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At least 775 records · Page 43Linked to original sources

Bayesian nitrate source apportionment to individual groundwater wells in the Central Valley by use of elemental and isotopic tracers

Groundwater quality is a concern in alluvial aquifers that underlie agricultural areas, such as in the San Joaquin Valley of California. Shallow domestic wells (less than 150 m deep) in agricultural areas are often contaminated by nitrate. Agricultural and rural nitrate sources include dairy manure, synthetic fertilizers, and septic waste. Knowledge of the relative proportion that each of these sources contributes to nitrate concentration in individual wells can aid future regulatory and land management decisions. We show that nitrogen and oxygen isotopes of nitrate, boron isotopes, and iodine concentrations are a useful, novel combination of groundwater tracers to differentiate between manure, fertilizers, septic waste, and natural sources of nitrate. Furthermore, in this work, we develop a new Bayesian mixing model in which these isotopic and elemental tracers were used to estimate the probability distribution of the fractional contributions of manure, fertilizers, septic waste, and natural sources to the nitrate concentration found in an individual well. The approach was applied to 56 nitrate-impacted private domestic wells located in the San Joaquin Valley. Model analysis found that some domestic wells were clearly dominated by the manure source and suggests evidence for majority contributions from either the septic or fertilizer source for other wells. But, predictions of fractional contributions for septic and fertilizer sources were often of similar magnitude, perhaps because modeled uncertainty about the fraction of each was large. For validation of the Bayesian model, fractional estimates were compared to surrounding land use and estimated source contributions were broadly consistent with nearby land use types.

California↗

Temporal variability in stream fish assemblage metrics and implications for long-term monitoring

High natural variability in the condition of fish communities in headwater streams complicates detection of long-term responses to changes in water quality. As a result, little is known about the impacts and recovery of fishes from acid deposition in streams of New York. Twenty-one fish metrics from annual electrofishing surveys at 13 streams sites in the Catskill and Adirondack mountains were assessed to quantify temporal variability and identify effective monitoring strategies for detecting change in headwater stream fish assemblages. Metrics included the density and biomass of Brook Trout populations and entire fish communities using length-, area-, and effort-based standardization techniques. Linear mixed models were used to estimate changes in coefficients of variation (CV) for different classes of metrics and standardization techniques, and a simulation-based power analysis was conducted to assess differences in statistical power for each metric with various sampling designs. Metric CV varied significantly as a result of standardization technique and whether metrics were calculated for the entire community or Brook Trout only. The sampling effort necessary to detect a 30% change with power of 0.80 was strongly correlated with CV (R 2 = 0.77). The number of sampling events at the 13 sites needed to detect this change ranged from 1 to >60, suggesting metric selection can strongly affect statistical power and the resources necessary to detect change. Thus, metric selection is a complex decision that must consider study objectives and biological relevance, in addition to natural variability and statistical power. However, adequate statistical power was achieved at relatively small sample sizes using certain metrics, indicating that fish communities in headwater streams can be a valuable component of long-term assessments of acidification impacts and recovery.

New York↗

Sixty years of channel adjustments to dams in the two segments of the Missouri National Recreational River, South Dakota and Nebraska

