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At least 775 records · Page 43Linked to original sources

Modeling wetland plant community response to assess water-level regulation scenarios in the Lake Ontario-St. Lawrence River basin

The International Joint Commission has recently completed a five-year study (2000-2005) to review the operation of structures controlling the flows and levels of the Lake Ontario - St. Lawrence River system. In addition to addressing the multitude of stakeholder interests, the regulation plan review also considers environmental sustainability and integrity of wetlands and various ecosystem components. The present paper outlines the general approach, scientific methodology and applied management considerations of studies quantifying the relationships between hydrology and wetland plant assemblages (% occurrence, surface area) in Lake Ontario and the Upper and Lower St. Lawrence River. Although similar study designs were used across the study region, different methodologies were required that were specifically adapted to suit the important regional differences between the lake and river systems, range in water-level variations, and confounding factors (geomorphic types, exposure, sediment characteristics, downstream gradient of water quality, origin of water masses in the Lower River). Performance indicators (metrics), such as total area of wetland in meadow marsh vegetation type, that link wetland response to water levels will be used to assess the effects of different regulation plans under current and future (climate change) water-supply scenarios.

Environmental Monitoring and Assessment↗

U.S. Geological Survey Karst Interest Group proceedings, Nashville, Tennessee, October 22-24, 2024

Karst hydrogeologic systems represent challenging and unique conditions to scientists studying groundwater flow and contaminant transport. Karst terrains are characterized by distinct and beautiful landscapes, caverns, and springs, and many of the exceptional karst areas are designated as national or state parks. The range and complexity of landforms and groundwater flow systems associated with karst terrains are enormous, perhaps more than any other aquifer type. The U.S. Geological Survey (USGS) Karst Interest Group (KIG), formed in 2000, is a loosely knit, grassroots organization of USGS and non-USGS scientists and researchers devoted to fostering better communication among scientists working on, or interested in, karst aquifers. The primary mission of the KIG is to encourage and support interdisciplinary collaboration and technology transfer among scientists working in karst areas. To accomplish its mission, the KIG has organized a series of workshops. To date (2024), nine KIG workshops, including the workshop documented in this report, have been held. The abstracts and extended abstracts provide a snapshot in time of past and current karst related studies. The USGS Water Availability and Use Science Program funded the workshop and proceedings. The planning committee for the ninth workshop includes Thomas D. Byl (USGS and Tennessee State University), Allan K. Clark (USGS), Laura M. DeMott (USGS), Eve L. Kuniansky (USGS, Emeritus), Benjamin V. Miller (USGS), and Lawrence E. Spangler (USGS, Emeritus). The workshop proceedings are edited by Eve L. Kuniansky and Lawrence E. Spangler. The field trip guide was produced by Benjamin V. Miller and Brian Ham (Tennessee Department of Environment and Conservation) and included in the proceedings from the KIG’s 2021 virtual workshop to be used on the optional field trip held on Thursday, October 24, 2024.

Open-File Report↗

Active forest management accelerates carbon storage in plantation forests in Lishui, southern China

Background China has committed to achieving peak CO 2 emissions before 2030 and carbon neutrality before 2060; therefore, accelerated efforts are needed to better understand carbon accounting in industry and energy fields as well as terrestrial ecosystems. The carbon sink capacity of plantation forests contributes to the mitigation of climate change. Plantation forests throughout the world are intensively managed, and there is an urgent need to evaluate the effects of such management on long-term carbon dynamics. Methods We assessed the carbon cycling patterns of ecosystems characterized by three typical plantation species (Chinese fir ( Cunninghamia lanceolata (Lamb.) Hook.), oak ( Cyclobalanopsis glauca (Thunb.) Oerst.), and pine ( Pinus massoniana Lamb.)) in Lishui, southern China, by using an integrated biosphere simulator (IBIS) tuned with localized parameters. Then, we used the state-and-transition simulation model (STSM) to study the effects of active forest management (AFM) on carbon storage by combining forest disturbance history and carbon cycle regimes. Results 1) The carbon stock of the oak plantation was lower at an early age (<50 years) but higher at an advanced age (>50 years) than that of the Chinese fir and pine plantations. 2) The carbon densities of the pine and Chinese fir plantations peaked at 70 years (223.36 ​Mg·ha ‒1 ) and 64 years (232.04 ​Mg·ha ‒1 ), respectively, while the carbon density in the oak plantation continued increasing (>100 years). 3) From 1989 to 2019, the total carbon pools of the three plantation ecosystems followed an upward trend (an annual increase of 0.16–0.22 ​Tg ​C), with the largest proportional increase in the aboveground biomass carbon pool. 4) AFM increased the recovery of carbon storage after 1996 and 2009 in the pine and Chinese fir plantations, respectively, but did not result in higher growth in the oak plantation. 5) The proposed harvest planning is reasonable and conducive to maximizing the carbon sequestration capacity of the forest. Conclusions This study provides an example of a carbon cycle coupling model that is potentially suitable for simulating China's plantation forest ecosystems and supporting carbon accounting to monitor peak CO 2 emissions and reach carbon neutrality.

