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At least 811 records · Page 45Linked to original sources

Studies of fluid inclusions iii: Extraction and uantitative analysis of inclusions in the milligram range

A method has been developed for the extraction and chemical microanalysis of individual fluid inclusions , or groups of inclusions , in the milligram range . Usable quantitative analyses for Na, K, Ca, Mg, CI, B, and SO* have been obtained of mineral samples containing several milligrams of inclusion fluid , and with increased experimental errors, on fractional milligram samples. The steps involved are: 1) concentration of inclusions by sample selection and cutting; 2) electrolytic cleaning; 3) crushing in soft copper sample tube in vacuo; 4) conversion of emitted water to hydrogen and determination of its volume; 5) mass spectrometric determination of the D/H ratio if desired; 6) leaching of the crushed mineral to dissolve soluble salts remaining; 7) microanalysis of the filtrate by sensitive colorimetric and flame photometric methods. The method has been applied to determine the composition of fluid inclusions in mineral samples from several types of deposits, with special attention to a series of samples from Mississippi Valley-type ore deposits.

Economic Geology↗

Geochemistry of coastal tarballs in southern California—A tribute to I. R. Kaplan

In the southern offshore California borderland, natural oil seeps occur mainly in the Santa Barbara Channel and Santa Monica Bay. Coastal tar residues (tarballs) from beaches bordering these water bodies were analyzed for six geochemical parameters: stable carbon isotopic compositions (δ 13 C) and four biomarker ratios (C 28 IC 29 hopane, sterane/hopane, refractory index, bisnorhopane index), and the presence or absence of trisnorhopane. The objectives of this study were to group these residues and infer possible sources and transport directions. Three major groups were established. Two groups are likely from natural seeps near the Channel Islands, whereas the third group probably comes from seeps within Santa Monica Bay. Residues from all groups occur on the Channel Islands and on mainland beaches from as far south as San Diego to Point Reyes north of San Francisco.

California↗

The application of microtextural and heavy mineral analysis to discriminate between storm and tsunami deposits

Recent work has applied microtextural and heavy mineral analyses to sandy storm and tsunami deposits from Portugal, Scotland, Indonesia and the USA. We looked at the interpretation of microtextural imagery (scanning electron microscopy) of quartz grains and heavy mineral compositions. We consider inundation events of different chronologies and sources (the AD 1755 Lisbon and 2004 Indian Ocean tsunamis, the Great Storm of 11 January 2005 in Scotland, and Hurricane Sandy in 2012) that affected contrasting coastal and hinterland settings with different regional oceanographic conditions. Storm and tsunami deposits were examined along with potential source sediments (alluvial, beach, dune and nearshore sediments) to determine provenance. Results suggest that tsunami deposits typically exhibit a significant spatial variation in grain sizes, microtextures and heavy minerals. Storm deposits show less variability, especially in vertical profiles. Tsunami and storm quartz grains had more percussion marks and fresh surfaces compared to potential source material. Moreover, in the studied cases, tsunami samples had fewer fresh surfaces than storm deposits. Heavy mineral assemblages are typically site-specific. The concentration of heavy minerals decreases upwards in tsunamigenic units, whereas storm sediments show cyclic concentrations of heavy minerals, reflected in the laminations observed macroscopically in the deposits.

Geological Society, London, Special Publications↗

Astrogeologic studies, semiannual progress report, February 26, 1961 to August 24, 1961

This report is the second semiannual report on a geological program of research conducted by the Geological Survey on behalf of the National Aeronautics and Space Administration. This research is being carried out under the Branch of Astrogeology. The long-range objectives of this program are to determine and map the stratigraphy and structure of the Moon's crust, to develop basic information on processes that have led to the present condition of the Moon's surface, and to work out the sequence of events in the geologic history recorded in the Moon's stratigraphy and structure. The work includes three closely interrelated areas of study: (1) investigation of the chemistry, petrography, and physical properties of extraterrestrial materials that may have been derived from the Moon, such as tektites, certain types of meteorites, and extraterrestrial dust; (2) experimental and field investigations of the mechanics and phenomena of impact of high-speed objects and of cratering; and (3) geologic mapping of the Moon. Immediate objectives for the fiscal year 1961 have included the preparation of geologic maps for the nominal target area for the Ranger Project of the National Aeronautics and Space Administration. Field and laboratory work on craters was directed toward developing data and an adequate theory for the integrated effect of meteoroid bombardment of the lunar surface. Special attention has been given to phase changes and solid state changes produced in rock by meteorite impact. American and Philippine tektites were the principal materials of possible lunar origin to receive detailed petrographic and chemical analysis.

