICDP–USGS Eyreville drill cores in the Chesapeake Bay impact structure reached a total depth of 1766 m and comprise (from the bottom upwards) basement-derived schists and granites/pegmatites, impact breccias, mostly poorly lithified gravelly sand and crystalline blocks, a granitic slab, sedimentary breccias, and postimpact sediments. The gravelly sand and crystalline block section forms an approximately 26 m thick interval that includes an amphibolite block and boulders of cataclastic gneiss and suevite. Three gravelly sands (basal, middle, and upper) are distinguished within this interval. The gravelly sands are poorly sorted, clast supported, and generally massive, but crude size-sorting and subtle, discontinuous layers occur locally. Quartz and K-feldspar are the main sand-size minerals and smectite and kaolinite are the principal clay minerals. Other mineral grains occur only in accessory amounts and lithic clasts are sparse (only a few vol%). The gravelly sands are silica rich (~80 wt% SiO 2 ). Trends with depth include a slight decrease in SiO 2 and slight increase in Fe 2 O 3 . The basal gravelly sand (below the cataclasite boulder) has a lower SiO 2 content, less K-feldspar, and more mica than the higher sands, and it contains more lithic clasts and melt particles that are probably reworked from the underlying suevite. The middle gravelly sand (below the amphibolite block) is finer-grained, contains more abundant clay minerals, and displays more variable chemical compositions than upper gravelly sand (above the block). Our mineralogical and geochemical results suggest that the gravelly sands are avalanche deposits derived probably from the nonmarine Potomac Formation in the lower part of the target sediment layer, in contrast to polymict diamictons higher in the core that have been interpreted as ocean-resurge debris flows, which is in agreement with previous interpretations. The mineralogy and geochemistry of the gravelly sands are typical for a passive continental margin source. There is no discernible mixing with marine sediments (no glauconite or Paleogene marine microfossils noted) during the impact remobilization and redeposition. The unshocked amphibolite block and cataclasite boulder might have originated from the outer parts of the transient crater.

Virginia↗

Operational considerations for implementing regional sediment management plans in the northern Gulf of Mexico

Development of a comprehensive and stakeholder-driven Regional Sediment Management plan can provide the basis for long-term sustainable resource use and protection. This paper highlights three operational components that can positively influence sediment management at a regional scale, including (1) integration of an operational sediment budget, (2) development of a monitoring and adaptive management plan, and (3) development of a regional sediment availability and allocation program. These components seek to incorporate science and adaptive management through implementation of an organized and well-documented decision making process. They represent a coordinated framework that could serve as a guide for unifying financial investments in regional sediment management plans. Collectively, they establish an integrated process for addressing uncertainties about future system change in light of shrinking federal and state budgets, competing demands for sediment resources within riverine and marine waters, and policy considerations related to sediment/water use (e.g., navigation and commerce versus environmental management).

Conference Paper↗

Science partnership between U.S. Geological Survey and the Lower Elwha Klallam Tribe—Understanding the Elwha River Dam Removal Project

After nearly a century of producing power, two large hydroelectric dams on the Elwha River in Washington State were removed during 2011 to 2014 to restore the river ecosystem and recover imperiled salmon populations. Roughly two-thirds of the 21 million cubic meters of sediment—enough to fill nearly 2 million dump trucks—contained behind the dams was released downstream, which restored natural processes and initiated important changes to the river, estuarine, and marine ecosystems. A multidisciplinary team of scientists from the Lower Elwha Klallam Tribe, academia, non-governmental organizations, Federal and state agencies, and the U.S. Geological Survey collected key data before, during, and after dam removal to understand the outcomes of this historic project on the Elwha River ecosystem.