Lishui↗

Estimating the social and economic consequences of proposed management alternatives at the National Elk Refuge

The National Elk Refuge (Refuge) is managed by the U.S. Fish and Wildlife Service and includes habitats for bison and elk. Bison and elk provide opportunities for wildlife-related recreation and contribute to the tourism industry in and around Jackson, Wyoming. Over the last century, the Refuge has provisioned supplemental feed to elk and, more recently, bison during winter months to ensure adequate forage and prevent starvation and conflict with private landowners. However, supplemental feeding artificially aggregates animals and can increase rates of disease transmission and localized damage to sensitive habitats near the feeding areas. This report presents analyses and results to support two of the nine management objectives in the next “Bison and Elk Management Plan,” with a particular focus on the social and economic consequences of five management alternatives considered in this study. The alternatives are to continue feeding bison and elk during winter months on the Refuge, stop feeding after CWD is measured at 3 percent prevalence or above in the Jackson elk herd, stop feeding immediately, reduce feeding for five years and then stop feeding, and increase elk harvest for five years and then stop feeding. These alternatives are anticipated to alter bison and elk population and space-use dynamics, with corresponding effects on wildlife-related recreation and tourism, including the number of visitors and sleigh-ride participants on the Refuge, and hunters and outfitters within the Jackson Elk Herd Unit. The performance of each of this study’s alternatives was variable, resulting in overlap in the performance of alternatives on the select objectives over the next 20 years. Generally, visitation-related objectives performed better under the continue feeding alternative, whereas hunting-related objectives performed better under the increase harvest alternative. The results presented here may assist U.S. Fish and Wildlife Service decision makers in balancing social and economic benefits identified in the decision-making process for the “Bison and Elk Management Plan” with other objectives evaluated in this report.

Wyoming↗

Estimating the social and economic consequences of proposed management alternatives at the National Elk Refuge in Jackson, Wyoming

The National Elk Refuge (Refuge) is managed by the U.S. Fish and Wildlife Service and includes habitats for bison and elk. Bison and elk provide opportunities for wildlife-related recreation and contribute to the tourism industry in and around Jackson, Wyoming. Over the last century, the Refuge has provisioned supplemental feed to elk and, more recently, bison during winter months to ensure adequate forage and prevent starvation and conflict with private landowners. However, supplemental feeding artificially aggregates animals and can increase rates of disease transmission and localized damage to sensitive habitats near the feeding areas. This report presents analyses and results to support two of the nine management objectives in the next “Bison and Elk Management Plan,” with a particular focus on the social and economic consequences of five management alternatives considered in this study. The alternatives are to continue feeding bison and elk during winter months on the Refuge, stop feeding after CWD is measured at 3 percent prevalence or above in the Jackson elk herd, stop feeding immediately, reduce feeding for five years and then stop feeding, and increase elk harvest for five years and then stop feeding. These alternatives are anticipated to alter bison and elk population and space-use dynamics, with corresponding effects on wildlife-related recreation and tourism, including the number of visitors and sleigh-ride participants on the Refuge, and hunters and outfitters within the Jackson Elk Herd Unit. The performance of each of this study’s alternatives was variable, resulting in overlap in the performance of alternatives on the select objectives over the next 20 years. Generally, visitation-related objectives performed better under the continue feeding alternative, whereas hunting-related objectives performed better under the increase harvest alternative. The results presented here may assist U.S. Fish and Wildlife Service decision makers in balancing social and economic benefits identified in the decision-making process for the “Bison and Elk Management Plan” with other objectives evaluated in this report.