Open-File Report↗

Plumes, or plate tectonic processes?

Hotspots – large volcanic provinces – such as Iceland, Hawaii and Yellowstone, are almost universally assumed to come from plumes of hot mantle rising from deep within the Earth. At Iceland, perhaps the best-studied hotspot on Earth, this hypothesis is inconsistent with many first-order observations, such as the lack of high temperatures, a volcanic track or a seismic anomaly in the lower mantle. The great melt production there is explained better by enhanced fertility in the mantle where the mid-Atlantic spreading ridge crosses the Caledonian suture zone. The thick crust built by the excessive melt production encourages complex, unstable, leaky microplate tectonics, which provides positive feedback by enhancing volcanism further. Such a model explains Iceland as a natural consequence of relatively shallow processes related to plate tectonics, and accounts for all the first- and second-order geophysical, geological and geochemical observations at Iceland without special pleading or invoking coincidences.

Astronomy and Geophysics↗

Fluvial sediment in the little Arkansas River basin, Kansas

Characteristics and transport of sediment in the Little Arkansas River basin in south-central Kansas were studied to determine if the water from the river could be used as a supplemental source for municipal supply or would provide adequate recharge to aquifers that are sources of municipal and agricultural water supplies. During periods when overland 1low contributed a significant amount to streamflow, the suspended sediment in the Little Arkansas River at Valley Center averaged about 85 percent of clay, about 13 percent of silt, and about 2 percent of sand. The average annual suspended-sediment discharge for the water years 1958, 1959, 1960, and 1961 was about 306,000 tons, and about 80 percent of the load was transported during 133 days of the 1,461-day period. The average daily water discharge of 352 cubic feet per second for the period 1958-61 was more than the long-term (i}9-year) average of 245 cfs; therefore, the average annual sediment load for 1958-61 was probably greater than the average annual load for the same long-term period. Studies of seepage in a part of the channel of Kisiwa Creek indicated that an upstream gravel-pit operation yielded clays which, when deposited in the channel, reduced seepage. A change in plant operation and subsequent runoff that removed the deposited clays restored natural seepage conditions. Experiments by the Wichita Water Department showed that artificial recharge probably cannot be accomplished by using raw turbid water that is injected into wells or by using pits. Recharge by raw turbid water on large permeable areas or by seepage canals may be feasible. Studies of chemical quality of surface water at several sites in the Little Arkansas River basin indicate that Turkey. Creek is a major contributor of chloride and other dissolved solids to the Little Arkansas River and that the dissolved-solids content is probably highest during low-flow periods when suspended-sediment concentration is low. Data collected by the Wichita Water Department indicate that chloride concentrations are diminishing with time at sampled locations. and they receive recharge from rainwater and snowmelt moving through overlying alluvium and from storage in the De Chelly sandstone which encloses the east half of the diatreme. The quality of water from all areas is suitable for domestic use. However, special treatment may be necessary to make the water suitable for pulp processing.

Water Supply Paper↗

Faulting and groundwater in a desert environment: constraining hydrogeology using time-domain electromagnetic data

Within the south-western Mojave Desert, the Joshua Basin Water District is considering applying imported water into infiltration ponds in the Joshua Tree groundwater sub-basin in an attempt to artificially recharge the underlying aquifer. Scarce subsurface hydrogeological data are available near the proposed recharge site; therefore, time-domain electromagnetic (TDEM) data were collected and analysed to characterize the subsurface. TDEM soundings were acquired to estimate the depth to water on either side of the Pinto Mountain Fault, a major east-west trending strike-slip fault that transects the proposed recharge site. While TDEM is a standard technique for groundwater investigations, special care must be taken when acquiring and interpreting TDEM data in a twodimensional (2D) faulted environment. A subset of the TDEM data consistent with a layered-earth interpretation was identified through a combination of three-dimensional (3D) forward modelling and diffusion time-distance estimates. Inverse modelling indicates an offset in water table elevation of nearly 40 m across the fault. These findings imply that the fault acts as a low-permeability barrier to groundwater flow in the vicinity of the proposed recharge site. Existing production wells on the south side of the fault, together with a thick unsaturated zone and permeable near-surface deposits, suggest the southern half of the study area is suitable for artificial recharge. These results illustrate the effectiveness of targeted TDEM in support of hydrological studies in a heavily faulted desert environment where data are scarce and the cost of obtaining these data by conventional drilling techniques is prohibitive.