The Missouri National Recreational River (MNRR) consists of two Missouri River segments managed by the National Park Service on the border of South Dakota and Nebraska. Both river segments are unchannelized and maintain much of their pre-dam channel form, but upstream dams have caused reductions in peak flow magnitudes and sediment supply. The 39-mile segment is located between Fort Randall and Gavins Point Dams, transitioning from a riverine process domain to a distributary delta process domain in the headwaters of Lewis and Clark Lake. The 59-mile segment, an entirely riverine process domain, is downstream from Gavins Point Dam, the most downstream main channel dam on the Missouri River, and upstream from a highly altered navigation channel extending more than 1,000 kilometers downstream to St. Louis, Missouri. The National Park Service seeks to preserve the outstandingly remarkable natural, cultural, and recreational values of the MNRR. There is a particular need to understand bank-erosion processes to guide management decisions related to bank-erosion controls. Changes in channel shape, as measured in topographic cross sections surveyed every 5–10 years since the mid-20th century, document bed incision (bed-elevation lowering) in riverine process domains, a mix of aggradation and incision in the delta, and aggradation in Lewis and Clark Lake. Channel incision is greatest in the 59-mile segment, where mean thalweg (deepest point in a cross section) incision is 3.5 meters, and net incision in the thalweg greater than 5 meters was observed at a cross section 93 kilometers downstream from Gavins Point Dam. Analysis of topographic cross sections also indicates that rates of bed-elevation change since 1960 were lowest in the 39-mile river segment and in Lewis and Clark Lake. Rates of bed-elevation change were higher in the delta and 59-mile segments but lower in cross sections near Gavins Point Dam where the channel is confined by bank revetment on both banks and the bed has coarsened substantially since completion of the dam. Several large floods in recent decades, including a post-dam record flood event in 2011, scoured the bed and deposited large high-elevation sandbars in both river segments, especially in the 59-mile segment. Analysis of topographic cross-sections indicates the 2011 flood event caused substantial erosion and deposition, low magnitude net incision in the river segments and delta, and considerable sediment aggradation in the lake. Surveys taken after the 2011 flood in the 59-mile segment indicate a trend of sediment rearrangement and channel recovery following large floods, with the highest parts of the bed, sandbars, eroding and lowering while sediment was deposited on the deepest parts of the channel, which increased in elevation. Inundation modeling results indicate that the narrower valley in the 39-mile segment results in a higher percentage of the flood plain being inundated by flooding relative to the 59-mile segment, which has a much wider valley. Likewise, bed incision in the 59-mile segment has increased channel capacity and resulted in a modern channel corridor inset into a higher flood-plain surface. The inset flood plain was inundated by the 2011 flood, but the pre-dam flood plain is rarely inundated. Analysis of channel boundaries over time indicates that pre-dam channel-migration rates were as much as five times larger than modern channel-migration rates in the 59-mile segment. Bank erosion in the 59-mile segment has primarily been into post-1894 channel deposits; bank-erosion rates are comparably very low in the 39-mile segment. Analysis of channel-migration zones indicates that most erosion is isolated to local hot spots and is used to establish predictions for 10 and 20 years into the future based on past movement rates in both MNRR segments. Long-term bed-elevation and planform trends indicate that rates of adjustment in the 59-mile segment are slowing and may be approaching a new equilibrium, but recent large floods and spatial variability contribute to considerable uncertainty. Additional monitoring of channel morphology would be needed to confirm trends observed in this analysis.

Nebraska, South Dakota↗

Regulating services as measures of ecological resilience on DoD lands

Knowledge of the capacity and flow of ecosystem services can help DoD land managers make decisions that enhance cost-effectiveness, minimize environmental damage, and maximize resources available for military missions. We demonstrated a methodology to quantify and map selected regulating services (RS), which helps land managers envision tradeoffs. Our objectives were to 1) estimate current capacity of and demand for selected RS within DoD lands, 2) examine the effects of future DoD land management and climate changes on the capacity and flow of these RS, and 3) project how land-use and climate changes in nearby lands affect future demand for RS. Our approach incorporates widely accepted models and equations, remote sensing, GIS analysis, and stakeholder involvement. Required data include land cover/use, soil type, precipitation, and air temperature. We integrated data into the a) Surface Curve Number Method and b) Revised Universal Soil Loss Equation to estimate capacity of sediment, nitrogen (N) and surface-water regulation. Capacities and flows of RS vary greatly across landscapes and are likely to vary as climate changes or development occurs. Analyses of RS capacity and flow can help managers and planners prioritize actions in the context of best management practices and compatible use buffers. Staff surveys indicated that our approach was informative and easy to use. Implementation may be most limited by on-installation personnel time.

Report↗

Methods to estimate distribution and range extent of grizzly bears in the Greater Yellowstone Ecosystem

The distribution of the Greater Yellowstone Ecosystem grizzly bear ( Ursus arctos ) population has expanded into areas unoccupied since the early 20th century. Up-to-date information on the area and extent of this distribution is crucial for federal, state, and tribal wildlife and land managers to make informed decisions regarding grizzly bear management. The most recent estimate of grizzly bear distribution (2004) utilized fixed-kernel density estimators to describe distribution. This method was complex and computationally time consuming and excluded observations of unmarked bears. Our objective was to develop a technique to estimate grizzly bear distribution that would allow for the use of all verified grizzly bear location data, as well as provide the simplicity to be updated more frequently. We placed all verified grizzly bear locations from all sources from 1990 to 2004 and 1990 to 2010 onto a 3-km × 3-km grid and used zonal analysis and ordinary kriging to develop a predicted surface of grizzly bear distribution. We compared the area and extent of the 2004 kriging surface with the previous 2004 effort and evaluated changes in grizzly bear distribution from 2004 to 2010. The 2004 kriging surface was 2.4% smaller than the previous fixed-kernel estimate, but more closely represented the data. Grizzly bear distribution increased 38.3% from 2004 to 2010, with most expansion in the northern and southern regions of the range. This technique can be used to provide a current estimate of grizzly bear distribution for management and conservation applications.