Wyoming↗

The role of photogeologic mapping in traverse planning: Lessons from DRATS 2010 activities

We produced a 1:24,000 scale photogeologic map of the Desert Research and Technology Studies (DRATS) 2010 simulated lunar mission traverse area and surrounding environments located within the northeastern part of the San Francisco Volcanic Field (SFVF), north-central Arizona. To mimic an exploratory mission, we approached the region “blindly” by rejecting prior knowledge or preconceived notions of the regional geologic setting and focused instead only on image and topographic base maps that were intended to be equivalent to pre-cursor mission “orbital returns”. We used photogeologic mapping techniques equivalent to those employed during the construction of modern planetary geologic maps. Based on image and topographic base maps, we identified 4 surficial units (talus, channel, dissected, and plains units), 5 volcanic units (older cone, younger cone, older flow, younger flow, and block field units), and 5 basement units (grey-toned mottled, red-toned platy, red-toned layered, light-toned slabby, and light-toned layered units). Comparison of our remote-based map units with published field-based map units indicates that the two techniques yield pervasively similar results of contrasting detail, with higher accuracies linked to remote-based units that have high topographic relief and tonal contrast relative to adjacent units. We list key scientific questions that remained after photogeologic mapping and prior to DRATS activities and identify 13 specific observations that the crew and science team would need to make in order to address those questions and refine the interpreted geologic context. We translated potential observations into 62 recommended sites for visitation and observation during the mission traverse. The production and use of a mission-specific photogeologic map for DRATS 2010 activities resulted in strategic and tactical recommendations regarding observational context and hypothesis tracking over the course of an exploratory mission.

Acta Astronautica↗

An assessment of the economic potential of lignite and leonardite resources in the Williston Basin, North Dakota

The Bureau of Land Management (BLM) requested assistance from the U.S. Geological Survey (USGS) to conduct an assessment study to identify areas that may have economic potential for the future extraction of lignite and leonardite resources in the Williston Basin in North Dakota. The study will be used by the BLM to assist with the preparation of a revised resource management plan for the Williston Basin, in accordance with BLM planning policies. The assessment of the economic potential of lignite resources required the establishment of criteria defining an economic lignite deposit. In consultation with the BLM, criteria were established to delineate drill holes that contained economic lignite beds. The criteria established are a minimum lignite bed thickness, a minimum cumulative lignite thickness, a maximum cumulative stripping ratio, and a maximum overburden. Likewise, an assessment of the economic potential of leonardite deposits required the establishment of criteria delineating drill holes that contained economic leonardite deposits. The criteria established are a minimum leonardite bed thickness, a minimum cumulative leonardite thickness, and a maximum overburden. The drill hole data utilized in this study were obtained from the National Coal Resources Data System database and from several coal companies. Data from more than 20,000 drill holes, both proprietary and nonproprietary, were used to compile areas of economic potential for lignite or leonardite. Areas delineated as having lignite or leonardite resources with economic potential, based on the established criteria, were present in 24 counties in the western portion of North Dakota. Areas of economic potential were delineated using a visual best-fit method without croplines. Areas defined as having economic potential for certain lignite beds or leonardite deposits may extend beyond known croplines in this study. Stratigraphically, the lignite and leonardite deposits in the Williston Basin in North Dakota are mostly found in the Paleocene Fort Union Formation. Thick (greater than 20 feet) and laterally extensive (greater than 5 square miles) lignite beds are present in the Fort Union Formation throughout the Sentinel Butte and Tongue River Members. Lignite beds are also present in the Ludlow Member of the Fort Union Formation, although they are not as numerous or thick as they are in the overlying Sentinel Butte and Tongue River Members. As a result of lateral facies changes and migrating fluvial channel complexes in the Fort Union Formation, lignite beds of varying thickness occupy different stratigraphic horizons vertically throughout the Williston Basin. The calculation of volumes for lignite and leonardite resources was not part of the scope of this study requested by the BLM, but a future study by the USGS may involve a comprehensive assessment of lignite resources and reserves in the Williston Basin. This future study could combine geologic data compiled in this study with geologic data from a previously unpublished 2019 assessment study by the USGS in the Williston Basin in eastern Montana. This future USGS study could also include the calculation of volumes for lignite resources and reserves, based on economic models derived using analogs from active mining operations in the Williston Basin and available spot market or contract coal prices.