Near Surface Geophysics↗

Prioritizing habitats based on abundance and distribution of molting waterfowl in the Teshekpuk Lake Special Area of the National Petroleum Reserve, Alaska

The National Petroleum Reserve in Alaska (NPR-A) encompasses more than 9.5 million hectares of federally managed land on the Arctic Coastal Plain of northern Alaska, where it supports a diversity of wildlife, including millions of migratory birds. Within the NPR-A, Teshekpuk Lake and the surrounding area provide important habitat for migratory birds and this area has been designated by the Bureau of Land Management as the Teshekpuk Lake Special Area (TLSA) because numerous waterfowl species use the area for breeding and molting. Our goal was to provide a mechanism for land managers to assess relative value of areas for molting waterfowl. This approach was based on the population densities of Pacific black brant ( Branta bernicla nigricans ) and cackling geese ( Branta hutchinsii ) and pre-defined thresholds for the minimum fraction of the population contained within selected areas. Prioritizations were based on long-term records of population density combined with global-positioning system data to reveal small-scale patterns of habitat use. The highest population density of the Pacific black brant was found along the Beaufort Sea coast on the eastern edge of the study area, whereas cackling geese were somewhat more widely distributed. Depending on the criteria used for prioritization and width of protective buffers placed around selected units, 52–85% of the Goose Molting Area was identified as high-priority area. The effectiveness of this approach to protection of molting birds assumes that buffers around high value units are wide enough to provide adequate protection from disturbance related to oil and gas development.

Alaska↗

The fishes of George Washington Carver National Monument, Missouri, 2003

Fish were collected at six sites at George Washington Carver National Monument by seining and electrofishing during a base-flow period on July 17-18, 2003. Approximately 700 fish were collected and identified at the six sampling sites. Those individuals represented 17 species (and 1 hybrid) and 13 genera. The number of species collected at the five stream sites ranged from 9 to 12; a hybrid sunfish and 4 species were collected from a pond. Fish collected at stream sites were typical of small headwater streams and no species collected in this study are federally-listed threatened or endangered species. The three most common species were the southern redbelly dace, central stoneroller, and green sunfish. Some differences existed between the assemblages (groups of species) collected in 2003 and in the previous inventories. Four of the 17 fish species collected in this inventory previously had not been collected at the monument. However, 11 species collected in one or more of the previous inventories were not collected in this effort. There is no indication that a change in environmental conditions is responsible for the absence of these species; more likely reasons are seasonal variability, extirpation, low population density, and misidentification. Four species collected at George Washington Carver National Monument may be of special interest to National Park Service managers and others. The cardinal shiner and stippled darter are endemic to the Ozark Plateaus. The Arkansas darter is considered a species of conservation concern by the State of Missouri. The grass carp is an introduced species.

Scientific Investigations Report↗

The reproductive success of lake herring in habitats near shipping channels and ice-breaking operations in the St. Marys River, Michigan, USA

A study of the reproductive success of lake herring ( Coregonus artedi ) in the St. Marys River was conducted in the winters and springs of 1994, 1995, and 1996. The St. Marys River connects Lake Superior to the lower Great Lakes making it an important route for ship traffic. Recent pressure by commercial carriers to extend the shipping season by breaking ice earlier in spring, has raised concerns over the possible adverse effects on lake herring reproduction in the river caused by increased turbidity associated with vessel passage. Lake herring spawn in fall and their eggs overwinter under ice cover on the bottom of the St. Marys River. Hatching occurs in the spring after ice-out when water temperatures rise. Specialized incubators were used to hold fertilized lake herring eggs at four experimental sites, chosen to represent the range of various bottom substrate types of the St. Marys River from boulder rock reefs to soft sediments. In winter, incubators were placed under the ice on the bottom of the river at three sites each year. After ice-out, sites were relocated, and the incubators were retrieved and opened to determine the number of live and dead lake herring eggs and larvae. Survival was consistent from year to year at each site with the lowest survival percentage found at the site with the softest sediments, directly adjacent to the St. Marys River channel and downstream of the mouth of the Charlotte River. River bottom type and geographic location were the most important factors in determining egg survival. Sampling for indigenous larval lake herring was done throughout the spring hatching season in the areas adjacent to the incubator sites using nets and a diver-operated suction sampler. Result indicate that a small population (3) of larval lake herring was present throughout the sampling areas during the springs of 1994, 1995, and 1996 in the St. Marys River.

