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At least 793 records · Page 44Linked to original sources

Magnetic anomalies over the continents

By far most of the magnetic coverage over continents has been made via aircraft. The obvious advantages of the airborne method over ground measurements are the speed and economy of the survey, the coverage of areas that are inaccessible on the ground, and the nature of the data, which are displayed continuously rather than as discrete points along a profile. Much aeromagnetic work both in the United States and abroad has been conducted by private companies exploring for ore and petroleum. Unfortunately almost none of the data have been published, nor have they been made available to the public.

Eos Science News↗

Detection and identification of aquatic birnaviruses by PCR assay

A reverse transcriptase polymerase chain reaction (RT-PCR) assay was developed for the detection and identification of aquatic birnaviruses. The four sets of primers (PrA, PrB, PrC, and PrD) that we used are specific for regions of cDNA coded by genome segment A of aquatic birnaviruses. PrA identifies a large fragment (1,180 bp) within the pVP2-coding region, and PrB identifies a 524-bp fragment within the sequence amplified by PrA. Primer set PrC frames a genome fragment (339 bp) within the NS-VP3-coding region, and PrD identifies a 174-bp sequence within the fragment identified by PrC. PrB and PrD amplified cDNAs from all nine recognized serotypes of aquatic birnavirus serogroup A as well as the N1 isolate that may represent a 10th serotype. These results indicate that these three primer sequences are highly conserved and can be used in PCR assays for group identification of these viruses. PrA routinely produced amplification products from eight serotypes but exhibited variable results with one serotype, and primer PrC identified 6 of the 11 virus isolates tested. The qualitative sensitivity of the RT-PCR assay was evaluated by comparison of the results with those of cell culture isolation assays. With the exception of one sample, the RT-PCR assay with primer PrD was as accurate as cell culture isolation for detecting virus in kidney and spleen tissues from naturally infected, asymptomatic carrier fish. These results indicate that the RT-PCR assay can be a rapid and reliable substitute for cell culture methods for the detection of aquatic birnaviruses.

Journal of Clinical Microbiology↗

Determination of dilution factors for discharge of aluminum-containing wastes by public water-supply treatment facilities into lakes and reservoirs in Massachusetts

Dilution of aluminum discharged to reservoirs in filter-backwash effluents at water-treatment facilities in Massachusetts was investigated by a field study and computer simulation. Determination of dilution is needed so that permits for discharge ensure compliance with water-quality standards for aquatic life. The U.S. Environmental Protection Agency chronic standard for aluminum, 87 micrograms per liter (μg/L), rather than the acute standard, 750 μg/L, was used in this investigation because the time scales of chronic exposure (days) more nearly match rates of change in reservoir concentrations than do the time scales of acute exposure (hours). Whereas dilution factors are routinely computed for effluents discharged to streams solely on the basis of flow of the effluent and flow of the receiving stream, dilution determination for effluents discharged to reservoirs is more complex because (1), compared to streams, additional water is available for dilution in reservoirs during low flows as a result of reservoir flushing and storage during higher flows, and (2) aluminum removal in reservoirs occurs by aluminum sedimentation during the residence time of water in the reservoir. Possible resuspension of settled aluminum was not considered in this investigation. An additional concern for setting discharge standards is the substantial concentration of aluminum that can be naturally present in ambient surface waters, usually in association with dissolved organic carbon (DOC), which can bind aluminum and keep it in solution. A method for dilution determination was developed using a mass-balance equation for aluminum and considering sources of aluminum from groundwater, surface water, and filter-backwash effluents and losses caused by sedimentation, water withdrawal, and spill discharge from the reservoir. The method was applied to 13 reservoirs. Data on aluminum and DOC concentrations in reservoirs and influent water were collected during the fall of 2009. Complete reservoir volume was determined to be available for mixing on the basis of vertical and horizontal aluminum-concentration profiling. Losses caused by settling of aluminum were assumed to be proportional to aluminum concentration and reservoir area. The constant of proportionality, as a function of DOC concentration, was established by simulations in each of five reservoirs that differed in DOC concentration. In addition to computing dilution factors, the project determined dilution factors that would be protective with the same statistical basis (frequency of exceedance of the chronic standard) as dilutions computed for streams at the 7-day-average 10-year-recurrence annual low flow (the 7Q10). Low-flow dilutions are used for permitting so that receiving waters are protected even at the worst-case flow levels. The low-flow dilution factors that give the same statistical protection are the lowest annual 7-day-average dilution factors with a recurrence of 10 years, termed 7DF10s. Determination of 7DF10 values for reservoirs required that long periods of record be simulated so that dilution statistics could be determined. Dilution statistics were simulated for 13 reservoirs from 1960 to 2004 using U.S. Geological Survey Firm-Yield Estimator software to model reservoir inputs and outputs and present-day values of filter-effluent discharge and aluminum concentration. Computed settling velocities ranged from 0 centimeters per day (cm/d) at DOC concentrations of 15.5 milligrams per liter (mg/L) to 21.5 cm/d at DOC concentrations of 2.7 mg/L. The 7DF10 values were a function of aluminum effluent discharged. At current (2009) effluent discharge rates, the 7DF10 values varied from 1.8 to 115 among the 13 reservoirs. In most cases, the present-day (2009) discharge resulted in receiving water concentrations that did not exceed the standard at the 7DF10. Exceptions were one reservoir with a very small area and three reservoirs with high concentrations of DOC. Maximum permissible discharges were determined for water-treatment plants by adjusting discharges upward in simulations until the 7DF10 resulted in reservoir concentrations that just met the standard. In terms of aluminum flux, these discharges ranged from 0 to 28 kilograms of aluminum per day.