North Dakota↗

Framework for a long-term strategic plan for the Capital Area Groundwater Conservation Commission

The Capital Area Groundwater Conservation Commission oversees the use of groundwater in six parishes in Louisiana. In carrying out its statutory responsibilities and authorities, the Commission recognizes the complexity of its decisions: the long-term objectives it is seeking are multifaceted; the actions it can choose from are numerous and interdependent; and the understanding of the hydrogeological, economic, and social systems affected by its actions is limited. To navigate this complexity, the Commission is developing a long-term strategic plan to guide its activities and to serve as a primary mode of communication to stakeholders and the public. The long-term strategic plan is intended to consider actions and outcomes over at least the next 50 years within the 6 parishes in the Commission’s jurisdiction and related to all the confined aquifers in the 3000 feet below the district. The primary purposes of the plan are to promote long-term sustainability of groundwater extraction, continuity of operations of the Commission, long-term planning by water users, and clear communication with the public. The plan will describe specific management actions to be taken over time by the Commission, and the conditions under which those actions are to be taken. It will include intermediate milestones the Commission intends to achieve on the way toward achieving its long-term objectives. The actions under consideration include regulation and monitoring of groundwater withdrawal, mitigation of the environmental effects of withdrawal, support of relevant scientific studies, as well as work with partner agencies to implement measures to conserve, develop, and supplement groundwater resources. The plan will have greater detail about short-term actions than mid-term and long-term actions, and the Commission anticipates updating the plan periodically to adapt to changing circumstances and knowledge. To develop its long-term strategic plan, the Commission is working with The Water Institute of the Gulf and the U.S. Geological Survey using a facilitated process based on the principles of structured decision making (Gregory et al., 2012). This document outlines the framework for the strategic plan by describing the legal, economic, and scientific context for the plan, the fundamental objectives the Commission seeks to achieve in the long term, and the strategic alternatives it is considering.

Report↗

Challenges of implementing a multi-agency monitoring and adaptive management strategy for federally threatened Chinook salmon and steelhead trout during and after dam removal in the Elwha River

Adaptive management, a process of planning, implementing, and evaluating management strategies, is often recommended for monitoring ecological systems. However, few examples of successful implementation and retrospective case studies exist. We provide a case study of adaptively managing hatchery-assisted protection and recovery for Chinook salmon ( Oncorhynchus tshawytscha ) and winter steelhead trout ( O. mykiss ) during and after the removal of two large mainstem dams in the Elwha River, WA. We summarize key aspects of the monitoring and adaptive management plan over the last decade and highlight successes, challenges, and complications during the plan’s implementation. The Elwha Monitoring and Adaptive Management Guidelines included a trigger-based system for moving through four phases of recovery that included preservation, recolonization, local adaptation, and viable natural population, each with differing levels of hatchery production as the management actions. The monitoring component of the plan has been very successful, providing critical data to guide management actions that otherwise may not have occurred and, opportunistically, provided data for other native species in the Elwha River. Implementing adaptive management provided mixed results and was at times hindered by divergent management goals among project partners, the inflexibility of the Endangered Species Act regulatory requirements as implemented for this project, and conflicting information among guidance documents. We learned that some metrics and triggers in the plan were ill-defined or too difficult to measure in the field. In some cases, the performance indicators and/or triggers were successfully modified to incorporate what was learned; however, in other cases, we were unable to revise the values due to differing opinions among partners. The ability to reach consensus on revised triggers appeared to be influenced by the recovery trajectory of the species involved. The implemented adaptive management strategy resulted in substantial collaboration and learning, which resulted in revised management strategies, but was imperfect. Sufficient long-term funding is necessary to implement a well-designed monitoring program and could benefit from including a defined leadership position to shepherd and facilitate a multi-stakeholder adaptive management program. Additionally, incorporating adaptive management into legally binding conditions under the Endangered Species Act is feasible, but requires substantial pre-planning in close coordination with regulatory agencies.