St. Marys River↗

Evaluating Muskellunge catch-and-release mortality at elevated summer water temperature

Angling for Muskellunge Esox masquinongy has become widespread and increasingly popular. Management strategies for Muskellunge include high minimum harvest lengths (>1016mm), closed seasons, and catch-and-release regulations. Due to these strategies and angler behaviors, up to 97% of Muskellunge caught are released, and anglers assume these fish survive to be caught again in the future. Previous research on catch-and-release mortality for Muskellunge has suggested relatively low mortality rates (0%-5%). However, these studies were all conducted within the range of water temperatures that are thermally optimal for Muskellunge and generally at water temperatures <25°C. Muskellunge populations in some latitudes routinely experience temperatures >25°C during the summer months. Fisheries managers and anglers have expressed concerns regarding warm water angling mortality, representing a need to evaluate mortality rates at various water temperatures and multiple latitudes. Our objective was to quantify warm-water (>25°C) catch-and-release mortality rates in Muskellunge (>760mm) and identify factors influencing mortality using experimental ponds. Adult Muskellunge (n=102) were stocked into eight earthen or plastic lined flow-through ponds (0.06-0.71 ha) at densities of <16 fish/ha. Muskellunge (n=50) were angled utilizing specialized Muskellunge fishing gear at water temperatures of 19.6–32.6°C, with 32 fish being caught at temperatures >25°C. Fish were closely monitored for 2 weeks after being angled to assess mortality, and fish that remained uncaught during the experiment were used as controls (n=53). Mortality was greater for angled (30.0%) compared to control fish (11.3%). Differences in catch-and-release mortality were compared across a range of temperature regimes using firth's logistic regression. Five-day cumulative temperature and net time were positively related to the probability of mortality, but size and sex were unrelated to mortality. Elevated catch-and-release mortality rates at warm water temperatures warrant investigations into the population level effects at varying levels of exploitation.

Transactions of the American Fisheries Society↗

The inverse niche model for food webs with parasites

Although parasites represent an important component of ecosystems, few field and theoretical studies have addressed the structure of parasites in food webs. We evaluate the structure of parasitic links in an extensive salt marsh food web, with a new model distinguishing parasitic links from non-parasitic links among free-living species. The proposed model is an extension of the niche model for food web structure, motivated by the potential role of size (and related metabolic rates) in structuring food webs. The proposed extension captures several properties observed in the data, including patterns of clustering and nestedness, better than does a random model. By relaxing specific assumptions, we demonstrate that two essential elements of the proposed model are the similarity of a parasite's hosts and the increasing degree of parasite specialization, along a one-dimensional niche axis. Thus, inverting one of the basic rules of the original model, the one determining consumers' generality appears critical. Our results support the role of size as one of the organizing principles underlying niche space and food web topology. They also strengthen the evidence for the non-random structure of parasitic links in food webs and open the door to addressing questions concerning the consequences and origins of this structure.

Theoretical Ecology↗

Phase 1 studies summary of major findings of the South Bay Salt Pond Restoration Project, South San Francisco Bay, California

Executive Summary The South Bay Salt Pond Restoration Project (Project) is one of the largest restoration efforts in the United States. It is located in South San Francisco Bay of California. It is unique not only for its size—more than 15,000 acres—but also for its location adjacent to one of the nation’s largest urban areas, home to more than 4 million people (Alameda, Santa Clara, and San Mateo Counties). The Project is intended to restore and enhance wetlands in South San Francisco Bay while providing for flood management, wildlife-oriented public access, and recreation. Restoration goals of the project are to provide a mosaic of saltmarsh habitat to benefit marsh species and managed ponds to benefit waterbirds, throughout 3 complexes and 54 former salt ponds. Although much is known about the project area, significant uncertainties remain with a project of this geographic and temporal scale of an estimated 50 years to complete the restoration. For example, in order to convert anywhere from 50 to 90 percent of the existing managed ponds to saltmarsh habitat, conservation managers first enhance the habitat of managed ponds in order to increase use by waterbirds, and provide migratory, wintering, and nesting habitat for more than 90 species of waterbirds. Project managers have concluded that the best way to address these uncertainties is to carefully implement the project in phases and learn from the outcome of each phase. The Adaptive Management Plan (AMP) identifies specific restoration targets for multiple aspects of the Project and defines triggers that would necessitate some type of management action if a particular aspect is trending negatively. U.S. Geological Survey (USGS) biologist Laura Valoppi served as the project Lead Scientist and oversaw implementation of the AMP in coordination with other members of the Project Management Team (PMT), comprised of representatives from the California State Coastal Conservancy, California Department of Fish and Wildlife, the Santa Clara Valley Water District, the U.S. Army Corps of Engineers, and the U.S. Fish and Wildlife Service. To implement the AMP, the PMT have selected and funded applied studies and monitoring projects to address key uncertainties. This information is used by the PMT to make decisions about current management of the project area and future restoration actions in order to meet project. This document summarizes the major scientific findings from studies conducted from 2009 to 2016, as part of the science program that was conducted in conjunction with Phase 1 restoration and management actions. Additionally, this report summarizes the management response to the study results under the guidance of the AMP framework and provides a list of suggested studies to be conducted in “Phase 2–A scorecard summarizing the Project’s progress toward meeting the AMP goals for a range of Project objectives.” The scoring to date indicates that the Project is meeting or exceeding expectations for sediment accretion and western snowy plover ( Charadrius alexandrinus nivosus ) recovery. There is uncertainty with respect to objectives for California gulls ( Larus californicus ), California least tern ( Sternula antillarum ), steelhead trout ( Oncorhynchus mykiss ), and regulatory water quality objectives. Water quality and algal blooms, specifically of the managed ponds, is indicated as trending negative. However, the vast majority of objectives are trending positive, including increased abundance for a number of bird guilds, increasing marsh habitat, maintenance of mudflats, visitor experience, estuarine fish numbers, and special-status marsh species numbers.