Washington↗

The Pacific Islands Climate Science Center five-year science agenda, 2014-2018

From the heights of Mauna Kea on Hawaiʻi Island to the depths of the Mariana Trench, from densely populated cities to sparse rural indigenous communities and uninhabited sandy atolls, the Pacific region encompasses diverse associations of peoples and places that are directly affected by changes to the atmosphere, ocean, and land. The peoples of the Pacific are among the first to observe and experience the effects of global climatic changes. Because the Pacific region is predominantly composed of vast ocean expanses punctuated only by small, isolated emergent islands and atolls, marine processes are critical factors in the region’s climate systems, and their impacts occur here to a greater degree than in continental regions. Rates of sea-level rise in the region during the modern altimetry period exceed the global rate, with the highest increases occurring in the western North Pacific (Cazenave and Llovel, 2010; Nerem and others, 2010; Timmermann and others, 2010). The ocean has also warmed during this period. Since the 1970s, sea-surface temperature has increased at a rate of 0.13 to 0.41 °F (0.07 to 0.23 °C) per decade, depending on the location (Keener and others, 2012a). Ocean chemistry has changed during this period as well, with surface pH having dropped by 0.1 pH units (Feely and others, 2009; Doney and others, 2012). Over the past century, air temperature has increased throughout the Pacific region. In Hawaiʻi, average temperatures increased by 0.08 °F per decade during the period 1919 to 2006, and in recent years, the rate of increase has been accelerating, particularly at high elevations (Giambelluca and others, 2008). In the western North Pacific, temperatures also increased over the past 60 years (Lander and Guard, 2003; Lander, 2004; Lander and Khosrowpanah, 2004; Kruk and others, 2013), with a concurrent warming trend in the central South Pacific since the 1950s (Australian Bureau of Meteorology and CSIRO, 2011).

Hawai'i↗

Characterizing the oral and distal gut microbiota of the threatened southern sea otter (Enhydra lutris nereis) to enhance conservation practice

The southern sea otter ( Enhydra lutris nereis ) is a threatened sub-species in coastal ecosystems. To understand better the role of diet, monitor health, and enhance management of this and other marine mammal species, we characterized the oral (gingival) and distal gut (rectal and fecal) microbiota of 158 wild southern sea otters living off the coast of central California, USA, and 12 captive sea otters, some of which were included in a diet shift experiment. We found that the sea otter fecal microbiota was distinct from that of three other otter species, and that captivity does not significantly alter the community structure of the sea otter gingival or distal gut microbiota. Metagenomic analysis unexpectedly revealed that the majority of sea otter fecal DNA is derived from prey, rather than from indigenous bacteria or host cells as with most other mammals. We speculate that a reduced bacterial biomass in the sea otter gut reflects rapid gut transit time and a particular strategy for foraging and energy harvest. This study establishes a reference for the healthy sea otter microbiota, highlights how a marine lifestyle may shape the mammalian microbiota, and may inform future health assessments and conservation management of sea otter populations.

California↗

Thorium-230 ages of corals and duration of the last interglacial sea-level high stand on Oahu, Hawaii

Thorium-230 ages of emergent marine deposits on Oahu, Hawaii, have a uniform distribution of ages from ∼114,000 to ∼131,000 years, indicating a duration for the last interglacial sea-level high stand of ∼17,000 years, in contrast to a duration of ∼8000 years inferred from the orbitally tuned marine oxygen isotope record. Sea level on Oahu rose to ≥1 to 2 meters higher than present by 131,000 years ago or ∼6000 years earlier than inferred from the marine record. Although the latter record suggests a shift back to glacial conditions beginning at ∼119,000 years ago, the Oahu coral ages indicate a near present sea level until ∼114,000 years ago.

Hawaii↗

A deep water turbidity origin for the Altuda Formation (Capitanian, Permian), Northwest Glass Mountains, Texas

The Altuda Formation (Capitanian) in the northwestern Glass Mountains is comprised of thin, even bedded limestones, dolostones, mixed clastic-carbonates, and silt/sandstones interbedded with basin-ward dipping wedge-shaped clinoforms of the Captian Limestone. The formation is characterized by graded bedding, planar laminations, flame structures, contorted/convolute bedding, horizontal branching burrows, and shelf-derived normal marine fauna. A detailed study of the Altuda Formation north of Old Blue Mountain, Glass Mountains, reveals that the formation in this area was deposited by turbidity currents in slope to basinal settings.

