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At least 811 records · Page 45Linked to original sources

Analysis of data on nutrients and organic compounds in ground water in the upper Snake River basin, Idaho and western Wyoming, 1980-91

Nutrient and organic compound data from the U.S. Geological Survey and the U.S. Environmental Protection Agency STORET data bases provided information for development of a preliminary conceptual model of spatial and temporal ground-water quality in the upper Snake River Basin. Nitrite plus nitrate (as nitrogen; hereafter referred to as nitrate) concentrations exceeded the Federal drinking-water regulation of 10 milligrams per liter in three areas in Idaho" the Idaho National Engineering Laboratory, the area north of Pocatello (Fort Hall area), and the area surrounding Burley. Water from many wells in the Twin Falls area also contained elevated (greater than two milligrams per liter) nitrate concentrations. Water from domestic wells contained the highest median nitrate concentrations; water from industrial and public supply wells contained the lowest. Nitrate concentrations decreased with increasing well depth, increasing depth to water (unsaturated thickness), and increasing depth below water table (saturated thickness). Kjeldahl nitrogen concentrations decreased with increasing well depth and depth below water table. The relation between kjeldahl nitrogen concentrations and depth to water was poor. Nitrate and total phosphorus concentrations in water from wells were correlated among three hydrogeomorphic regions in the upper Snake River Basin, Concentrations of nitrate were statistically higher in the eastern Snake River Plain and local aquifers than in the tributary valleys. There was no statistical difference in total phosphorus concentrations among the three hydrogeomorphic regions. Nitrate and total phosphorus concentrations were correlated with land-use classifications developed using the Geographic Information Retrieval and Analysis System. Concentrations of nitrate were statistically higher in area of agricultural land than in areas of rangeland. There was no statistical difference in concentrations between rangeland and urban land and between urban land and agricultural land. There was no statistical difference in total phosphorus concentrations among any of the land-use classifications. Nitrate and total phosphorus concentrations also were correlated with land-use classifications developed by the Idaho Department of Water Resources for the Idaho part of the upper Snake River Basin. Nitrate concentrations were statistically higher in areas of irrigated agriculture than in areas of dryland agriculture and rangeland. There was no statistical difference in total phosphorus concentrations among any of the Idaho Department of Water Resources land-use classifications. Data were sufficient to assess long-term trends of nitrate concentrations in water from only eight wells: four wells north of Burley and four wells northwest of Pocatello. The trend in nitrate concentrations in water from all wells in upward. The following organic compounds were detected in ground water in the upper Snake River Basin: cyanazine, 2,4-D DDT, dacthal, diazinon, dichloropropane, dieldrin, malathion, and metribuzin. Of 211 wells sampled for organic compounds, water from 17 contained detectable concentrations.

Idaho;Montana;Nevada;Utah;Wyoming↗

Maxent modeling for predicting potential distribution of goitered gazelle in central Iran: the effect of extent and grain size on performance of the model

The spatial scale of environmental layers is an important factor to consider in developing an understanding of ecological processes. This study employed Maxent modeling to investigate the geographic distribution of goitered gazelle, Gazella subgutturosa (Güldenstädt, 1780), in central Iran using uncorrelated variables at a spatial resolution of 250 m. We used spatial downscaling to downscale WorldClim data to 250-m resolution. We evaluated the sensitivity of the model to different grain and extent sizes from 250 m to 3 km. We compared the performance of the model at different scales using suitability indexes (AUC) and predicted habitat areas. Two models performed with AUC values higher than random (AUCun = 0.957, AUCpu = 0.953). The distribution of potential habitats at 250- m grid size was strongly influenced by bioclimatic data, vegetation type and density, and elevation. There were few spatial divergences between uncorrelated and pruned models. The mean AUC across eight different spatial scales ranged from 0.936 to 0.959. There was a significant negative correlation between grain size and AUC (R2 = 0.57). An increase in grain size increased the predicted habitat area. The extent size and AUC showed a positive correlation (R2 = 0.18). Predicted suitability habitat also decreased as extent size increased (R2 = 0.49). Spatial congruence AUC fluctuated within a small range and the maximum difference occurred between models of 1 × 1 and 2.5 × 2.5 km. These results showed that an increase in extent size is more accurate than an increase in grain size, and the maximum accuracy for predicting distribution of goitered gazelle in Iran was obtained if the grain size and extent size were 750 m.