Wildlife Society Bulletin↗

Final data report for factors controlling DDE dechlorination rates on the Palos Verdes Shelf: A field and laboratory investigation

This data report provides a compilation of information developed over the last 6+ years by a multi-disciplinary, multi-institutional research team. The overall goal of this work has been to identify the biological, chemical, and physical factors that control rates of reductive dechlorination of DDE and DDMU in sediments of the Palos Verdes Shelf (PVS). More specific questions and objectives are delineated in the Scope of Work (section 12.1., Appendix 1). The study was composed of two parts: 1) field characterization studies, and 2) laboratory microcosm experiments. The goal of the field characterization studies was to define the conditions under which reductive dechlorination of DDE (and DDMU) is occurring in PVS sediments. This involved two separate cruises (2009, 2010) during which sediment cores, bottom water and other real-time field measurements (e.g., conductivity, temperature, depth of the water column) were acquired. The sediment cores were distributed among research team members for detailed chemical (R. Eganhouse, B. Orem, M. Reinhard), microbiological (A. Spormann), and physical (B. Edwards) analysis as well as for laboratory microcosm experiments (M. Reinhard). A team of collaborating USGS scientists generously contributed valuable information pertaining to geochronology (P. Swarzenski), the character of sedimentary geosorbent phases (P. Hackley), mineralogy (D. Webster), and grain-size characteristics (C. Sherwood) of PVS sediment samples. Together, this information will serve as framework for a conceptual model of natural degradation processes in the DDT-contaminated sediments on the PVS. These findings will enable the USEPA to gain a better understanding of the controls on reductive dechlorination and how dechlorination rates vary spatially and temporally. This, in turn, should facilitate decision making concerning the progress of natural attenuation and when monitoring at the site can be terminated. Toward that end, a brief Synthesis Report, summarizing and interpreting the acquired data, is being prepared and will be released in the coming year.

Palos Verdes Shelf↗

Stock composition of the historical New York Bight Atlantic sturgeon (Acipenser oxyrinchus oxyrinchus) intercept fishery revealed through microsatellite analysis of archived spines

A targeted commercial fishery for Atlantic Sturgeon Acipenser oxyrinchus oxyrinchus once operated in the New York Bight, where it was assumed that most harvested Atlantic Sturgeon were natal to the Hudson River population. However, more recent evidence suggests that the fishery may have been targeting a mixed-stock aggregation, in which case harvested Atlantic Sturgeon could have been comprised of individuals from multiple populations throughout the species’ range. Although there is now a moratorium on Atlantic Sturgeon harvest in the New York Bight, modern molecular approaches provide an opportunity to use archived tissues to perform a retrospective mixed-stock analysis on the fishery. Genomic DNA extracted from archived fin spines from 80 Atlantic Sturgeon collected nearly 30 years ago suggests that the fishery primarily harvested individuals from the Hudson River population. However, based on individual-based assignment tests, our results indicate that the fishery also harvested individuals from at least eight other populations located throughout the species’ range. This study highlights how archival hard parts that were previously used for age and growth analyses can be employed for retrospective genetic analyses. Further, because the New York Bight harbors relatively high concentrations of Atlantic Sturgeon, the study shows how localized management decisions can influence Atlantic Sturgeon conservation at rangewide scales. When integrated with more recent knowledge of species ecology, these analyses can be used to evaluate the efficacy of previous management strategies and understand the effects of historical processes on contemporary demography.