California↗

Response of Green Lake, Wisconsin, to changes in phosphorus loading, with special emphasis on near-surface total phosphorus concentrations and metalimnetic dissolved oxygen minima

Green Lake is the deepest natural inland lake in Wisconsin, with a maximum depth of about 72 meters. In the early 1900s, the lake was believed to have very good water quality (low nutrient concentrations and good water clarity) with low dissolved oxygen (DO) concentrations occurring in only the deepest part of the lake. Because of increased phosphorus (P) inputs from anthropogenic activities in its watershed, total phosphorus (TP) concentrations in the lake have increased; these changes have led to increased algal production and low DO concentrations not only in the deepest areas but also in the middle of the water column (metalimnion). The U.S. Geological Survey has routinely monitored the lake since 2004 and its tributaries since 1988. Results from this monitoring led the Wisconsin Department of Natural Resources (WDNR) to list the lake as impaired because of low DO concentrations in the metalimnion, and they identified elevated TP concentrations as the cause of impairment. As part of this study by the U.S. Geological Survey, in cooperation with the Green Lake Sanitary District, the lake and its tributaries were comprehensively sampled in 2017–18 to augment ongoing monitoring that would further describe the low DO concentrations in the lake (especially in the metalimnion). Empirical and process-driven water-quality models were then used to determine the causes of the low DO concentrations and the magnitudes of P-load reductions needed to improve the water quality of the lake enough to meet multiple water-quality goals, including the WDNR’s criteria for TP and DO. Data from previous studies showed that DO concentrations in the metalimnion decreased slightly as summer progressed in the early 1900s but, since the late 1970s, have typically dropped below 5 milligrams per liter (mg/L), which is the WDNR criterion for impairment. During 2014–18 (the baseline period for this study), the near-surface geometric mean TP concentration during June–September in the east side of the lake was 0.020 mg/L and in the west side was 0.016 mg/L (both were above the 0.015-mg/L WDNR criterion for the lake), and the metalimnetic DO minimum concentrations (MOMs) measured in August ranged from 1.0 to 4.7 mg/L. The degradation in water quality was assumed to have been caused by excessive P inputs to the lake; therefore, the TP inputs to the lake were estimated. The mean annual external P load during 2014–18 was estimated to be 8,980 kilograms per year (kg/yr), of which monitored and unmonitored tributary inputs contributed 84 percent, atmospheric inputs contributed 8 percent, waterfowl contributed 7 percent, and septic systems contributed 1 percent. During fall turnover, internal sediment recycling contributed an additional 7,040 kilograms that increased TP concentrations in shallow areas of the lake by about 0.020 mg/L. The elevated TP concentrations then persisted until the following spring. On an annual basis, however, there was a net deposition of P to the bottom sediments. Empirical models were used to describe how the near-surface water quality of Green Lake would be expected to respond to changes in external P loading. Predictions from the models showed a relatively linear response between P loading and TP and chlorophyll- a (Chl- a ) concentrations in the lake, with the changes in TP and Chl- a concentrations being less on a percentage basis (50–60 percent for TP and 30–70 percent for Chl- a ) than the changes in P loading. Mean summer water clarity, quantified by Secchi disk depths, had a greater response to decreases in P loading than to increases in P loading. Based on these relations, external P loading to the lake would need to be decreased from 8,980 kg/yr to about 5,460 kg/yr for the geometric mean June–September TP concentration in the east side of the lake, with higher TP concentrations than in the west side, to reach the WDNR criterion of 0.015 mg/L. This reduction of 3,520 kg/yr is equivalent to a 46-percent reduction in the potentially controllable external P sources (all external sources except for precipitation, atmospheric deposition, and waterfowl) from those measured during water years 2014–18. The total external P loading would need to decrease to 7,680 kg/yr (a 17-percent reduction in potentially controllable external P sources) for near-surface June–September TP concentrations in the west side of the lake to reach 0.015 mg/L. Total external P loading would need to decrease to 3,870–5,320 kg/yr for the lake to be classified as oligotrophic, with a near-surface June–September TP concentration of 0.012 mg/L. Results from the hydrodynamic water-quality model GLM–AED (General Lake Model coupled to the Aquatic Ecodynamics modeling library) indicated that MOMs are driven by external P loading and internal sediment recycling that lead to high TP concentrations during spring and early summer, which in turn lead to high phytoplankton production, high metabolism and respiration, and ultimately DO consumption in the upper, warmer areas of the metalimnion. GLM–AED results indicated that settling of organic material during summer might be slowed by the colder, denser, and more viscous water in the metalimnion and thus increase DO consumption. Based on empirical evidence from a comparison of MOMs with various meteorological, hydrologic, water quality, and in-lake physical factors, MOMs were lower during summers, when metalimnetic water temperatures were warmer, near-surface Chl- a and TP concentrations were higher, and Secchi depths were lower. GLM–AED results indicated that the external P load would need to be reduced to about 4,060 kg/yr, a 57-percent reduction from that measured in 2014–18, to eliminate the occurrence of MOMs less than 5 mg/L during more than 75 percent of the years (the target provided by the WDNR). Large reductions in external P loading are expected to have an immediate effect on the near-surface TP concentrations and metalimnetic DO concentrations in Green Lake; however, it may take several years for the full effects of the external-load reduction to be observed because internal sediment recycling is an important source of P for the following spring.