Texas↗

Comments to Middle Miocene closure of the Central American Seaway

In a recent paper proposing an early (mid-Miocene) closure of the Central American Seaway (CAS), Montes et al. 2015 (1) disregard existing paleogeographic data that invalidate Panama as a source for zircons, and inappropriately ignore the evidence for trans-isthmian marine connections until 4-3 Ma. They also fail to cite previous work (2, 3), that had reconstructed the Central American arc already docked with South America by 12 Ma. Montes et al. 2015 (1) (Fig. 1) disregard the Atrato-San Juan sedimentary basin (3), a shallowing Oligocene to Pliocene, Pacific to Caribbean seaway (3, 4, 5). This deep graben (6) is filled with thousands of meters of Pre-Pliocene marine sediments (3, 5, 6) that now occupy a lowland between the Baudo uplift to the west and the Western Cordillera to the east. The Mande Batholith and numerous Eocene and younger volcanic rocks (4), the most proximal source of the zircons, are situated to the east of this seaway and would have shed zircons eastward towards the Cordillera Central. There is no evidence for any rivers crossing the seaway (3, 5), and thus no Panamanian source of zircons. Instead this seaway is evidence of a significant marine connection between the Pacific and Atlantic oceans into the Pliocene. The authors assume that the middle Miocene closure of the CAS effectively creates a continuous land bridge connecting North and South America and separating the Atlantic from the Pacific. They acknowledge, but then discount, marine connections across the Isthmus until 4-3 Ma even though these satisfactorily explain (Coates and Stallard, 2014 (6)) the oceanographic, molecular and Great American Biological Interchange events ignore unexplained by Montes et al. 2015. Only by conspicuously ignoring these events can they imply that the Isthmus was formed at 15-13 Ma. References 1. C. Montes et al., Middle Miocene closure of the Central American Seaway. Science 348, 226-229 (2015). 2. A. G. Coates, R. F. Stallard, How old is the Isthmus of Panama? B Mar Sci 89, 801-813 (2013). 3. H. Duque-Caro, The Choco Block in the northwestern corner of South America: Structural, tectonostratigraphic, and paleogeographic implications. Journal of South American Earth Sciences 3, 71-84 (1990). 4. H. Duque-Caro, Neogene stratigraphy, paleoceanography and paleobiogeography in northwest South America and the evolution of the Panama Seaway. Pal

Science↗

Potential Environmental and Environmental-Health Implications of the SAFRR Tsunami Scenario in California: Chapter F in The SAFRR (Science Application for Risk Reduction) Tsunami Scenario