New York↗

Adapting wildfire risk assessment for a Tribal landscape: Mount Baldy and the Fort Apache Reservation in Arizona

Context The White Mountain Apache Tribe of the Fort Apache Reservation in Arizona manages their natural and cultural resources within a perpetually wildfire-risky environment. The Tribe’s values also extend beyond those of typical risk assessments to include the importance of cultural activities and sites, various recreational and revenue values, and culturally significant species. Objectives We worked with the Tribe to characterize a sample of these values and adapt them for use in a widely used risk assessment framework as part of an ongoing effort to improve wildfire mitigation and management with Tribes. Methods We used a three-factor experimental design to conduct a sensitivity analysis related to the treatment of values included in the risk assessment. It focused on (1) the inclusion of relative importance or not, (2) the inclusion of relative extent or not, and (3) absolute versus scaled net value change for each value. Results Our results demonstrate a pattern of risk related to the values expressed by the Tribe with a focus on the Mount Baldy landscape, but the contributions of individual values to an aggregate measure of risk vary. Conclusions Our assessments demonstrate an opportunity to incorporate Tribal values. Different depictions of risk can be used to accommodate diverse perspectives of decision-makers or managers, the values they are considering, and whether or not they are approaching risk in an emergency response or preparedness frame.

Arizona↗

Shift in piscivory by salmonids following invasion of a minnow in an oligotrophic reservoir

Predation can play an important role in structuring ecological communities, and predator–prey dynamics can be altered following the introduction of new species. An unauthorized introduction of redside shiner ( Richardsonius balteatus ) into reservoirs in the Upper Skagit River, Washington, USA created concern that a consequent shift in predator–prey dynamics in the reservoirs could reduce recruitment and production of native salmonids in the basin. We estimated predation mortality in Ross Lake on nonnative redside shiner and juvenile native salmonids to evaluate the potential role of predation in regulating these populations and limiting survival of native species of concern. We used bioenergetics modelling and stable isotope analysis combined with directed field measurements of growth, seasonal diet and thermal experience of piscivorous salmonids to quantify their consumption demand on prey fishes to evaluate the relative magnitude of predation mortality on invasive redside shiners and native salmonids. While redside shiner are the dominant prey fish species in Ross Lake, the modest biomass of native salmonids consumed could translate into substantial mortality, the magnitude of which depended on the timing and size at which prey fishes were eaten. This information provides important context for how nonnative species may indirectly impact native species through shared predation (apparent competition) and can inform conservation decisions surrounding nonnative species control, sustainability of native salmonids and introductions of anadromous fishes.

Ecology of Freshwater Fish↗

Models for inference in dynamic metacommunity systems

A variety of processes are thought to be involved in the formation and dynamics of species assemblages. For example, various metacommunity theories are based on differences in the relative contributions of dispersal of species among local communities and interactions of species within local communities. Interestingly, metacommunity theories continue to be advanced without much empirical validation. Part of the problem is that statistical models used to analyze typical survey data either fail to specify ecological processes with sufficient complexity or they fail to account for errors in detection of species during sampling. In this paper, we describe a statistical modeling framework for the analysis of metacommunity dynamics that is based on the idea of adopting a unified approach, multispecies occupancy modeling, for computing inferences about individual species, local communities of species, or the entire metacommunity of species. This approach accounts for errors in detection of species during sampling and also allows different metacommunity paradigms to be specified in terms of species‐ and location‐specific probabilities of occurrence, extinction, and colonization: all of which are estimable. In addition, this approach can be used to address inference problems that arise in conservation ecology, such as predicting temporal and spatial changes in biodiversity for use in making conservation decisions. To illustrate, we estimate changes in species composition associated with the species‐specific phenologies of flight patterns of butterflies in Switzerland for the purpose of estimating regional differences in biodiversity.

Ecology↗

Livestock removal increases plant cover across a heterogeneous dryland landscape on the Colorado Plateau

Livestock removal is increasingly used as a management option to mitigate the negative impacts of grazing-related disturbances on rangelands. Removal generally increases plant cover, but it is unclear when, where, and by how much plant and soil cover changes can be expected. On the Colorado Plateau, complex geology, topography, soils, and climate all interact to mediate the relationship between land cover, climate, and disturbance. In this study we used new developments in land cover mapping and analysis to assess landscape plant and bare soil cover up to 30 years after livestock removal from two grazing allotments in Capitol Reef National Park, Utah, USA. Results indicate that livestock removal increases plant cover 0.17-0.32% per year and reduces bare soil cover 0.34-0.41% per year, although these rates may be suppressed by warming temperatures. Soils, assessed through Soil Geomorphic Units, played a strong but complex role in mediating land cover changes through time. These results suggest that livestock removal is an effective strategy for increasing plant cover and reducing bare soil on the Colorado Plateau, but including soil information in decision making will enhance efficiency by improving manager's ability to prioritize management actions effectively across space and through time.