Massachusetts↗

BioShifts v2 and BioShiftR: Tools for navigating and analysing species range shift data

Species are redistributing their ranges globally in response to climate change, but the fragmented and complex nature of the documented responses make them challenging to track and analyze. Synthesis of species’ range shifts requires careful integration and consideration of varying methods and scales of study. Here, we present an updated database that combines two previous data repositories (BioShifts v1 and CoRE), complete with methodological information from original studies, spatial datasets of species and study locations, and associated climate exposure metrics calculated at multiple scales, together comprising a clean and interoperable relational database for future studies of range shifts. We make these data accessible through a companion open-source software tool, BioShiftR, that simplifies the navigation and analysis of estimated range shift rates in light of varying methods and hypothesized climate drivers. Together, these tools will facilitate tractable and robust downstream studies of range shifts, ultimately improving our understanding of species’ biogeographical responses to climate change.

EcoEvoRxiv↗

Toxicity of a traditional molluscicide to asian clam veligers

Aquaculture and hatchery industries are in need of effective control methods to reduce the risk of spreading aquatic invasive species, such as the Asian clam Corbicula fluminea , through aquaculture and hatchery activities. The planktonic nature of Asian clam veligers enables this life stage to enter water-based infrastructure undetected, including hatchery trucks used to stock fish. Once in hatchery trucks, veligers can disperse overland and establish in previously uninvaded habitats. As a result, there is a need to develop techniques that result in veliger mortality but do not harm fish. In September 2012, we conducted laboratory trials to determine if a molluscicide (750 mg/L potassium chloride and 25 mg/L formalin) commonly used to kill zebra mussel ( Dreissena polymorpha ) veligers in hatchery trucks can also effectively kill Asian clam veligers. We exposed Asian clam veligers to this molluscicide for 1, 3, and 5 h in each of two water types: deionized water and filtered lake water. We found ,20% mortality at the 1-h exposure period and 100% mortality at both the 3-h and 5-h exposure periods, regardless of water type. This laboratory study represents an important step toward reducing the spread of Asian clams by aquaculture facilities.

Journal of Fish and Wildlife Management↗

Particulate carbonate matter in snow from selected sites in the south-central Rocky Mountains