The California Tsunami Scenario models the impacts of a hypothetical, yet plausible, tsunami caused by an earthquake offshore from the Alaska Peninsula. In this chapter, we interpret plausible tsunami-related contamination, environmental impacts, potential for human exposures to contaminants and hazardous materials, and implications for remediation and recovery. Inundation-related damages to major ports, boat yards, and many marinas could release complex debris, crude oil, various fuel types and other petroleum products, some liquid bulk cargo and dry bulk cargo, and diverse other pollutants into nearby coastal marine environments and onshore in the inundation zone. Tsunami-induced erosion of contaminated harbor bottom sediments could re-expose previously sequestered metal and organic pollutants (for example, organotin or DDT). Inundation-related damage to many older buildings could produce debris containing lead paint, asbestos, pesticides, and other legacy contaminants. Intermingled household debris and externally derived debris and sediments would be left in flooded buildings. Post tsunami, mold would likely develop in inundated houses, buildings, and debris piles. Tsunamigenic fires in spilled oil, debris, cargo, vehicles, vegetation, and residential, commercial, or industrial buildings and their contents would produce potentially toxic gases and smoke, airborne ash, and residual ash/debris containing caustic alkali solids, metal toxicants, asbestos, and various organic toxicants. Inundation of and damage to wastewater treatment plants in many coastal cities could release raw sewage containing fecal solids, pathogens, and waste chemicals, as well as chemicals used to treat wastewaters. Tsunami-related physical damages, debris, and contamination could have short- and longer-term impacts on the environment and the health of coastal marine and terrestrial ecosystems. Marine habitats in intertidal zones, marshes, sloughs, and lagoons could be damaged by erosion or sedimentation, and could receive an influx of debris, metal and organic contaminants, and sewage-related pathogens. Debris and re-exposed contaminated sediments would be a source of sea- or rain-water-leachable metal and organic contaminants that could pose chronic toxicity threats to ecosystems. If human populations are successfully evacuated prior to the tsunami arrival, there would be no or limited numbers of drownings, other casualties, or related injuries, wounds, and infections. Immediately after the tsunami, human populations away from the inundation zone could be transiently exposed to airborne gases, smoke, and ash from tsunamigenic fires. Cleanup and disposal, particularly of hazardous materials, would pose substantial logistical challenges and economic costs. Given the high value of the coastal residential and commercial properties in the inundation zone, it can be postulated that there would be substantial insurance claims for environmental restoration, mold mitigation, disposal of debris that contains hazardous materials, and costs of litigation related to environmental liability. Post-tsunami cleanup, if done with appropriate mitigation (for example, dust control), personal protection, and disposal measures, would help reduce the potential for cleanup-worker and resident exposures to toxicants and pathogens in harbor waters, debris, soils, ponded waters, and buildings. A number of other steps can be taken by governments, businesses, and residents to help reduce the environmental impacts of tsunamis and to recover more quickly from these environmental impacts. For example, development of State and local policies that foster rapid assessment of potential contamination, as well as rapid decision making for disposal options should hazardous debris or sediment be identified, would help enhance recovery by speeding cleanup.

California↗

Coastal groundwater dynamics off Santa Barbara, California: combining geochemical tracers, electromagnetic seepmeters, and electrical resistivity

This paper presents repeat field measurements of 222 Rn and 223,224,226,228 Ra, electromagnetic seepage meter-derived advective fluxes, and multi-electrode, stationary and continuous marine resistivity surveys collected between November 2005 and April 2007 to study coastal groundwater dynamics within a marine beach in Santa Barbara, California. The study provides insight into magnitude and dynamics of submarine groundwater discharge (SGD) and associated nutrient loadings into near-shore coastal waters, where the predominant SGD drivers can be both spatially and temporally separated. Rn-222 and 223,224,226,228 Ra were utilized to quantify the total and saline contribution, respectively, of SGD. The two short-lived 224,223 Ra isotopes provided an estimate of apparent near-shore water mass age, as well as an estimate of the Ra-derived eddy diffusion coefficient, K h ( 224 Ra = 2.86 ± 0.7 m 2 s −1 ; 223 Ra = 1.32 ± 0.5 m 2 s −1 ). Because 222 Rn ( t ½ = 3.8 day) and 224 Ra ( t ½ = 3.66 day) have comparable half-lives and production terms, they were used in concert to examine respective water column removal rates. Electromagnetic seepage meters recorded the physical, bi-directional exchange across the sediment/water interface, which ranged from −6.7 to 14.5 cm day −1 , depending on the sampling period and position relative to the low tide line. Multi-day time-series 222 Rn measurements in the near-shore water column yielded total (saline + fresh) SGD rates that ranged from 3.1 ± 2.6 to 9.2 ± 0.8 cm day −1 , depending on the sampling season. Offshore 226 Ra ( t ½ = 1600 year) and 222 Rn gradients were used with the calculated K h values to determine seabed flux estimates (dpm m −2 day −1 ), which were then converted into SGD rates (7.1 and 7.9 cm day −1 , respectively). Lastly, SGD rates were used to calculate associated nutrient loads for the near-shore coastal waters off Santa Barbara. Depending on both the season and the SGD method utilized, the following SGD-derived nutrient inputs were computed (mol per day per meter of shoreline): NH 4 + = 0.06–0.29 mol day −1 m −1 ; SiO 4 = 0.22–0.29 mol day −1 m −1 ; PO 4 3− = 0.04–0.17 mol day −1 m −1 ; [NO 2 − + NO 3 − ] = 0–0.52 mol day −1 m −1 ; dissolved inorganic nitrogen (DIN) = 0.01–0.17 mol day −1 m −1 , and dissolved organic nitrogen (DON) = 0.08–0.09 mol day −1 m −1 . Compared to the ephemeral nature of fluvial and marine inputs into this region, such SGD-derived loadings can provide a sustained source of select nutrients to the coastal waters off Santa Barbara, California that should be accounted for in mass balance estimates.