Wisconsin↗

Leveraging local species data, a global database, and an occupancy model to explore bee–plant interactions

Global declines in bee populations are threatening the ecosystem services they provide, including pollination. Many bee–plant interactions are understudied, producing an incomplete understanding of resulting ecosystem-level vulnerabilities. The last decade has generated a wealth of opportunistic data originating from natural history collection records, published ecological datasets, and citizen/community science initiatives in online databases such as Global Biotic Interactions (GloBI). Here, we explore hypotheses related to bee–plant interactions and detection processes using the GloBI database, curated checklists of bee and flowering plant species, and an occupancy model. We hypothesized that larger, social bees would visit a larger number of plant species, while smaller, solitary bees would visit fewer. We also predicted that flowers with open, bowl-like shapes would attract a greater diversity of bee visitors compared to closed shapes. Further, we hypothesized that both floral and bee traits, such as bright colors and conspicuous patterns, would increase detectability, and that different data collection methods would vary in their ability to capture bee–plant interactions. Lastly, we hypothesized that the interaction network generated by the output of the occupancy model, which accounted for imperfect bee–plant detection, would yield more interactions, thereby increasing measures of evenness and decreasing nestedness and specialization, as compared to the network generated from recorded interaction data. We found that smaller bees exhibited higher probabilities of plant interactions than larger bees, but we did not find evidence that bee sociality influenced the probability of interacting with plants. We found that blue flowers and closed (not-bowl-shaped) flowers had higher probabilities of bee-plant interaction than other flower colors or bowl-shaped flowers, respectively. We also found that larger bee size, blue flowers, bowl shapes, and community science sources were associated with higher detection probabilities of bee–plant interactions. Lastly, the interaction network generated by the occupancy model output showed higher levels of evenness, nestedness, and connectance than the network generated by the GloBI data. Our study is among the first to utilize occupancy modeling to directly model species' interactions, leverage aggregated, open-source databases and expert checklists, and highlight the influence of detection and collection biases on our understanding of ecological interactions.

California↗

U.S. Geological Survey science for the Wyoming Landscape Conservation Initiative—2015 annual report