Environmental Research Letters↗

A new approach to evaluate and reduce uncertainty of model-based biodiversity projections for conservation policy formulation

Biodiversity projections with uncertainty estimates under different climate, land-use, and policy scenarios are essential to setting and achieving international targets to mitigate biodiversity loss. Evaluating and improving biodiversity predictions to better inform policy decisions remains a central conservation goal and challenge. A comprehensive strategy to evaluate and reduce uncertainty of model outputs against observed measurements and multiple models would help to produce more robust biodiversity predictions. We propose an approach that integrates biodiversity models and emerging remote sensing and in-situ data streams to evaluate and reduce uncertainty with the goal of improving policy-relevant biodiversity predictions. In this article, we describe a multivariate approach to directly and indirectly evaluate and constrain model uncertainty, demonstrate a proof of concept of this approach, embed the concept within the broader context of model evaluation and scenario analysis for conservation policy, and highlight lessons from other modeling communities.

BioScience↗

Principles for selecting earthquake motions in engineering design of large dams

This report gives a synopsis of the various tools and techniques used in selecting earthquake ground motion parameters for large dams. It presents 18 charts giving newly developed relations for acceleration, velocity, and duration versus site earthquake intensity for near- and far-field hard and soft sites and earthquakes having magnitudes above and below 7. The material for this report is based on procedures developed at the Waterways Experiment Station. Although these procedures are suggested primarily for large dams, they may also be applicable for other facilities. Because no standard procedure exists for selecting earthquake motions in engineering design of large dams, a number of precautions are presented to guide users. The selection of earthquake motions is dependent on which one of two types of engineering analyses are performed. A pseudostatic analysis uses a coefficient usually obtained from an appropriate contour map; whereas, a dynamic analysis uses either accelerograms assigned to a site or specified respunse spectra. Each type of analysis requires significantly different input motions. All selections of design motions must allow for the lack of representative strong motion records, especially near-field motions from earthquakes of magnitude 7 and greater, as well as an enormous spread in the available data. Limited data must be projected and its spread bracketed in order to fill in the gaps and to assure that there will be no surprises. Because each site may have differing special characteristics in its geology, seismic history, attenuation, recurrence, interpreted maximum events, etc., as integrated approach gives best results. Each part of the site investigation requires a number of decisions. In some cases, the decision to use a 'least ork' approach may be suitable, simply assuming the worst of several possibilities and testing for it. Because there are no standard procedures to follow, multiple approaches are useful. For example, peak motions at a site may be obtained from several methods that involve magnitude of earthquake, distance from source, and corresponding motions; or, alternately, peak motions may be assigned from other correlations based on earthquake intensity. Various interpretations exist to account for duration, recurrence, effects of site conditions, etc. Comparison of the various interpretations can be very useful. Probabilities can be assigned; however, they can present very serious problems unless appropriate care is taken when data are extrapolated beyond their data base. In making deterministic judgments, probabilistic data can provide useful guidance in estimating the uncertainties of the decision. The selection of a design ground motion for large dams is based in the end on subjective judgments which should depend, to an important extent, on the consequences of failure. Usually, use of a design value of ground motion representing a mean plus one standard deviation of possible variation in the mean of the data puts one in a conservative position. If failure presents no hazard to life, lower values of design ground motion may be justified, providing there are cost benefits and the risk is acceptable to the owner. Where a large hazard to life exists (i.e., a dam above an urbanized area) one may wish to use values of design ground motion that approximate the very worst case. The selection of a design ground motion must be appropriate for its particular set of circumstances.