Turkish Journal of Zoology↗

An evaluation of density-dependent and density-independent influences on population growth rates in Weddell seals

Much of the existing literature that evaluates the roles of density-dependent and density-independent factors on population dynamics has been called into question in recent years because measurement errors were not properly dealt with in analyses. Using state-space models to account for measurement errors, we evaluated a set of competing models for a 22-year time series of mark-resight estimates of abundance for a breeding population of female Weddell seals (Leptonychotes weddellii) studied in Erebus Bay, Antarctica. We tested for evidence of direct density dependence in growth rates and evaluated whether equilibrium population size was related to seasonal sea-ice extent and the Southern Oscillation Index (SOI). We found strong evidence of negative density dependence in annual growth rates for a population whose estimated size ranged from 438 to 623 females during the study. Based on Bayes factors, a density-dependence-only model was favored over models that also included en! vironmental covariates. According to the favored model, the population had a stationary distribution with a mean of 497 females (SD = 60.5), an expected growth rate of 1.10 (95% credible interval 1.08-1.15) when population size was 441 females, and a rate of 0.90 (95% credible interval 0.87-0.93) for a population of 553 females. A model including effects of SOI did receive some support and indicated a positive relationship between SOI and population size. However, effects of SOI were not large, and including the effect did not greatly reduce our estimate of process variation. We speculate that direct density dependence occurred because rates of adult survival, breeding, and temporary emigration were affected by limitations on per capita food resources and space for parturition and pup-rearing. To improve understanding of the relative roles of various demographic components and their associated vital rates to population growth rate, mark-recapture methods can be applied that incorporate both environmental covariates and the seal abundance estimates that were developed here. An improved understanding of why vital rates change with changing population abundance will only come as we develop a better understanding of the processes affecting marine food resources in the Southern Ocean.

Ecology↗

Field manual for the investigation of fish kills

Preface Fish kills are graphic evidence of serious problems in a lake or stream. If the kill is related to the presence of toxic chemicals, there may be human health concerns, in addition to the obvious damage to the ecosystem and the fisheries resources. Depending on the cause of a fish kill, legal and economic ramifications may be involved. If the kill is cause by human or corporate actions, litigation is likely to follow, with possible court-awarded damages and assessed costs for cleanup and restoration. Federal and State agencies have expressed the need for a compendium of known and accepted methods and techniques that should be followed by anyone investigation a fish kill. This manual is an attempt to fill that need. It addresses the many facets involved in a fish kill investigation and provides instruction, guidance, examples, and sample forms that can be used. The U.S. Fish and Wildlife Service is pleased to provide this manual to help fisheries biologists and others prepare for a fish kill investigation. Research and Development (Region 8) has cooperated with the Division of Environmental Contaminants in Fish and Wildlife Enhancement to provide expertise and funds. We hope that the manual proves to be useful for interpreting evidence at the site of a fish kill, and corrective actions, and preparing for appearance as a court witness.

Resource Publication↗

Applications of selective ion exchange for perchlorate removal, recovery, and environmental forensics

Perchlorate (ClO4-) is a widespread contaminant found in drinking water and groundwater that has caused far-reaching ramifications ranging from public health issues to potential liabilities arising from environmental clean-up requirements. The chapter summarizes recent developments in highly selective and regenerable ion exchange technologies for removing ClO4- from contaminated water. The technologies rely on a unique, highly specific resin to trap ClO4-. The resin is then regenerated and ClO4- is either destroyed or recovered—leading to significant cost reduction and waste minimization. The ability to recover trace quantities of pure ClO4- from contaminated media also allows unambiguous identification of the sources of its contamination through stable isotope ratio analysis of chlorine and oxygen atoms. We provide detailed descriptions of the techniques for extracting, purifying, and crystallizing trade amounts of ClO4- and characterizing its isotopic composition for fingerprinting in the environment.

Book chapter↗

State of the science and decision support for measuring suspended sediment with acoustic instrumentation