Washington↗

Reconnaissance engineering geology of the Haines area, Alaska, with emphasis on evaluation of earthquake and other geologic hazards

The Alaska earthquake of March 27, 1964, brought into sharp focus the need for engineering geologic studies in urban areas. Study of the Haines area constitutes an integral part of an overall program to evaluate earthquake and other geologic hazards in most of the larger Alaska coastal communities. The evaluations of geologic hazards that follow, although based only upon reconnaissance studies and, therefore, subject to revision, will provide broad guidelines useful in city and land-use planning. It is hoped that the knowledge gained will result in new facilities being built in the best possible geologic environments and being designed so as to minimize future loss of life and property damage. Haines, which is in the northern part of southeastern Alaska approximately 75 miles northwest of Juneau, had a population, of about 700 people in 1970. It is built at the northern end of the Chilkat Peninsula and lies within the Coast Mountains of the Pacific Mountain system. The climate is predominantly marine and is characterized by mild winters and cool summers. The mapped area described in this report comprises about 17 square miles of land; deep fiords constitute most of the remaining mapped area that is evaluated in this study. The Haines area was covered by glacier ice at least once and probably several times during the Pleistocene Epoch. The presence of emergent marine deposits, several hundred feet above sea level, demonstrates that the land has been uplifted relative to sea level since the last major deglaciation of the region about 10,000 years ago. The rate of relative uplift of the land at Haines during the past 39 years is 2.26 cm per year. Most or all of this uplift appears to be due to rebound as a result of deglaciation. Both bedrock and surficial deposits are present in the area. Metamorphic and igneous rocks constitute the exposed bedrock. The metamorphic rocks consist of metabasalt of Mesozoic age and pyroxenite of probable early middle Cretaceous age. The igneous rocks consist of diorite and quartz diorite (tonalite) of Cretaceous age. Sedimentary rocks of Tertiary age may be present in the mapped area but are not exposed. The surficial deposits of Quaternary age,-have been divided into the following map units on the basis of time Of deposition, mode of origin, and grain size: (1) undifferentiated drift deposits, (2) outwash and Ice-contact deposits; (3) elevated fine-grained marine deposits, (4) elevated shore and delta deposits, (5) alluvial fan deposits, (6) colluvial deposits, (7) modern beach deposits, (8) Chilkat River flood-plain and delta deposits, and (9) manmade fill. Offshore deposits are described but are not mapped. Southeastern Alaska lies within the tectonically active belt that rims the northern Pacific Basin and has been active since at least early Paleozoic time. The outcrop pattern is the result of late Mesozoic and Tertiary deformational, metamorphic, and intrusive events. Large-scale faulting has been common. The two most prominent inferred fault systems in southeastern Alaska and surrounding regions are: (1) The Denali fault system and (2) the Fairweather-Queen Charlotte Islands fault system. In the general area of Haines, rocks of Mesozoic age northeast of Chilkat River have a simple monoclinal structure. Paleozoic-Mesozoic rocks southwest of Chilkat River are gently to rather complexly folded. Several major and numerous minor faults probably transect the general area of Haines but their exact location and character can only be inferred because their traces are coincident to the long axes of fiords and river valleys, where they are concealed by water or by valley-floor deposits. Inferred faults in or near the Haines mapped area are: (1) Chilkat River fault, (2) Chilkoot fault, (3) Takhin fault, and (4) faults in the saddle area at Haines. Southeastern Alaska lies in one of the two most seismically active zones in Alaska, a State where 6 percent of the world's shallow earthqua

Open-File Report↗

Integrated rangeland fire management strategy actionable science plan completion assessment: Invasives topic, 2015–20