Trends in snow acidity reflect the balance between strong acid inputs and reactions with neutralizing materials. Carbonate dust can be an important contributor of buffering capacity to snow however, its concentration in snow is difficult to quantify because it dissolves rapidly in snowmelt. In snow with neutral or acidic pH, most calcite would dissolve during sample melting if snow samples were processed using standard techniques. Here a method is described for separating particulate carbonate matter from snow. Snow samples were melted in solutions close to saturation with calcite, decreasing the dissolution rate by a factor of 100-200 compared with natural melting of snow. Particulate matter larger than 0.45 ??m in diameter was then filtered from solution and analysed for carbonate content. Particulate carbonate matter concentrations are reported for 25 sites in the south-central Rocky Mountains. Results are compared with Ca2+ and H+ concentrations and regional trends are evaluated. In Colorado, mean particulate carbonate in snow was 43 ??g kg-1 at sampling sites in the southern mountains and only 4 ??g kg-1 at sites in the northern mountains. The higher calcite concentrations in the south probably are related to the proximity of sampling sites to major outcrops of limestone. Particulate carbonate at sampling sites in Utah and Wyoming ranged from 3-35 ??g kg-1. The levels of particulate calcite measured in snow samples are sufficient to neutralize an average of 0.4 ??eq H+ kg-1 snow. Strong acid anion concentrations in samples from east of Craig, Colorado, were 30-50% higher than in samples from the Colorado Front Range, but H+ concentrations were 400-600% higher east of Craig. Relatively low Ca2+ concentrations in the samples from east of Craig indicate that the difference in snow acidity was due mostly to lower concentrations of neutralizing materials.Trends in snow acidity reflect the balance between strong acid inputs and reactions with neutralizing materials. Carbonate dust can be an important contributor of buffering capacity to snow; however, its concentration in snow is difficult to quantify because it dissolves rapidly in snowmelt. In snow with neutral or acidic pH, most calcite would dissolve during sample melting if snow samples were processed using standard techniques. Here a method is described for separating particulate carbonate matter from snow. Snow samples were melted in solutions close to saturation with calcite, decreasing the dissolution rate by a factor of 100-200 compared with natural melting of snow. Particulate matter larger than .45 micrometers in diameter was then filtered from solution and analyzed for carbonate content.

Atmospheric Environment↗

Suggestions as to future research in ground‐water hydrology

Determination of the ground‐water supply available from any aquifer or in any specified area requires not merely the application of specific quantitative methods but also a broad and accurate knowledge of the geologic, hydrologlc, and geochemical factors that are involved, and consideration of the economic and legal limitations. Further research is needed as to geologic texture and structure in relation to the occurrence and movement of the water; the precise nature of specific yield, which determines the effective storage capacities of the aquifers; the molecular physics involved in the downward and upward movement of water in the zone of aeration, and quantitative evaluation of ground‐water recharge and discharge; the hydraulics of ground water, as studied by pumping test methods, with special reference to boundary conditions; studies of perennial yield of aquifers of low permeability; the genesis of the mineral contents of ground water as determined through appropriate geologic, hydrologlc, and chemical studies; and methods of geophysical exploration and well logging for determining the occurrence of ground water. Serious study is also needed as to practicable methods of implementing the recently developed principles and methods of ground‐water hydrology in the production of water supplies and the economic and legal problems involved.

Eos, Transactions, American Geophysical Union↗

Capacity, pressure, demand, and flow: A conceptual framework for analyzing ecosystem service provision and delivery

Ecosystem services provide an instinctive way to understand the trade-offs associated with natural resource management. However, despite their apparent usefulness, several hurdles have prevented ecosystem services from becoming deeply embedded in environmental decision-making. Ecosystem service studies vary widely in focal services, geographic extent, and in methods for defining and measuring services. Dissent among scientists on basic terminology and approaches to evaluating ecosystem services create difficulties for those trying to incorporate ecosystem services into decision-making. To facilitate clearer comparison among recent studies, we provide a synthesis of common terminology and explain a rationale and framework for distinguishing among the components of ecosystem service delivery, including: an ecosystem's capacity to produce services; ecological pressures that interfere with an ecosystem's ability to provide the service; societal demand for the service; and flow of the service to people. We discuss how interpretation and measurement of these four components can differ among provisioning, regulating, and cultural services. Our flexible framework treats service capacity, ecological pressure, demand, and flow as separate but interactive entities to improve our ability to evaluate the sustainability of service provision and to help guide management decisions. We consider ecosystem service provision to be sustainable when demand is met without decreasing capacity for future provision of that service or causing undesirable declines in other services. When ecosystem service demand exceeds ecosystem capacity to provide services, society can choose to enhance natural capacity, decrease demand and/or ecological pressure, or invest in a technological substitute. Because regulating services are frequently overlooked in environmental assessments, we provide a more detailed examination of regulating services and propose a novel method for quantifying the flow of regulating services based on estimates of ecological work. We anticipate that our synthesis and framework will reduce inconsistency and facilitate coherence across analyses of ecosystem services, thereby increasing their utility in environmental decision-making.