Acoustic instrumentation can be used to provide time-series and discrete estimates of suspended-sediment concentration, load, and sediment particle sizes in fluvial systems, which are essential for creating informed solutions to many sediment-related environmental, engineering, and land management concerns. Historically, scientists have developed relations between suspended sediment characteristics and other parameters, most commonly streamflow, to estimate sediment information when physical sediment samples cannot be collected. Approaches using streamflow can have substantial accuracy limitations because of hysteresis effects, giving rise to the use of more direct surrogate approaches such as acoustic methods. Interagency efforts in recent years have advanced the testing, methods development, operational guidelines, and training on acoustic methods for measuring suspended sediment. Scientists interested in using these methods are faced with many decisions on the type of application and deployment: horizontal profiling, vertical profiling, or point acoustic instruments; single or multifrequency instruments; continuous or discrete sediment measurements; and fixed or mobile instrument deployments. To promote cost-effective, accurate, and high-resolution fluvial sediment data for the Nation, the interagency Sediment Acoustic Leadership Team (SALT) develops technical guidance and training for using acoustic instruments to measure aquatic sediment. Even though acoustic instrumentation has been used successfully to measure suspended-sediment characteristics throughout the world, some deployments have been unsuccessful because of limited technical guidance and selection of an inappropriate method. To guide decisions on method selection, the SALT has compiled the state of the science for the main types of acoustics-based suspended-sediment measurement methods in development, testing, and use, and has created a flowchart to guide method selection.

Conference Paper↗

Climate-smart agriculture for Ukraine: Winter wheat breeding for food security and climate adaptation

Since the onset of the COVID-19 pandemic in early 2020, people have experienced food insecurity challenges because of increased prices of staple food commodities and loss of income or livelihood. Globally, countries with limited capacity to adapt have struggled to recover from pandemic-related disruptions and are further challenged to address adverse effects of climate change on agricultural production (United Nations [UN], 2022). Ukraine, a key agricultural exporter of staple food commodities, has a vital role in contributing to global food security, in particular through its wheat exports to countries in the Middle East, North Africa, and Europe (Martyshev and others, 2023). However, Ukraine’s role as a stable source of global wheat has been disrupted by the ongoing Russia-Ukraine war—a conflict which began in February of 2022. Given the fragile state of global and local markets and food systems, and the increasing risk climate change poses to agricultural production globally, Ukraine has prioritized adopting efficient agricultural practices to contribute to stabilizing crop yields and to increase its capacity to export wheat and other staple crops. According to Ukraine’s Ministry of Agrarian Policy and Food (MINAGRO), along with addressing climate change, a contributing driver for this prioritization is the desire to join the European Union (EU) and the need to meet the requirements for the EU’s Common Agricultural Policy (CAP) for acceptance as a union member state (Markiyan Dmytrasevych, a former deputy minister of MINAGRO, oral commun., 2023). As a result, MINAGRO is considering climate-smart agricultural practices to secure future crop yields and build resilience within its agricultural sector, especially as the war has impeded millions of tons of crops from reaching domestic and global markets. This report employs the climate-smart agriculture framework to provide Ukrainian agricultural policy- and decision makers and others in technical and development assistance roles with an overview of relevant climate, environmental, and agricultural policy and market factors, and projections on climate and environmental resources that could influence the implementation of climate-smart agricultural practices in Ukraine, and aid Ukraine in successfully joining the EU.

Report↗

Incorporating evolutionary insights to improve ecotoxicology for freshwater species

Ecotoxicological studies have provided extensive insights into the lethal and sublethal effects of environmental contaminants. These insights are critical for environmental regulatory frameworks, which rely on knowledge of toxicity for developing policies to manage contaminants. While varied approaches have been applied to ecotoxicological questions, perspectives related to the evolutionary history of focal species or populations have received little consideration. Here, we evaluate chloride toxicity from the perspectives of both macroevolution and contemporary evolution. First, by mapping chloride toxicity values derived from the literature onto a phylogeny of macroinvertebrates, fish, and amphibians, we tested whether macroevolutionary relationships across species and taxa are predictive of chloride tolerance. Next, we conducted chloride exposure tests for two amphibian species to assess whether potential contemporary evolutionary change associated with environmental chloride contamination influences chloride tolerance across local populations. We show that explicitly evaluating both macroevolution and contemporary evolution can provide important and even qualitatively different insights from those obtained via traditional ecotoxicological studies. While macroevolutionary perspectives can help forecast toxicological end points for species with untested sensitivities, contemporary evolutionary perspectives demonstrate the need to consider the environmental context of exposed populations when measuring toxicity. Accounting for divergence among populations of interest can provide more accurate and relevant information related to the sensitivity of populations that may be evolving in response to selection from contaminant exposure. Our data show that approaches accounting for and specifically examining variation among natural populations should become standard practice in ecotoxicology.