California↗

Best practices for elevation-based assessments of sea-level rise and coastal flooding exposure

Elevation data are critical for assessments of sea-level rise (SLR) and coastal flooding exposure. Previous research has demonstrated that the quality of data used in elevation-based assessments must be well understood and applied to properly model potential impacts. The cumulative vertical uncertainty of the input elevation data substantially controls the minimum increments of SLR and the minimum planning horizons that can be effectively used in assessments. For regional, continental, or global assessments, several digital elevation models (DEMs) are available for the required topographic information to project potential impacts of increased coastal water levels, whether a simple inundation model is used or a more complex process-based or probabilistic model is employed. When properly characterized, the vertical accuracy of the DEM can be used to report assessment results with the uncertainty stated in terms of a specific confidence level or likelihood category. An accuracy evaluation has been conducted of global DEMs to quantify their inherent vertical uncertainty to demonstrate how accuracy information should be considered when planning and implementing a SLR or coastal flooding assessment. The evaluation approach includes comparison of the DEMs with high-accuracy geodetic control points as the independent reference data over a variety of coastal relief settings. The global DEMs evaluated include SRTM, ASTER GDEM, ALOS World 3D, TanDEM-X, NASADEM, and MERIT. High-resolution, high-accuracy DEM sources, such as airborne lidar and stereo imagery, are also included to give context to the results from the global DEMs. The accuracy characterization results show that current global DEMs are not adequate for high confidence mapping of exposure to fine increments (<1 m) of SLR or with shorter planning horizons (<100 years) and thus they should not be used for such mapping, but they are suitable for general delineation of low elevation coastal zones. In addition to the best practice of rigorous accounting for vertical uncertainty, other recommended procedures are presented for delineation of different types of impact areas (marine and groundwater inundation) and use of regional relative SLR scenarios. The requirement remains for a freely available, high-accuracy, high-resolution global elevation model that supports quantitative SLR and coastal inundation assessments at high confidence levels.

Frontiers in Earth Science↗

Benthic invertebrates and periphyton in the Elwha river basin: Current conditions and predicted response to dam removal

The impending removal of two dams on the Elwha River in Washington State offers a unique opportunity to study ecosystem restoration at a watershed scale. We examine how periphyton and benthic invertebrate assemblages vary across regulated and unregulated sections of the Elwha River and across different habitat types, and establish baseline data for tracking future changes following dam removal. We collected multiple years of data on physical habitat, water chemistry, periphyton, and benthic invertebrates from 52 sites on the Elwha River and a reference section on the Quinault River, a neighboring basin. We found that substrate in regulated river sections was coarser and less heterogeneous in size than in unregulated sections, and summer water temperature and specific conductivity higher. Periphyton biomass was also consistently higher in regulated than unregulated sections. Benthic invertebrate assemblage structure at sites above both dams was distinct from sites between and below the dams, due in large part to dominance of mayfly taxa compared to higher relative abundance of midges and non-insect taxa at downstream sites. Following dam removal, we anticipate that both periphyton and benthic invertebrate abundance and diversity will temporarily decrease between and below dams as a result of sediment released from behind the reservoirs. Over the long-term, increased floodplain heterogeneity and recolonization by anadromous fish will alter benthic invertebrate and periphyton assemblages via increases in niche diversity and inputs of marine-derived nutrients. The extended timeline predicted for Elwha River recovery and the complexities of forecasting ecological response highlights the need for more long-term assessments of dam removal and river restoration practices.