Ecological Complexity↗

A heuristic method to evaluate consequences for flight control and stability induced by attachment of biologging devices to birds and bats

Biologging is central to the study of wildlife, but questions remain about the minimization of effects of biologging devices. Rarely considered are changes biologging devices induce on an animal's centre of mass (COM) and resulting losses of flight control and stability. We applied established aeronautical principles to estimate how the COM of a flying bird or bat may be affected by the typical positioning of a biologging device on the neck, back, hips or tail. We then adopted modified thresholds from aerospace engineering to estimate limits beyond which changes to COM result in fitness-relevant alterations to flight control and stability. Generic models illustrate a trade-off between the placement and mass of a biologging device that influences flight control and stability. Seven species-specific examples show the substantial differences in consequences of changes to COM for animals of different sizes and body types. Placement of a device on the tail always resulted in the greatest shift in COM and placement in the centre of the back resulted in the smallest shift. The 5% weight threshold some use for a biologging device provides little room for error in terms of stability and can easily cause dangerous changes to COM. The 3% weight threshold others use causes considerably smaller changes in the COM, but when placed away from the natural COM, still can affect flight control and stability. Researchers interested in minimizing the effects to fitness of wildlife should consider weight, balance and COM when affixing biologging devices. The farther a device is from the natural COM, the smaller it should be relative to the mass of the animal.

Methods in Ecology and Evolution↗

Rehabilitation of lands mined for limestone in the Indian desert

In the Indian desert, the economics of mining is second only to agriculture in importance. However, research on the rehabilitation of land disturbed by mining has only recently received serious attention. An attempt has been made to determine both the qualitative and quantitative success of rehabilitation plans used to revegetate limestone mine spoils in an area near Barna, northwest arid India. Rehabilitation success was achieved using a combination of rainwater harvesting techniques, soil amendment application approaches, plant establishment methods and the selection of appropriate germplasm material (trees, shrubs and grasses). It is expected that the resulting vegetative cover will be capable of self-perpetuation under natural conditions while at the same time meeting the land-use needs of the local people. The minespoils have adequate levels of the major nutrients (except P, Mo and Se) for proper plant and grazing animal health. Levels of organic matter are low whereas total B concentrations are exceptionally high. Also, the population of soil fungi, Azotobactor, and nitrifying bacteria is negligible. Enhanced plant growth was achieved in treated plots, compared to control plots, where spoil moisture storage was improved by 5-45 per cent. Due to the decomposition of farmyard manure and nitrogen fixation by planted leguminous plant species, the electrical conductance of treated mine spoils increased threefold, CaCO3 content decreased from 20??0 to 5??2 per cent, and organic carbon, P, K, and biological activity increased significantly. The rehabilitation protocol used at the site appears to have been successful because plant self-regeneration is occurring. The increased diversity of woody perennials resulted in 'dominance' being better shared among species and 'evenness' being increased within the plant community elements. The early to mid-successional trends are continuing for six years following initial rehabilitation. This study developed methods for the rehabilitation of lands mined for limestone and has also resulted in an understanding of rehabilitation processes in arid regions with an emphasis on the long-term monitoring of rehabilitation success. Copyright ?? 2000 John Wiley & Sons, Ltd.

Land Degradation and Development↗

Characteristics of Hawaiian volcanoes

Founded in 1912 at the edge of the caldera of Kīlauea Volcano, HVO was the vision of Thomas A. Jaggar, Jr., a geologist from the Massachusetts Institute of Technology, whose studies of natural disasters around the world had convinced him that systematic, continuous observations of seismic and volcanic activity were needed to better understand—and potentially predict—earthquakes and volcanic eruptions. Jaggar summarized the aim of HVO by stating that “the work should be humanitarian” and have the goals of developing “prediction and methods of protecting life and property on the basis of sound scientific achievement.” These goals align well with those of the USGS, whose mission is to serve the Nation by providing reliable scientific information to describe and understand the Earth; minimize loss of life and property from natural disasters; manage natural resources; and enhance and protect our quality of life. “Characteristics of Hawaiian Volcanoes” establishes a benchmark for the current understanding of volcanism in Hawai‘i, and the articles herein build upon the elegant and pioneering work of Jaggar and many other USGS and academic scientists. Each chapter synthesizes the lessons learned about a specific aspect of volcanism in Hawai‘i, based largely on continuous observation of eruptive activity (like that occurring now at Kīlauea Volcano) and on systematic research into volcanic and earthquake processes during HVO’s first 100 years. Researchers and students interested in basaltic volcanism should find the volume to be a valuable starting point for future investigations of Hawaiian volcanoes and an important reference for decades to come, as well as an informative and entertaining read.