Evolutionary Applications↗

Nanomaterials in the environment: Behavior, fate, bioavailability, and effects—An updated review

The present review covers developments in studies of nanomaterials (NMs) in the environment since our much cited review in 2008. We discuss novel insights into fate and behavior, metrology, transformations, bioavailability, toxicity mechanisms, and environmental impacts, with a focus on terrestrial and aquatic systems. Overall, the findings were that: 1) despite substantial developments, critical gaps remain, in large part due to the lack of analytical, modeling, and field capabilities, and also due to the breadth and complexity of the area; 2) a key knowledge gap is the lack of data on environmental concentrations and dosimetry generally; 3) substantial evidence shows that there are nanospecific effects (different from the effects of both ions and larger particles) on the environment in terms of fate, bioavailability, and toxicity, but this is not consistent for all NMs, species, and relevant processes; 4) a paradigm is emerging that NMs are less toxic than equivalent dissolved materials but more toxic than the corresponding bulk materials; and 5) translation of incompletely understood science into regulation and policy continues to be challenging. There is a developing consensus that NMs may pose a relatively low environmental risk, but because of uncertainty and lack of data in many areas, definitive conclusions cannot be drawn. In addition, this emerging consensus will likely change rapidly with qualitative changes in the technology and increased future discharges.

Environmental Toxicology and Chemistry↗

Evaluation of an impulse-response emulator for groundwater contaminant transport modeling

There is a significant need to develop decision support tools capable of delivering accurate representations of environmental conditions, such as ground and surface water solute concentrations, in a timely and computationally efficient manner. Such tools can be leveraged to assess a large number of potential management strategies for mitigating non-point source pollutants. Here, we assess the effectiveness of the impulse-response emulation approach to approximate process-based groundwater model estimates of solute transport from MODFLOW and MT3D over a wide range of model inputs and parameters, with the goal of assessing where in parameter space the assumptions underlying this emulation approach are valid. The impulse-response emulator was developed using the sensitivity analysis utilities in the PEST++ software suite and is capable of approximating MODFLOW/MT3D estimates of solute transport over a large portion of the parameter space tested, except in cases where the Courant number is above 0.5. Across all runs tested, the highest percent errors were at the plume fronts. These results suggest that the impulse-response approach may be suitable for emulation of solute transport models for a wide range of cases, except when high-resolution outputs are needed, or when very low concentrations at plume edges are of particular interest.

Groundwater↗

The environmental control of sedimentary iron minerals

An Eh-pH stability diagram is developed for hematite, magnetite, siderite, pyrite, and iron sulfide that indicates the relative position of their stability fields in a normal sea water system. With the exception of the magnetite-siderite relationship, Eh is much more critical than pH. In general terms, hematite is stable under oxidizing conditions, siderite and magnetite under intermediate to moderately reducing conditions, pyrite under moderate to strongly reducing conditions, and iron sulfide under still stronger reducing conditions. Because of numerous variables involved the relative positions of the stability fields are stressed rather than their limits on the Eh and pH scales. The inclusion of a magnetite field suggests that magnetite should be much more important as a primary or diagenetic mineral in sedimentary rocks than has been commonly recognized. This is in accord with numerous recent suggestions to that effect. The importance of thermodynamic equilibrium is stressed and it is suggested that differences in rates of formation of the various minerals and the persistence of some metastable phases are among the commonest causes of lack of equilibrium.

Economic Geology↗

Development of a Watershed Boundary Dataset for Mississippi

The U.S. Geological Survey, in cooperation with the Mississippi Department of Environmental Quality, U.S. Department of Agriculture-Natural Resources Conservation Service, Mississippi Department of Transportation, U.S. Department of Agriculture-Forest Service, and the Mississippi Automated Resource Information System, developed a 1:24,000-scale Watershed Boundary Dataset for Mississippi including watershed and subwatershed boundaries, codes, names, and drainage areas. The Watershed Boundary Dataset for Mississippi provides a standard geographical framework for water-resources and selected land-resources planning. The original 8-digit subbasins (hydrologic unit codes) were further subdivided into 10-digit watersheds and 12-digit subwatersheds - the exceptions are the Lower Mississippi River Alluvial Plain (known locally as the Delta) and the Mississippi River inside levees, which were only subdivided into 10-digit watersheds. Also, large water bodies in the Mississippi Sound along the coast were not delineated as small as a typical 12-digit subwatershed. All of the data - including watershed and subwatershed boundaries, hydrologic unit codes and names, and drainage-area data - are stored in a Geographic Information System database.