This is the eighth annual report highlighting U.S. Geological Survey (USGS) science and decision-support activities conducted for the Wyoming Landscape Conservation Initiative (WLCI). The activities address specific management needs identified by WLCI partner agencies. In 2015, USGS scientists continued 24 WLCI projects in 5 categories: (1) acquiring and analyzing resource-condition data to form a foundation for understanding and monitoring landscape conditions and projecting changes; (2) using new technologies to improve the scope and accuracy of landscape-scale monitoring and assessments, and applying them to monitor indicators of ecosystem conditions and the effectiveness of on-the-ground habitat projects; (3) conducting research to elucidate the mechanisms that drive wildlife and habitat responses to changing land uses; (4) managing and making accessible the large number of databases, maps, and other products being developed; and (5) coordinating efforts among WLCI partners, helping them to use USGS-developed decision-support tools, and integrating WLCI outcomes with future habitat enhancement and research projects. Of the 24 projects, 21 were ongoing, including those that entered new phases or more in-depth lines of inquiry, 2 were new, and 1 was completed. A highlight of 2015 was the WLCI science conference sponsored by the USGS, Bureau of Land Management, and National Park Service in coordination with the Wyoming chapter of The Wildlife Society. Of 260 participants, 41 were USGS professionals representing 13 USGS science centers, field offices, and Cooperative Wildlife Research Units. Major themes of USGS presentations included using new technologies for developing more efficient research protocols for modeling and monitoring natural resources, researching effects of energy development and other land uses on wildlife species and habitats of concern, and modeling species distributions, population trends, habitat use, and effects of land-use changes. There was also a special session on the effectiveness of Wyoming’s Sage-Grouse Executive Order. Combined, USGS presentations provided WLCI partners with a wealth of information and conservation tools. The project completed in 2015 yielded an index of important agricultural lands in the WLCI region. The index improves upon existing measures of agricultural productivity and provides planners and managers with additional values to consider when making decisions about land use and conservation actions. The two new projects include an analysis of satellite imagery to quantify sagebrush productivity and mortality, and an evaluation of how groundwater and small streams interact in the upper Green River Basin. Initiated in response to concern among WLCI partners that large areas of sagebrush appear to have died recently, the sagebrush study objectives are to assess effects of these mortality events on overall sagebrush ecosystem productivity, evaluate the feasibility of using satellite imagery to detect patterns in sagebrush mortality over time, and identify factors driving these mortality events. The groundwater-streamflow interaction study is being conducted by hydrologists and fish ecologists to better understand how groundwater-streamflow interactions are affected by energy-resource development and how native fish communities are affected by these factors. Expected outcomes of both new projects will provide WLCI partners with additional information and decision-support tools. Highlights of ongoing science foundation activities included simulations of nine alternative build-out scenarios for oil and gas development and an associated online fact sheet that explains how the simulations were conducted, with an applied example for the Atlantic Rim. Also completed in 2015 was an update of the USGS online inventory of mineral resources data, and publication of a USGS uranium resource survey for the WLCI region. Combined, the outcomes of this work provide decisionmakers and managers with important baseline information for existing and (or) future planning and monitoring efforts. Terrestrial monitoring activities in 2015 emphasized the use of satellite data in combination with other technologies and field data to monitor, assess, and (or) forecast distribution patterns and (or) trends in sagebrush ecosystems, seasonal and migration stopover habitats used by mule deer and elk, and semi-arid aspen woodlands. Several professional papers detailing new monitoring models and results have been published. Combined, this and related work will help managers understand distribution patterns and trends among priority habitats, identify areas in need of restoration or conservation, and monitor the effectiveness of habitat-management actions. Aquatic monitoring activities entailed not only the new groundwater-streamflow interaction study already mentioned, but also continued monitoring with streamgages paired with nearby wells in the Green River Basin to assess groundwater effects on streamflow and surface water temperatures. A map that portrays groundwater levels and general direction of flow in the Green River Basin was published as well . Overall, outcomes of USGS hydrological research and monitoring will inform WLCI partners about water resources in the WLCI region and help to explain fish-community responses to energy-resource development. In 2015, USGS terrestrial wildlife ecologists continued to make crucial strides towards better understanding wildlife species responses to energy-resource development and other land-use changes. This body of research includes six taxa that require or heavily depend on sagebrush habitats: sage-grouse, pygmy rabbits, 3 songbird species, and mule deer. Native fish communities are also being evaluated. Approaches include modeling and mapping wildlife species distributions, abundances, and trends; using satellite and other technologies to track wildlife seasonal movements; conducting successive phases of research that build on the knowledge gained through prior phases to reveal the specific factors or thresholds that drive population- or individual-level responses to changes; and conducting population viability analyses. Additionally, wildlife habitat association models for pygmy rabbit and sage-grouse were combined with the oil and gas build-out scenarios to project species responses to alternative energy development scenarios. Outcomes of the wildlife response research are helping decisionmakers and managers identify specific factors that contribute to species population trends, the potential for spatial overlap between important wildlife habitats and proposed energy-resource development, locations of priority habitats for restoration and conservation, and more. Data and WLCI Web site management highlights of 2015 included not only ongoing software upgrades, but also an update of the datasets displayed in two of the online products developed for the WLCI effort: (1) a map of 15,532 oil and natural gas well pad scars and other features associated with oil and gas extraction, and (2) a map of oil and gas, oil shale, uranium, and solar energy production, both for southwestern Wyoming. In addition, a map viewer was developed for a previously published map of coal and wind production in relation to sage-grouse distribution and core management areas in southwestern Wyoming. Combined, these maps place valuable decision-support tools in the hands of WLCI partners. The USGS coordination efforts on behalf of the WLCI in 2015 included significant work on planning and executing the WLCI science conference. They also included ongoing efforts to support Local Project Development Teams and the WLCI Coordination Team (CT) with developing conservation priorities and strategies, identifying priority areas for future conservation actions, supporting the evaluation and ranking of conservation projects, and evaluating the ways in which proposed habitat projects relate to WLCI priorities. In 2015, the USGS also assisted the WLCI CT with updating the WLCI Conservation Action Plan.