Northwest Science↗

U.S. Geological Survey, National Wildlife Health Center, 2011 report of selected wildlife diseases

The National Wildlife Health Center (NWHC) was founded in 1975 to provide technical assistance in identifying, controlling, and preventing wildlife losses from diseases, conduct research to understand the impact of diseases on wildlife populations, and devise methods to more effectively manage these disease threats. The impetus behind the creation of the NWHC was, in part, the catastrophic loss of tens of thousands of waterfowl as a result of an outbreak of duck plague at the Lake Andes National Wildlife Refuge in South Dakota during January 1973. In 1996, the NWHC, along with other Department of Interior research functions, was transferred from the U.S. Fish and Wildlife Service to the U.S. Geological Survey (USGS), where we remain one of many entities that provide the independent science that forms the bases of the sound management of the Nation’s natural resources. Our mission is to provide national leadership to safeguard wildlife and ecosystem health through dynamic partnerships and exceptional science. The main campus of the NWHC is located in Madison, Wis., where we maintain biological safety level 3 (BSL–3) diagnostic and research facilities purposefully designed for work with wildlife species. The NWHC provides research and technical assistance on wildlife health issues to State, Federal, and international agencies. In addition, since 1992 we have maintained a field station in Hawaii, the Honolulu Field Station, which focuses on marine and terrestrial natural resources throughout the Pacific region. The NWHC conducts diagnostic investigations of unusual wildlife morbidity and mortality events nationwide to detect the presence of wildlife pathogens and determine the cause of death. This is also an important activity for detecting new, emerging and resurging diseases. The NWHC provides this crucial information on the presence of wildlife diseases to wildlife managers to support sound management decisions. The data and information generated also allows for further indepth analyses for determining the biological and ecological significance of disease events, detecting disease trends over time and space, as well as detecting any significant changes to how diseases manifest in the field. Moreover, this information allows us to gain insight into the significance of future wildlife disease events. The purpose of this report is to provide a sample of NWHC data that are available from our Laboratory Information Management System (LIMS). These data are presented in summary format with minimal statistical analysis and interpretation. The goal is to share these data with wildlife managers and other stakeholders, promote the use of NHWC data, and encourage the sharing of wildlife disease data to improve temporal and geographic surveillance coverage. Continued national surveillance for wildlife diseases is essential for providing early detection and warning of events that have the potential to result in harm to human health, economic losses, declines in wildlife populations, and subsequent ecological disturbances. Increased collaboration, coordination, and sharing of surveillance data will enhance this Nation’s ability to detect and respond to wildlife disease threats.

Scientific Investigations Report↗

Eradication of peste des petits ruminants and the wildlife-livestock interface

Growing evidence suggests that multiple wildlife species can be infected with peste des petits ruminants virus (PPRV), with important consequences for the potential maintenance of PPRV in communities of susceptible hosts, and the threat that PPRV may pose to the conservation of wildlife populations and resilience of ecosystems. Significant knowledge gaps in the epidemiology of PPRV across the ruminant community (wildlife and domestic), and the understanding of infection in wildlife and other atypical host species groups (e.g., camelidae, suidae, and bovinae) hinder our ability to apply necessary integrated disease control and management interventions at the wildlife-livestock interface. Similarly, knowledge gaps limit the inclusion of wildlife in the FAO/OIE Global Strategy for the Control and Eradication of PPR, and the framework of activities in the PPR Global Eradication Programme that lays the foundation for eradicating PPR through national and regional efforts. This article reports on the first international meeting on, “Controlling PPR at the livestock-wildlife interface,” held in Rome, Italy, March 27–29, 2019. A large group representing national and international institutions discussed recent advances in our understanding of PPRV in wildlife, identified knowledge gaps and research priorities, and formulated recommendations. The need for a better understanding of PPRV epidemiology at the wildlife-livestock interface to support the integration of wildlife into PPR eradication efforts was highlighted by meeting participants along with the reminder that PPR eradication and wildlife conservation need not be viewed as competing priorities, but instead constitute two requisites of healthy socio-ecological systems.