Open-File Report↗

Inhibition of hydroxyl radical reaction with aromatics by dissolved natural organic matter

Reaction of aromatic compounds with hydroxyl radical is inhibited by dissolved natural organic matter (NOM). The degree of inhibition is significantly greater than that expected based on a simple model in which aromatic compound molecules bound to NOM are considered to be unreactive. In this study, hydroxyl radical was produced at steady-state concentrations using Fenton chemistry (H2O2 + Fe2+ ??? Fe3+ + HO- + HO??). Suwannee River fulvic acid and humic acid were used as NOM. The most likely mechanism for the observed inhibition is that hydroxyl radical formation occurs in microenvironmental sites remote from the aromatic compounds. In addition to changes in kinetics, pyrene hydroxyl radical reaction also exhibited a mechanistic change in the presence of fulvic acid. The mechanism changed from a reaction that was apparently firstorder in pyrene to one that was apparently secondorder in pyrene, indicating that pyrene self-reaction may have become the dominant mechanism in the presence of fulvic acid. Dissolved NOM causes significant changes in the rate and mechanism of hydroxyl radical degradation of aromatic compounds. Consequently, literature rate constants measured in pure water will not be useful for predicting the degradation of pollutants in environmental systems. The kinetic and mechanistic information in this study will be useful for developing improved degradation methods involving Fenton chemistry.Reaction of aromatic compounds with hydroxyl radical is inhibited by dissolved natural organic matter (NOM). The degree of inhibition is significantly greater than that expected based on a simple model in which aromatic compounds molecules bounds to NOM are considered to be unreactive. In this study, hydroxyl radical was produced at steady-state concentrations using Fenton chemistry (H2O2 + Fe2+ ??? Fe3+ + HO- + HO??). Suwannee River fulvic acid and humic acid were used as NOM. The most likely mechanisms for the observed inhibition is that hydroxyl radical formation occurs in microenvironmental sites remote from the aromatic compounds. In addition to changes in kinetics, pyrene hydroxyl radical reaction also exhibited a mechanistic change in the presence of fulvic acid. The mechanism changed from a reaction that was apparently first-order in pyrene to one that was apparently second-order in pyrene, indicating that pyrene self-reaction may have become the dominant mechanism in the presence of fulvic acid. Dissolved NOM causes significant changes in the rate and mechanism of hydroxyl radical degradation of aromatic compounds. Consequently, literature rate constants measured in pure water will not be useful for predicting the degradation of pollutants in environmental systems. The kinetic and mechanistic information in this study will be useful for developing improved degradation methods involving Fenton chemistry.

Environmental Science & Technology↗

Management of Urban Stormwater Runoff in the Chesapeake Bay Watershed

Urban and suburban development is associated with elevated nutrients, sediment, and other pollutants in stormwater runoff, impacting the physical and environmental health of area streams and downstream water bodies such as the Chesapeake Bay. Stormwater management facilities, also known as Best Management Practices (BMPs), are increasingly being used in urban areas to replace functions, such as flood protection and water quality improvement, originally performed by wetlands and riparian areas. Scientists from the U.S. Geological Survey (USGS) have partnered with local, academic, and other Federal agency scientists to better understand the effectiveness of different stormwater management systems with respect to Chesapeake Bay health. Management of stormwater runoff is necessary in urban areas to address flooding and water quality concerns. Improving our understanding of what stormwater management actions may be best suited for different types of developed areas could help protect the environmental health of downstream water bodies that ultimately receive runoff from urban landscapes.

Fact Sheet↗

Antibiotic resistance in free-ranging wildlife

In this chapter, we provide an overview of antimicrobial resistant (AMR) bacteria in wildlife through the presentation of general trends of occurrence among both captive and free-ranging wild animal populations, discussion of importance to human health and wildlife conservation, and identification of priority areas for future research and monitoring efforts. Once most commonly identified in humans and domestic animals, AMR bacteria have now been reported to be widespread among free-ranging and captive wildlife and the broader environment. Antimicrobial resistance has been identified in wildlife inhabiting nearly every country, region, and habitat type from which samples have been obtained, although occurrence may be more common in animals that occupy anthropogenically impacted environments. Though AMR bacteria identified in free-ranging wildlife have generally not been associated with direct health impacts to the host, specific bacteria and types of resistance found in wildlife may be clinically relevant to humans. Furthermore, AMR bacteria harbored by captive or free-ranging animals may complicate veterinary treatment of captive, rare, or vulnerable wildlife provided care. Future investigations may obtain important information on the acquisition and dissemination of AMR bacteria by wildlife through the comparison of resistance harbored by bacteria from wildlife and the environments they occupy. The identification of specific environmental pathways through which resistance may be acquired would help to guide the development of intervention strategies to interrupt further spread of antimicrobial resistance to, from, and among wildlife. Implications of such strategies may also extend more broadly to promote domestic animal, human, and environmental health.