Open-File Report↗

A watershed-scale approach to tracing metal contamination in the environment

Introduction Public policy during the 1800's encouraged mining in the western United States. Mining on Federal lands played an important role in the growing economy creating national wealth from our abundant and diverse mineral resource base. The common industrial practice from the early days of mining through about 1970 in the U.S. was for mine operators to dispose of the mine wastes and mill tailings in the nearest stream reach or lake. As a result of this contamination, many stream reaches below old mines, mills, and mining districts and some major rivers and lakes no longer support aquatic life. Riparian habitats within these affected watersheds have also been impacted. Often, the water from these affected stream reaches is generally not suitable for drinking, creating a public health hazard. The recent Department of Interior Abandoned Mine Lands ( AML ) Initiative is an effort on the part of the Federal Government to address the adverse environmental impact of these past mining practices on Federal lands. The AML Initiative has adopted a watershed approach to determine those sites that contribute the majority of the contaminants in the watershed. By remediating the largest sources of contamination within the watershed, the impact of metal contamination in the environment within the watershed as a whole is reduced rather than focusing largely on those sites for which principal responsible parties can be found. The scope of the problem of metal contamination in the environment from past mining practices in the coterminous U.S. is addressed in a recent report by Ferderer (1996). Using the USGS 1:2,000,000-scale hydrologic drainage basin boundaries and the USGS Minerals Availability System ( MAS ) data base, he plotted the distribution of 48,000 past-producing metal mines on maps showing the boundaries of lands administered by the various Federal Land Management Agencies ( FLMA ). Census analysis of these data provided an initial screening tool for prioritization of watersheds in the western U.S. A different approach to the scope of the abandoned mine problem (Church et al., 1996a) is shown by the water quality data collected by the States under the Clean Water Act, section 305(b). These data document the stream reaches affected by metals from naturally occurring sources as well as from mining, or mineral resource extraction. Permitted discharges from active industrial and mine sites are not covered in the 305(b) data base. Local citizens and state and federal agencies are all part of the collaborative decision process used to select the drainage basins chosen for the AML Initiative pilot studies. Data gathered by these three entities were brought to bear on the watershed selection process. The USGS prepared data available from Federal data bases in the form of interpretative GIS products. Maps of the states of Colorado (Plumlee et al., 1995) and a similar study of the state of Montana ( USGS , unpublished data) were used to select the Animas watershed in southwestern Colorado and the Boulder watershed southwest of Helena Montana as the pilot study areas for the AML Initiative. Thus, the watersheds selected for study were public decisions made on the basis of available scientific data. The role of the U.S. Geological Survey in the Abandoned Mine Land Initiative is outlined in Buxton et al. (1997). The watershed approach to metals contamination in the environment has been studied in several drainage basins (Church et al., 1993, 1994, 1995, 1996b; Kimball et al., 1995). The underlying principles used to successfully discriminate between sources and to quantify the impact of these sources on the environment are the subject of this report.

Conference Paper↗

Population dynamics of White Sturgeon in the upper Snake River, Idaho: Evaluation of management options for a harvest fishery

Objective Understanding how fish populations will respond to management actions is critical for making effective management ­decisions. This study provides important information regarding population demographics for a nonnative, hatchery-implemented population of White Sturgeon Acipenser transmontanus . We investigated the population dynamics of White Sturgeon in the upper Snake River, Idaho, and developed an age-structured population model to evaluate potential stocking and harvest scenarios (e.g., length limits and annual quotas). Methods White Sturgeon were sampled from June to October 2022 and from June to August 2023 using angling (i.e., rod and reel) and setlines from a 260-km-long section of the Snake River. Capture histories from 261 known-age White Sturgeon informed age and growth analysis and an evaluation of movement trends. A closed-population capture–recapture model and an estimate of setline-specific catchability were used to estimate the total abundance of White Sturgeon in the upper Snake River. Apparent survival for the population was estimated using a Cormack–Jolly–Seber model. Finally, a population model was parameterized using information on the population dynamics of White Sturgeon in the upper Snake River. The model was used to estimate the effects of varying stocking rates and harvest scenarios (i.e., harvest slot of 76–122 cm fork length [FL] and annual quotas of 0–25 White Sturgeon harvested) on the population. Results In total, 340 individual White Sturgeon were captured throughout the study area, with 181 recapture events. Individuals varied in FL from 54 to 205 cm, and the mean relative weight for captures was 105.2 (SD = 14.4), suggesting relatively high body condition. Age varied from 2 to 25 years, and White Sturgeon moved an average of 8.1 km (SD = 23.5) downstream from stocking locations. Estimated abundance of White Sturgeon in the tailwaters of American Falls Dam was 428 fish (95% CI = 403–463). That abundance estimate was used to inform a total abundance estimate of 887 White Sturgeon (95% CI = 835–960) in the study area. Apparent annual survival was 0.79 (95% CI = 0.64–0.89). A stocking rate of 285 age-2 White Sturgeon/year was necessary to maintain current abundance. For every five fish harvested (harvest slot = 76–122 cm FL) per year, estimated abundance decreased by about 2.2% over 20 years. Conclusions Our research identified fast growth of White Sturgeon relative to other populations and relatively high mortality for a White Sturgeon population without exploitation. Also, like other studies evaluating harvest, a population model was used to illustrate the effect of varying rate functions on a fishery. The age-structured population model suggested that a harvest fishery is possible while still meeting management goals for the upper Snake River White Sturgeon fishery.