Hawaii↗

Methodology for inclusion of produced and stored carbon dioxide in the U.S. Geological Survey Federal lands greenhouse gas inventory

The U.S. Geological Survey (USGS) has developed two new carbon dioxide (CO2) emissions and sequestration accounting methods for use in future reports. The first method is a Federal lease-produced CO2 emissions calculation for an update of the report, “Federal Lands Greenhouse Gas Emissions and Sequestration in the United States.” The methodology to incorporate Federal lease CO2 production emissions into the updated report relies on CO2 sales royalty data from the Office of Natural Resources Revenue (ONRR). The end usage points for the gas include enhanced oil recovery with CO2 (CO2-EOR), food and beverage, and chemical production. CO2-EOR is the main end point for natural CO2 production in the United States; it accounted for 94% of usage in 2022 [1]. Federal lands emissions from this sector are estimated at 460 metric tons of CO2 in 2022, a very small amount relative to most other Federal lands emissions sector estimates. The second new method, planned for a separate report, is a calculation of the geologic storage of CO2 on Federal lands. The second method estimates the CO2 stored under Federal surface lands and documents Federal climate change mitigation efforts. Currently, there is no storage of CO2 at an industrial level on Federal lands, however multiple proposals and projects are planned. This method was developed on non-Federal lands datasets in an effort to prepare for when these activities on Federal lands will require accounting. National estimates for CO2 geologic storage using this method, but without a Federal lands filtering step, totaled 8.0 million metric tons (Mt) in 2022. The two methods described here are new benchmark methods in a collection of accounting procedures to document the current state of greenhouse gas emissions and their storage on Federal lands. These benchmarks can then be used to measure any subsequent changes in emissions from or carbon storage beneath Federal lands. While the magnitude of the values is currently non-existent to small, emissions mitigation goals established by decision makers indicate that these values will grow, and their documentation will take on greater value and use.

continental United States↗

Summary of exploration geochemical and mineralogical studies at the giant Pebble porphyry Cu-Au-Mo deposit, Alaska: Implications for exploration under cover

Exploration geochemical and mineralogical studies by the U.S. Geological Survey at the Pebble porphyry Cu-Au-Mo deposit were designed to (1) determine whether the concealed deposit can be detected with surface samples, (2) better understand the processes of metal migration from the deposit to the surface, and (3) test existing methods for assessing concealed mineral resources and/or develop new ones. Surface water (ponds, streams, and springs), pond and stream sediment, soils subjected to various leaching techniques, and glacial till samples were collected. The tilted nature of the undisturbed orebody, varying depth of cover, and later glacial processes, strongly influence the geochemical responses and processes active on the various sample media. The multimedia approach aids in identifying possible processes that caused the significant geochemical variations within and among the various media. These processes include the following: In the Pebble West zone, thin cover and local exposure of the orebody have facilitated the oxidation of pyrite and other sulfides, and associated ferrous-ferric iron reactions, resulting in the local natural acidification of ponds observed in the West zone, and in associated metal anomalies in waters, sediments, and soils. In contrast, the East zone is concealed by both glacial deposits and underlying thick cover rocks, which precludes the oxidation of sulfides in the underlying orebody. Low-level geochemical anomalies in circumneutral spring and pond waters from the East zone are discernible only by using high resolution-inductively coupled plasma-mass spectrometry with lower limits of determination two and perhaps three orders of magnitude lower than traditional methods. A variety of partial leaches of soils over the East zone reveal geochemical anomalies in a similar suite of elements that may be related to upwelling waters from depth along graben-bounding faults. The indicator minerals gold, jarosite, and andradite in till reveal a displaced mineralogical anomaly to the west and south of the Pebble orebody, as ore-related minerals were scraped from the orebody and deposited in till downice of the deposit. Geochemical anomalies in pond water and sediment over the displaced till are attributed to the ore-related minerals in till. This orientation study demonstrates the strong control of local geologic and geochemical settings on the effectiveness of different traditional and newer reconnaissance geochemical exploration techniques and thus has important implications for exploration.