Frontiers in Veterinary Science↗

A portal for the ocean biogeographic information system

Since its inception in 1999 the Ocean Biogeographic Information System (OBIS) has developed into an international science program as well as a globally distributed network of biogeographic databases. An OBIS portal at Rutgers University provides the links and functional interoperability among member database systems. Protocols and standards have been established to support effective communication between the portal and these functional units. The portal provides distributed data searching, a taxonomy name service, a GIS with access to relevant environmental data, biological modeling, and education modules for mariners, students, environmental managers, and scientists. The portal will integrate Census of Marine Life field projects, national data archives, and other functional modules, and provides for network-wide analyses and modeling tools.

Oceanologica Acta↗

Science to support aquatic animal health

Healthy aquatic ecosystems are home to a diversity of plants, invertebrates, fish and wildlife. Aquatic animal populations face unprecedented threats to their health and survival from climate change, water shortages, habitat alteration, invasive species and environmental contaminants. These environmental stressors can directly impact the prevalence and severity of disease in aquatic populations. For example, periodic fish kills in the upper Chesapeake Bay Watershed are associated with many different opportunistic pathogens that proliferate in stressed fish populations. An estimated 80 percent of endangered juvenile Puget Sound steelhead trout die within two weeks of entering the marine environment, and a role for disease in these losses is being investigated. The introduction of viral hemorrhagic septicemia virus (VHSV) into the Great Lakes—a fishery worth an estimated 7 billion dollars annually—resulted in widespread fish die-offs and virus detections in 28 different fish species. Millions of dying sea stars along the west coast of North America have led to investigations into sea star wasting disease. U.S. Geological Survey (USGS) scientists are assisting managers with these issues through ecological investigations of aquatic animal diseases, field surveillance, and research to promote the development of mitigation strategies.

Fact Sheet↗

Getting ocean acidification on decision makers' to-do lists: dissecting the process through case studies

Much of the detailed, incremental knowledge being generated by current scientific research on ocean acidification (OA) does not directly address the needs of decision makers, who are asking broad questions such as: Where will OA harm marine resources next? When will this happen? Who will be affected? And how much will it cost? In this review, we use a series of mainly US-based case studies to explore the needs of local to international-scale groups that are making decisions to address OA concerns. Decisions concerning OA have been made most naturally and easily when information needs were clearly defined and closely aligned with science outputs and initiatives. For decisions requiring more complex information, the process slows dramatically. Decision making about OA is greatly aided (1) when a mixture of specialists participates, including scientists, resource users and managers, and policy and law makers; (2) when goals can be clearly agreed upon at the beginning of the process; (3) when mixed groups of specialists plan and create translational documents explaining the likely outcomes of policy decisions on ecosystems and natural resources; (4) when regional work on OA fits into an existing set of priorities concerning climate or water quality; and (5) when decision making can be reviewed and enhanced.

Oceanography↗

Toxicity of atmospheric aerosols on marine phytoplankton

Atmospheric aerosol deposition is an important source of nutrients and trace metals to the open ocean that can enhance ocean productivity and carbon sequestration and thus influence atmospheric carbon dioxide concentrations and climate. Using aerosol samples from different back trajectories in incubation experiments with natural communities, we demonstrate that the response of phytoplankton growth to aerosol additions depends on specific components in aerosols and differs across phytoplankton species. Aerosol additions enhanced growth by releasing nitrogen and phosphorus, but not all aerosols stimulated growth. Toxic effects were observed with some aerosols, where the toxicity affected picoeukaryotes and Synechococcus but not Prochlorococcus.We suggest that the toxicity could be due to high copper concentrations in these aerosols and support this by laboratory copper toxicity tests preformed with Synechococcus cultures. However, it is possible that other elements present in the aerosols or unknown synergistic effects between these elements could have also contributed to the toxic effect. Anthropogenic emissions are increasing atmospheric copper deposition sharply, and based on coupled atmosphere-ocean calculations, we show that this deposition can potentially alter patterns of marine primary production and community structure in high aerosol, low chlorophyll areas, particularly in the Bay of Bengal and downwind of South and East Asia.

Proceedings of the National Academy of Sciences of↗