Loss and degradation of sagebrush rangelands due to an accelerated invasive annual grass-wildfire cycle and other stressors are significant management, conservation, and economic issues in the western United States. These sagebrush rangelands comprise a unique biome spanning 11 states, support over 350 wildlife species, and provide important ecosystem services that include stabilizing the economies of western communities. Impacts to sagebrush ecosystem processes over large areas due to the annual grass-wildfire cycle necessitated the development of a coordinated, science-based strategy for improving efforts to achieve long-term protection, conservation, and restoration of sagebrush rangelands, which was framed in 2015 under the Integrated Rangeland Fire Management Strategy (IRFMS). Central to this effort was the development of an Actionable Science Plan (Plan) that identified 37 priority science needs (Needs) for informing the actions proposed under the 5 topics (Fire, Invasives, Restoration, Sagebrush and Sage-Grouse, Climate and Weather) that were part of the collective focus of the IRFMS. Notable keys to this effort were identification of the Needs co-produced by managers and researchers, and a focus on resulting science being “actionable.” Substantial investments aimed at fulfilling the Needs identified in the Plan have been made since its release in 2016. While the state of the science has advanced considerably, the extent to which knowledge gaps remain relative to identified Needs is relatively unknown. Moreover, new Needs have likely emerged since the original strategy as results from actionable science reveal new questions and possible (yet untested) solutions. A quantifiable assessment of the progress made on the original science Needs can identify unresolved gaps and new information that can help inform prioritization of future research efforts. This report details a systematic literature review that evaluated how well peer-reviewed journal articles and formal technical reports published between January 1, 2015, and December 31, 2020, addressed six needs (hereinafter “Needs”) identified under the Invasives topic in the Plan. The topic outlined research Needs related to the control of invasive plant species in sagebrush rangelands, with a special emphasis on invasive annual grasses. We established the level of progress towards addressing each Need following a standardized set of criteria, and developed summaries detailing how research objectives nested within Needs identified in the Plan (“Next Steps”) were either addressed well, partially addressed, or remain outstanding (that is, addressed poorly) in the literature through 2020. Our searches resulted in the inclusion of 198 science products that at least partially addressed a Need identified in the Invasives topic. The Needs that were well and partially addressed included: studies of natural and anthropogenic factors influencing the distribution and spread; methods of preventing, eradicating and controlling invasive plant species; development of mapping techniques that provide regularly updated annual grass and fine fuel projections; and assessment of the efficacy of potential cheatgrass biocontrol agents. Needs that were addressed poorly included (1) investigations of livestock grazing as a tool for managing invasive plants and (2) investigations of cheatgrass die-offs and identification and subsequent study of potential biocontrol agents associated with those die-offs. The information provided in this assessment will assist updating the Plan along with other science strategies.

western United States↗

Military geology unit of the U.S. Geological Survey during World War II

On June 24, 1942, the temporary Military Geology Unit of the U.S. Geological Survey was formalized after the U.S. Army Corps of Engineers requested them to prepare terrain intelligence studies to meet wartime priorities. The entire Military Geology Unit wartime roster was 114 professionals, including 88 geologists, 11 soil scientists, and 15 other specialists; 14 were women. Assisting staff (illustrators, typists, photographers, and others) totaled 43. The unit produced 313 studies, including 140 major terrain folios, 42 other major special reports, and 131 minor studies. These reports contain about 5,000 maps, 4,000 photographs and figures, 2,500 large tables, and 140 terrain diagrams. Most products were designed in the beginning for general strategic planning in Washington and later for detailed strategic planning overseas; they utilized graphics and nontechnical, telegraphic-style tabular texts. The Military Geology Unit's principal effort was the preparation of the terrain folios titled Strategic Engineering Studies. They varied somewhat in content and format, but the key components usually were introduction, terrain appreciation, rivers, road and airfield construction, construction materials, and water resources. The folios, produced at an average rate of about one per week and at an average cost of $2,500, were compiled from scientific journals, books, maps, and photographs available in the Washington area by a team of 3 to 8 scientists; 8 to 12 teams might be working concurrently. MGU personnel took great pride in never having missed a delivery deadline.