Alaska↗

Executive summary. In Second State of the Carbon Cycle Report (SOCCR2): A Sustained Assessment Report

Central to life on Earth, carbon is essential to the molecular makeup of all living things and plays a key role in regulating global climate. To understand carbon’s role in these processes, researchers measure and evaluate carbon stocks and fluxes. A stock is the quantity of carbon contained in a pool or reservoir in the Earth system (e.g., carbon in forest trees), and a flux is the direction and rate of carbon’s transfer between pools (e.g., the movement of carbon from the atmosphere into forest trees during photosynthesis). This document, the Second State of the Carbon Cycle Report (SOCCR2), examines the patterns of carbon stocks and fluxes—collectively called the “carbon cycle.” Emphasis is given to these patterns in specific sectors (e.g., agriculture and energy) and ecosystems (e.g., forests and coastal waters) and to the response of the carbon cycle to human activity. The purpose of SOCCR2 is to assess the current state of the North American carbon cycle and to present recent advances in understanding the factors that influence it. Concentrating on North America—Canada, the United States, and Mexico—the report describes carbon cycling for air, land, inland waters (streams, rivers, lakes, and reservoirs), and coastal waters (see Figure ES.1, p. 23). The questions framing the publication A U.S. Carbon Cycle Science Plan (Michalak et al., 2011) inspired development of three slightly modified questions that guide SOCCR2’s content and focus on North America in a global context: How have natural processes and human actions affected the global carbon cycle on land, in the atmosphere, in the ocean and other aquatic systems, and at ecosystem interfaces (e.g., coastal, wetland, and urban-rural)? How have socioeconomic trends affected atmospheric levels of the primary carbon-containing gases, carbon dioxide (CO2) and methane (CH4)? How have species, ecosystems, natural resources, and human systems been impacted by increasing greenhouse gas (GHG) concentrations, associated changes in climate, and carbon management decisions and practices? SOCCR2 synthesizes the most recent understanding of carbon cycling in North America, assessing new carbon cycle findings and information, the state of knowledge regarding core methods used to study the carbon cycle, and future research needed to best inform carbon management and policy options. Focusing on scientific developments in the decade since the First State of the Carbon Cycle Report (SOCCR1; CCSP 2007), SOCCR2 summarizes the past, current, and projected state of carbon sources, sinks, and natural processes, as well as contributions by human activities. In addition to CO2 and CH4, the report sometimes discusses nitrous oxide (N2O), a GHG associated with activities and processes that affect fluxes of carbon gases.1 SOCCR2 also describes improvements in analysis tools; developments in decision support; and new insights into ecosystem carbon cycling, human causes of changes in the carbon cycle, and social science perspectives on carbon. Since publication of SOCCR1, coordinated research from agencies in the three North American countries has enabled innovative observational, analytical, and modeling capabilities to further advance understanding of the North American carbon cycle (see Appendix D: Carbon Measurement Approaches and Accounting Frameworks, p. 834). Some of the report’s main conclusions, based on the Key Findings of each chapter, are highlighted in Box ES.1, Main Findings of SOCCR2, p. 24.

Report↗

Multicriteria decision analysis applied to Glen Canyon Dam

Conflicts in water resources exist because river-reservoir systems are managed to optimize traditional benefits (e.g., hydropower and flood control), which are historically quantified in economic terms, whereas natural and environmental resources, including in-stream and riparian resources, are more difficult or impossible to quantify in economic terms. Multicriteria decision analysis provides a quantitative approach to evaluate resources subject to river basin management alternatives. This objective quantification method includes inputs from special interest groups, the general public, and concerned individuals, as well as professionals for each resource considered in a trade-off analysis. Multicriteria decision analysis is applied to resources and flow alternatives presented in the environmental impact statement for Glen Canyon Dam on the Colorado River. A numeric rating and priority-weighting scheme is used to evaluate 29 specific natural resource attributes, grouped into seven main resource objectives, for nine flow alternatives enumerated in the environmental impact statement.