Idaho↗

Flow-adjusted trends in dissolved selenium load and concentration in the Gunnison and Colorado Rivers near Grand Junction, Colorado, water years 1986--2008

As a result of elevated selenium concentrations, many western Colorado rivers and streams are on the U.S. Environmental Protection Agency 2010 Colorado 303(d) list, including the main stem of the Colorado River from the Gunnison River confluence to the Utah border. Selenium is a trace metal that bioaccumulates in aquatic food chains and can cause reproductive failure, deformities, and other adverse impacts in birds and fish, including several threatened and endangered fish species. Salinity in the upper Colorado River has been the focus of source-control efforts for many years. Although salinity loads and concentrations have been previously characterized at the U.S. Geological Survey (USGS) streamflow-gaging stations at the Gunnison River near Grand Junction, Colo., and at the Colorado River near the Colorado-Utah State line, trends in selenium load and concentration at these two stations have not been studied. The USGS, in cooperation with the Bureau of Reclamation and the Colorado River Water Conservation District, evaluated dissolved selenium (herein referred to as "selenium") load and concentration trends at these two sites to inform decision makers on the status and trends of selenium. This report presents results of the evaluation of trends in selenium load and concentration for two USGS streamflow-gaging stations: the Gunnison River near Grand Junction, Colo. ("Gunnison River site"), USGS site 09152500, and the Colorado River near Colorado-Utah State line ("Colorado River site"), USGS site 09163500. Flow-adjusted selenium loads were estimated for the beginning water year (WY) of the study, 1986, and the ending WY of the study, 2008. The difference between flow-adjusted selenium loads for WY 1986 and WY 2008 was selected as the method of analysis because flow adjustment removes the natural variations in load caused by changes in mean-daily streamflow, emphasizing human-caused changes in selenium load and concentration. Overall changes in human-caused effects in selenium loads and concentrations during the period of study are of primary interest to the cooperators. Selenium loads for each of the 2 water years were calculated by using normalized mean-daily streamflow, measured selenium concentration, standard linear regression techniques, and data previously collected at the two study sites. Mean-daily streamflow was normalized for each site by averaging the daily streamflow for each day of the year over the 23-year period of record. Thus, for the beginning and ending water years, estimations could be made of loads that would have occurred without the effect of year-to-year streamflow variation. The loads thus calculated are illustrative of the change in loads between water years 1986 and 2008, and are not the actual loads that occurred in those 2 water years. The estimated 50th and 85th percentile selenium concentrations associated with the selenium loads were also calculated for WY 1986 and WY 2008 at each site. Time-trends in selenium concentration at the two sites were charted by using regression techniques for partial residuals for the entire study period (WY 1986 through WY 2008). Annual selenium load for the Gunnison River site was estimated to be 23,196 pounds for WY 1986 and 16,560 pounds for WY 2008, a 28.6 percent decrease. Lower and upper 95-percent confidence levels for WY 1986 annual load were 22,360 and 24,032 pounds. Lower and upper 95-percent confidence levels for WY 2008 annual load were 15,724 and 17,396 pounds. Estimated 50th percentile daily selenium concentrations decreased from 6.41 to 4.57 micrograms/liter from WY 1986 to WY 2008, whereas estimated 85th percentile daily selenium concentrations decreased from 7.21 to 5.13 micrograms/liter from WY 1986 to WY 2008. Annual selenium load for the Colorado River site was estimated to be 56,587 pounds for WY 1986 and 34,344 pounds for WY 2008, a 39.3 percent decrease. Lower and upper 95-percent confidence levels for WY 1986 annual load were 53,785 and 59,390 pounds. Lower and upper 95-percent confidence levels for WY 2008 annual load were 31,542 and 37,147 pounds. Estimated 50th percentile daily selenium concentrations decreased from 6.44 to 3.86 micrograms/liter from WY 1986 to WY 2008, whereas estimated 85th percentile daily selenium concentrations decreased from 7.94 to 4.72 micrograms/liter from WY 1986 to WY 2008.