Book chapter↗

A statistical forecasting approach to metapopulation viability analysis

Conservation of at‐risk species is aided by reliable forecasts of the consequences of environmental change and management actions on population viability. Forecasts from conventional population viability analysis (PVA) are made using a two‐step procedure in which parameters are estimated, or elicited from expert opinion, and then plugged into a stochastic population model without accounting for parameter uncertainty. Recently developed statistical PVAs differ because forecasts are made conditional on models fitted to empirical data. The statistical forecasting approach allows for uncertainty about parameters, but it has rarely been applied in metapopulation contexts where spatially explicit inference is needed about colonization and extinction dynamics and other forms of stochasticity that influence metapopulation viability. We conducted a statistical metapopulation viability analysis (MPVA) using 11 yr of data on the federally threatened Chiricahua leopard frog ( Lithobates chiricahuensis ) to forecast responses to landscape heterogeneity, drought, environmental stochasticity, and management. We evaluated several future environmental scenarios and pond restoration options designed to reduce extinction risk. Forecasts over a 50‐yr time horizon indicated that metapopulation extinction risk was <4% for all scenarios, but uncertainty was high. Without pond restoration, extinction risk is forecasted to be 3.9% (95% CI 0–37%) by year 2066. Restoring six ponds by increasing their hydroperiod reduced extinction risk to <1% and greatly reduced uncertainty (95% CI 0–2%). Our results suggest that managers can mitigate the impacts of drought and environmental stochasticity on metapopulation viability by maintaining ponds that hold water throughout the year and keeping them free of invasive predators. Our study illustrates the utility of the spatially explicit statistical forecasting approach to MPVA in conservation planning efforts.

Ecological Applications↗

The National Vegetation Classification Standard applied to the remote sensing classification of two semiarid environments

The National Vegetation Classification Standard (NVCS) was implemented at two US National Park Service (NPS) sites in Texas, the Padre Island National Seashore (PINS) and the Lake Meredith National Recreation Area (LM-NRA), to provide information for NPS oil and gas management plans. Because NVCS landcover classifications did not exist for these two areas prior to this study, we created landcover classes, through intensive ground and aerial reconnaissance, that characterized the general landscape features and at the same time complied with NVCS guidelines. The created landcover classes were useful for the resource management and were conducive to classification with optical remote sensing systems, such as the Landsat Thematic Mapper (TM). In the LMNRA, topographic elevation data were added to the TM data to reduce confusion between cliff, high plains, and forest classes. Classification accuracies (kappa statistics) of 89.9% (0.89) and 88.2% (0.87) in PINS and LMNRA, respectively, verified that the two NPS landholdings were adequately mapped with TM data. Improved sensor systems with higher spectral and spatial resolutions will ultimately refine the broad classes defined in this classification; however, the landcover classifications created in this study have already provided valuable information for the management of both NPS lands. Habitat information provided by the classifications has aided in the placement of inventory and monitoring plots, has assisted oil and gas operators by providing information on sensitive habitats, and has allowed park managers to better use resources when fighting wildland fires and in protecting visitors and the infrastructure of NPS lands.

Environmental Management↗

Integrating spatially explicit representations of landscape perceptions into land change research

Purpose of Review Human perceptions of the landscape can influence land-use and land-management decisions. Recognizing the diversity of landscape perceptions across space and time is essential to understanding land change processes and emergent landscape patterns. We summarize the role of landscape perceptions in the land change process, demonstrate advances in quantifying and mapping landscape perceptions, and describe how these spatially explicit techniques have and may benefit land change research. Recent Findings Mapping landscape perceptions is becoming increasingly common, particularly in research focused on quantifying ecosystem services provision. Spatial representations of landscape perceptions, often measured in terms of landscape values and functions, provide an avenue for matching social and environmental data in land change studies. Integrating these data can provide new insights into land change processes, contribute to landscape planning strategies, and guide the design and implementation of land change models. Summary Challenges remain in creating spatial representations of human perceptions. Maps must be accompanied by descriptions of whose perceptions are being represented and the validity and uncertainty of those representations across space. With these considerations, rapid advancements in mapping landscape perceptions hold great promise for improving representation of human dimensions in landscape ecology and land change research.