Wyoming↗

Phytoplankton bloom dynamics in coastal ecosystems: A review with some general lessons from sustained investigation of San Francisco Bay, California

Phytoplankton blooms are prominent features of biological variability in shallow coastal ecosystems such as estuaries, lagoons, bays, and tidal rivers. Long-term observation and research in San Francisco Bay illustrates some patterns of phytoplankton spatial and temporal variability and the underlying mechanisms of this variability. Blooms are events of rapid production and accumulation of phytoplankton biomass that are usually responses to changing physical forcings originating in the coastal ocean (e.g., tides), the atmosphere (wind), or on the land surface (precipitation and river runoff). These physical forcings have different timescales of variability, so algal blooms can be short-term episodic events, recurrent seasonal phenomena, or rare events associated with exceptional climatic or hydrologic conditions. The biogeochemical role of phytoplankton primary production is to transform and incorporate reactive inorganic elements into organic forms, and these transformations are rapid and lead to measurable geochemical change during blooms. Examples include the depletion of inorganic nutrients (N, P, Si), supersaturation of oxygen and removal of carbon dioxide, shifts in the isotopic composition of reactive elements (C, N), production of climatically active trace gases (methyl bromide, dimethylsulfide), changes in the chemical form and toxicity of trace metals (As, Cd, Ni, Zn), changes in the biochemical composition and reactivity of the suspended particulate matter, and synthesis of organic matter required for the reproduction and growth of heterotrophs, including bacteria, zooplankton, and benthic consumer animals. Some classes of phytoplankton play special roles in the cycling of elements or synthesis of specific organic molecules, but we have only rudimentary understanding of the forces that select for and promote blooms of these species. Mounting evidence suggests that the natural cycles of bloom variability are being altered on a global scale by human activities including the input of toxic contaminants and nutrients, manipulation of river flows, and translocation of species. This hypothesis will be a key component of our effort to understand global change at the land-sea interface. Pursuit of this hypothesis will require creative approaches for distinguishing natural and anthropogenic sources of phytoplankton population variability, as well as recognition that the modes of human disturbance of coastal bloom cycles operate interactively and cannot be studied as isolated processes.

California↗

Democratizing macroecology: Integrating unoccupied aerial systems with the National Ecological Observatory Network

Macroecology research seeks to understand ecological phenomena with causes and consequences that accumulate, interact, and emerge across scales spanning several orders of magnitude. Broad-extent, fine-grain information (i.e., high spatial resolution data over large areas) is needed to adequately capture these cross-scale phenomena, but these data have historically been costly to acquire and process. Unoccupied aerial systems (UAS or drones carrying a sensor payload) and the National Ecological Observatory Network (NEON) make the broad-extent, fine-grain observational domain more accessible to researchers by lowering costs and reducing the need for highly specialized equipment. Integration of these tools can further democratize macroecological research, as their strengths and weaknesses are complementary. However, using these tools for macroecology can be challenging because mental models are lacking, thus requiring large up-front investments in time, energy, and creativity to become proficient. This challenge inspired a working group of UAS-using academic ecologists, NEON professionals, imaging scientists, remote sensing specialists, and aeronautical engineers at the 2019 NEON Science Summit in Boulder, Colorado, to synthesize current knowledge on how to use UAS with NEON in a mental model for an intended audience of ecologists new to these tools. Specifically, we provide (1) a collection of core principles for collecting high-quality UAS data for NEON integration and (2) a case study illustrating a sample workflow for processing UAS data into meaningful ecological information and integrating it with NEON data collected on the ground—with the Terrestrial Observation System—and remotely—from the Airborne Observation Platform. With this mental model, we advance the democratization of macroecology by making a key observational domain—the broad-extent, fine-grain domain—more accessible via NEON/UAS integration.

Ecosphere↗