Colorado↗

Fire frequency in the Interior Columbia River Basin: Building regional models from fire history data

Fire frequency affects vegetation composition and successional pathways; thus it is essential to understand fire regimes in order to manage natural resources at broad spatial scales. Fire history data are lacking for many regions for which fire management decisions are being made, so models are needed to estimate past fire frequency where local data are not yet available. We developed multiple regression models and tree-based (classification and regression tree, or CART) models to predict fire return intervals across the interior Columbia River basin at 1-km resolution, using georeferenced fire history, potential vegetation, cover type, and precipitation databases. The models combined semiqualitative methods and rigorous statistics. The fire history data are of uneven quality; some estimates are based on only one tree, and many are not cross-dated. Therefore, we weighted the models based on data quality and performed a sensitivity analysis of the effects on the models of estimation errors that are due to lack of cross-dating. The regression models predict fire return intervals from 1 to 375 yr for forested areas, whereas the tree-based models predict a range of 8 to 150 yr. Both types of models predict latitudinal and elevational gradients of increasing fire return intervals. Examination of regional-scale output suggests that, although the tree-based models explain more of the variation in the original data, the regression models are less likely to produce extrapolation errors. Thus, the models serve complementary purposes in elucidating the relationships among fire frequency, the predictor variables, and spatial scale. The models can provide local managers with quantitative information and provide data to initialize coarse-scale fire-effects models, although predictions for individual sites should be treated with caution because of the varying quality and uneven spatial coverage of the fire history database. The models also demonstrate the integration of qualitative and quantitative methods when requisite data for fully quantitative models are unavailable. They can be tested by comparing new, independent fire history reconstructions against their predictions and can be continually updated, as better fire history data become available.

California, Idaho, Montana, Nevada, Oregon, Utah, ↗

Contributions of erosion, deposition, and human activities to a change in sand storage in the bed of San Francisco Bay, California, 1980s to 2010s

This study by the U.S. Geological Survey (USGS) provides estimates of the change in sand storage in bed sediments from the 1980s to 2010s in the San Francisco Bay area, California. The study is part of a larger project called “Research to Understand Impacts of Bay Sand Mining on Sand Transport in San Francisco Bay and the Outer Coast” that has the goal of providing information for the California Coastal Conservancy to inform decision making regarding sand mining activities. Information from this study will contribute to the sand budget for the San Francisco Bay system by accounting for sand made available by erosion of bay sediment and sequestered by deposition in the bay. Sediment budgets for estuaries typically account for change in sediment storage in the bed without discriminating for sediment size. However, the physics of mud and sand erosion, deposition, and transport differ. Sediment budgets that treat mud and sand separately give a more complete understanding of the system, including how human activities related to sediment size, such as sand mining, affect the system. We used bathymetric change analysis in combination with a three-dimensional model to generate estimates of net change in sand storage within the San Francisco Bay floor. We document sediment volume change from a 1980s bathymetric surface to a 2010s bathymetric surface, in combination with information on the sand content of the bed sediment derived from sediment cores and surface samples from six different sediment studies, to estimate the net change in sand volume in the bed of San Francisco Bay. This analysis includes areas heavily affected by human activities (such as sand mining, dredging, and sediment disposal) as well as regions more representative of natural transport processes. Overall, the sediment bed of San Francisco Bay is losing sand. Across the total area surveyed in San Francisco Bay, including areas affected by natural processes, oyster shell beds, and human activities, a net loss of about 17 million cubic meters (Mm 3 ) of sand from the sediment bed occurred from the 1980s to 2010s, at a rate of about 0.8 Mm 3 per year. For the period of this study, sand loss from bed level changes in permitted sand-lease mining areas (about 11 Mm 3 ) accounts for about two-thirds of the total sand loss throughout the study area. It is important to consider potential uncertainty bounds when interpreting these findings. A key part of the report is an assessment of the uncertainties in our estimates of sand volumes. We estimate that variability in modeled sand content values of Bay floor sediments could result in an uncertainty of approximately 25 percent of the net sand volume change. Even larger uncertainty amounts may be associated with uncertainty in the systematic errors in the bathymetric surveys. Further refining estimates of uncertainty in bathymetric change is important in guiding the use of this study. The results presented here can fill a critical gap that may enable the creation of the first comprehensive sand budget of San Francisco Bay.

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