Current Landscape Ecology Reports↗

Epidemiological investigation of infectious hematopoietic necrosis virus in salt water net-pen reared Atlantic salmon in British Columbia, Canada

An epidemiological study of infectious hematopoietic necrosis viral disease (IHN) in farmed Atlantic salmon in British Columbia was conducted to better understand the management of this disease. The study consisted of a descriptive retrospective investigation of 18 IHN outbreaks on farms between 1992 and 1996, and a prospective surveillance program for the viral disease, after an area management plan was implemented to reduce the viral load around farms and farm-to-farm spread of the virus. The crude cumulative mortality associated with IHNV in Atlantic salmon was high (average 47%), and outbreaks lasted 5.8 months on average. On the two farms where the virus was detected during the surveillance program, IHNV was confirmed in all pens within 1 month. On two of three sites where fish were kept on farms after the initial disease outbreak subsided, IHN reoccurred within 30 weeks. The presentation of IHNV on farms, the spatial and temporal patterns of the outbreaks between 1992 and 1996, and the genetic similarity between isolates collected from nine outbreaks spanning a 5-year period, all supported the plausibility of farm-to-farm spread of the virus. Furthermore, the marked decrease in the incidence rate of IHN in farmed Atlantic salmon after the implementation of an area-based management plan aimed at reducing farm-to-farm spread of the virus also supported this hypothesis. Although the source of IHNV for the index case was not determined in this study, secondary spread of the virus between farms via management practices, such as movement of fish, co-habiting naı̈ve fish with survivors of the viral disease, and movement of equipment, likely accounted for some farm outbreaks. This suggested that many cases of IHN may be preventable using good on-farm biosecurity.

Aquaculture↗

Earthquake scenarios for Quito, Ecuador; Cali, Colombia; and Santiago De Los Caballeros, Dominican Republic

Earthquake risk associated with Quito, Ecuador; Cali, Colombia; and Santiago de los Caballeros, Dominican Republic is examined by generating a set of hypothetical earthquake scenarios considering seismic sources, recent seismicity, and major historical earthquakes recorded in the vicinity. In this study, particular focus is given to the development of earthquake scenarios for use in emergency planning in each city as well as stimulating discussion with respect to addressing the gaps in current understanding of built stock inventory and their vulnerability when subjected to strong shaking. Exposure and vulnerability models from the Global Earthquake Model foundation, hazard and local site information available for the cities, and the U.S. Geological Survey near‐real‐time products are utilized to estimate potential consequences for postearthquake response planning. Results showed that the historic city centers remain the most susceptible to experiencing severe damage resulting in widespread casualties. Similarly, the scenarios highlight areas susceptible to shaking induced ground failure hazards, which may pose additional challenges when responding to such earthquakes. Moderate earthquakes originating from nearby seismic sources, for example, Quito fault system for Quito or the Septentrional fault zone in the case of Santiago de Los Caballeros, could potentially be of greater consequence in terms of direct economic impact and disruption to the city when compared to very large distant subduction interface earthquakes.

Cali, Santiago De Los Caballeros, Quito↗

Southern California — Wildfires and debris flows

Wildland fires are inevitable in the western United States. Expansion of man-made developments into fire-prone wildlands has created situations where wildfires can destroy lives and property, as can the flooding and debris flows that are common in the aftermath of the fires. Fast-moving, highly destructive debris flows triggered by intense rainfall are one of the most dangerous post-fire hazards. Such debris flows are particularly dangerous because they tend to occur with little warning. Their mass and speed make them particularly destructive: debris flows can strip vegetation, block drainages, damage structures, and endanger human life. The U.S. Geological Survey’s Landslide Hazards Program is participating in a multi-agency cooperative effort to investigate debris flows in burned areas of southern California and other parts of the western United States. Participating agencies are the USDA Forest Service, the Natural Resources Conservation Service, and the California, Colorado, and Montana Geological Surveys. The objective of this project is to develop methods needed to estimate the locations, probability of occurrence, and size of potentially destructive debris flows. Public officials can use this information to plan and execute emergency response and post-fire rehabilitation. Analysis of data collected from studies of debris flows following wildfires can answer many of the questions fundamental to post-fire hazard assessments— what and why, where, when, how big, and how often?

California↗