Journal of Water Resources Planning and Management↗

Zero or not? Causes and consequences of zero-flow stream gage readings

Streamflow observations can be used to understand, predict, and contextualize hydrologic, ecological, and biogeochemical processes and conditions in streams. Stream gages are point measurements along rivers where streamflow is measured, and are often used to infer upstream watershed‐scale processes. When stream gages read zero, this may indicate that the stream has dried at this location; however, zero‐flow readings can also be caused by a wide range of other factors. Our ability to identify whether or not a zero‐flow gage reading indicates a dry fluvial system has far reaching environmental implications. Incorrect identification and interpretation by the data user can lead to inaccurate hydrologic, ecological, and/or biogeochemical predictions from models and analyses. Here, we describe several causes of zero‐flow gage readings: frozen surface water, flow reversals, instrument error, and natural or human‐driven upstream source losses or bypass flow. For these examples, we discuss the implications of zero‐flow interpretations. We also highlight additional methods for determining flow presence, including direct observations, statistical methods, and hydrologic models, which can be applied to interpret causes of zero‐flow gage readings and implications for reach‐ and watershed‐scale dynamics. Such efforts are necessary to improve our ability to understand and predict surface flow activation, cessation, and connectivity across river networks. Developing this integrated understanding of the wide range of possible meanings of zero‐flows will only attain greater importance in a more variable and changing hydrologic climate.

WIREs Water↗

Fire management of California shrubland landscapes

Fire management of California shrublands has been heavily influenced by policies designed for coniferous forests, however, fire suppression has not effectively excluded fire from chaparral and coastal sage scrub landscapes and catastrophic wildfires are not the result of unnatural fuel accumulation. There is no evidence that prescribed burning in these shrublands provides any resource benefit and in some areas may negatively impact shrublands by increasing fire frequency. Therefore, fire hazard reduction is the primary justification for prescription burning, but it is doubtful that rotational burning to create landscape age mosaics is a cost effective method of controlling catastrophic wildfires. There are problems with prescription burning in this crown-fire ecosystem that are not shared by forests with a natural surface-fire regime. Prescription weather conditions preclude burning at rotation intervals sufficient to effect the control of fires ignited under severe weather conditions. Fire management should focus on strategic placement of prescription burns to both insure the most efficient fire hazard reduction and to minimize the amount of landscape exposed to unnaturally high fire frequency. A major contributor to increased fire suppression costs and increased loss of property and lives is the continued urban sprawl into wildlands naturally subjected to high intensity crown fires. Differences in shrubland fire history suggest there may be a need for different fire management tactics between central coastal and southern California. Much less is known about shrubland fire history in the Sierra Nevada foothills and interior North Coast Ranges, and thus it would be prudent to not transfer these ideas too broadly across the range of chaparral until we have a clearer understanding of the extent of regional variation in shrubland fire regimes.

Environmental Management↗

Identifying spawning behavior in Pacific halibut ( Hippoglossus stenolepis ) using electronic tags

Identifying spawning behavior in Pacific halibut, Hippoglossus stenolepis, is particularly challenging because they occupy a deep, remote environment during the spawning season. To identify spawning events, a method is needed in which direct observation by humans is not employed. Spawning behavior of seven other flatfish, species has been directly observed in their natural environment by investigators using SCUBA. All of these flatfish species display almost identical spawning behavior that follows a routine. Therefore, it is reasonable to believe that this spawning behavior occurs in other flatfish species, including Pacific halibut. As part of a larger study, we recaptured two Pacific halibut on which Pop-up Archival Transmitting (PAT) tags had been attached during the winter spawning season. Because the tags were physically retrieved, we were able to collect minute-by-minute depth records for 135 and 155 days. We used these depth data to tentatively identify spawning events. On seven separate occasions between 20 January 2001 and 9 February 2001, one fish displayed a conspicuous routine only seen during the spawning season of Pacific halibut and the routine parallels the actions of other spawning flatfish directly observed by humans using SCUBA. Therefore, we propose this routine represents spawning behavior in Pacific halibut. The second tagged fish did not display the conspicuous routine, thus challenging the assumption that Pacific halibut are annual spawners. PAT tags may prove to be a useful tool for identifying spawning events of Pacific halibut, and that knowledge may be used for improved management in the future.

Environmental Biology of Fishes↗