Book chapter↗

A moving target—incorporating knowledge of the spatial ecology of fish into the assessment and management of freshwater fish populations

Freshwater fish move vertically and horizontally through the aquatic landscape for a variety of reasons, such as to find and exploit patchy resources or to locate essential habitats (e.g., for spawning). Inherent challenges exist with the assessment of fish populations because they are moving targets. We submit that quantifying and describing the spatial ecology of fish and their habitat is an important component of freshwater fishery assessment and management. With a growing number of tools available for studying the spatial ecology of fishes (e.g., telemetry, population genetics, hydroacoustics, otolith microchemistry, stable isotope analysis), new knowledge can now be generated and incorporated into biological assessment and fishery management. For example, knowing when, where, and how to deploy assessment gears is essential to inform, refine, or calibrate assessment protocols. Such information is also useful for quantifying or avoiding bycatch of imperiled species. Knowledge of habitat connectivity and usage can identify critically important migration corridors and habitats and can be used to improve our understanding of variables that influence spatial structuring of fish populations. Similarly, demographic processes are partly driven by the behavior of fish and mediated by environmental drivers. Information on these processes is critical to the development and application of realistic population dynamics models. Collectively, biological assessment, when informed by knowledge of spatial ecology, can provide managers with the ability to understand how and when fish and their habitats may be exposed to different threats. Naturally, this knowledge helps to better evaluate or develop strategies to protect the long-term viability of fishery production. Failure to understand the spatial ecology of fishes and to incorporate spatiotemporal data can bias population assessments and forecasts and potentially lead to ineffective or counterproductive management actions.

Environmental Monitoring and Assessment↗

Uncertainty, learning, and the optimal management of wildlife

Wildlife management is limited by uncontrolled and often unrecognized environmental variation, by limited capabilities to observe and control animal populations, and by a lack of understanding about the biological processes driving population dynamics. In this paper I describe a comprehensive framework for management that includes multiple models and likelihood values to account for structural uncertainty, along with stochastic factors to account for environmental variation, random sampling, and partial controllability. Adaptive optimization is developed in terms of the optimal control of incompletely understood populations, with the expected value of perfect information measuring the potential for improving control through learning. The framework for optimal adaptive control is generalized by including partial observability and non-adaptive, sample-based updating of model likelihoods. Passive adaptive management is derived as a special case of constrained adaptive optimization, representing a potentially efficient suboptimal alternative that nonetheless accounts for structural uncertainty.

Environmental and Ecological Statistics↗

Toxic effects of dietary methylmercury on immune system development in nestling American kestrels ( Falco sparverius )

This study evaluated the effects of dietary methylmercury (MeHg) on immune system development in captive-reared nestling American kestrels ( Falco sparverius ) to determine whether T cell–mediated and antibody-mediated adaptive immunity are targets for MeHg toxicity at environmentally relevant concentrations. Nestlings received various diets, including 0 (control), 0.6, and 3.9 μg/g (dry wt) MeHg for up to 18 d posthatch. Immunotoxicity endpoints included cell-mediated immunity (CMI) using the phytohemagglutinin (PHA) skin-swelling assay and antibody-mediated immune response via the sheep red blood cell (SRBC) hemagglutination assay. T cell– and B cell–dependent histological parameters in the spleen, thymus, and bursa of Fabricius were correlated with the functional assays. For nestlings in the 0.6 and 3.9 μg/g MeHg groups, CMI was suppressed by 73 and 62%, respectively, at 11 d of age. Results of this functional assay were correlated with T cell–dependent components of the spleen and thymus. Dose-dependent lymphoid depletion in spleen tissue directly affected the proliferation of T-lymphocyte populations, insofar as lower stimulation indexes from the PHA assay occurred in nestlings with lower proportions of splenic white pulp and higher THg concentrations. Nestlings in the 3.9 μg/g group also exhibited lymphoid depletion and a lack of macrophage activity in the thymus. Methylmercury did not have a noticeable effect on antibody-mediated immune function or B cell–dependent histological correlates. We conclude that T cell–mediated immunosuppression is the primary target of MeHg toward adaptive immunity in developing kestrels. This study provides evidence that environmentally relevant concentrations of MeHg may compromise immunocompetence in a developing terrestrial predator and raises concern regarding the long-term health effects of kestrels that were exposed to dietary MeHg during early avian development.

Environmental Toxicology and Chemistry↗