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Limitations of quantitative analysis of deep crustal seismic reflection data: Examples from GLIMPCE

Amplitude preservation in seismic reflection data can be obtained by a relative true amplitude (RTA) processing technique in which the relative strength of reflection amplitudes is preserved vertically as well as horizontally, after compensating for amplitude distortion by near-surface effects and propagation effects. Quantitative analysis of relative true amplitudes of the Great Lakes International Multidisciplinary Program on Crustal Evolution seismic data is hampered by large uncertainties in estimates of the water bottom reflection coefficient and the vertical amplitude correction and by inadequate noise suppression. Processing techniques such as deconvolution, F-K filtering, and migration significantly change the overall shape of amplitude curves and hence calculation of reflection coefficients and average reflectance. Thus lithological interpretation of deep crustal seismic data based on the absolute value of estimated reflection strength alone is meaningless. The relative strength of individual events, however, is preserved on curves generated at different stages in the processing. We suggest that qualitative comparisons of relative strength, if used carefully, provide a meaningful measure of variations in reflectivity. Simple theoretical models indicate that peg-leg multiples rather than water bottom multiples are the most severe source of noise contamination. These multiples are extremely difficult to remove when the water bottom reflection coefficient is large (>0.6), a condition that exists beneath parts of Lake Superior and most of Lake Huron.

Great Lakes

Advancements towards selective barrier passage by automatic species identification: Applications of deep convolutional neural networks on images of dewatered fish

Invasive species negatively affect enterprises such as fisheries, agriculture, and international trade. In the Laurentian Great Lakes Basin, threats include invasive sea lamprey ( Petromyzon marinus ) and the four major Chinese carps. Barriers have proven to be an effective mechanism for managing invasive species but are detrimental in that they also limit the migration of desirable, native species. Fish passage technologies that selectively pass desirable species while blocking undesirable species are needed. Key to an automated selective barrier passage system is a high precision fish classifier to assign fish to be passed or blocked. Presented is an evaluation of two classifiers developed using images of partially dewatered fish captured from a commercial, high-speed camera array. For a lamprey vs. non-lamprey classification task, an ensemble prediction approach achieved near perfect accuracy on both a validation and test dataset. For a species classification task for 13 species found in the Great Lakes region, an ensemble prediction approach achieved accuracies of 96% and 97% on a validation and test dataset, respectively. Both prediction approaches were based on deep convolutional neural networks constructed using transfer learning and image augmentation. The study provides an important proof-of-concept for the viability in fully automated, selective fish passage systems.

Illinois, Michigan,Ohio

The National Assessment of Shoreline Change: A GIS compilation of vector shorelines and associated shoreline change data for the sandy shorelines of the California coast

Introduction The Coastal and Marine Geology Program of the U.S. Geological Survey has generated a comprehensive data clearinghouse of digital vector shorelines and shoreline change rates for the sandy shoreline along the California open coast. These data, which are presented herein, were compiled as part of the U.S. Geological Survey's National Assessment of Shoreline Change Project. Beach erosion is a chronic problem along many open-ocean shores of the United States. As coastal populations continue to grow and community infrastructures are threatened by erosion, there is increased demand for accurate information including rates and trends of shoreline migration. There is also a critical need for shoreline change data that is consistent from one coastal region to another. One purpose of this work is to develop standard, repeatable methods for mapping and analyzing shoreline movement so that periodic, systematic, and internally consistent updates of shorelines and shoreline change rates can be made at a National Scale. This data compilation for open-ocean, sandy shorelines of the California coast is one in a series that already includes the Gulf of Mexico and the Southeast Atlantic Coast (Morton et al., 2004; Morton et al., 2005) and will eventually cover Washington, Oregon, and parts of Hawaii and Alaska. Short- and long-term shoreline change evaluations are determined by comparing the positions of three historical shorelines digitized from maps, with a modern shoreline derived from LIDAR (light detection and ranging) topographic surveys. Historical shorelines generally represent the following time-periods: 1850s-1880s, 1920s-1930s, and late 1940s-1970s. The most recent shoreline is from data collected between 1997 and 2002. Long-term rates of change are calculated by linear regression using all four shorelines. Short-term rates of change are end-point rate calculations using the two most recent shorelines. Please refer to our full report on shoreline change of the California coastline at http://pubs.usgs.gov/of/2006/1219/ for additional information regarding methods and results (Hapke et al., 2006). Data in this report are organized into downloadable layers by region (Northern, Central and Southern California) and are provided as vector datasets with metadata. Vector shorelines may represent a compilation of data from one or more sources and these sources are included in the dataset metadata. This project employs the Environmental Systems Research Institute's (ESRI) ArcGIS as it's GIS mapping tool and contains several data layers (shapefiles) that are used to create a geographic view of the California Coast. These vector data form a basemap comprised of polygon and line themes that include a U.S. coastline (1:80,000), U.S. cities, and state boundaries.

California

Arctic continental shelf morphology related to sea-ice zonation, Beaufort Sea, Alaska

Landsat-1 and NOAA satellite imagery for the winter 1972–1973, and a variety of ice and sea-floor data were used to study sea-ice zonation and dynamics and their relation to bottom morphology and geology on the Beaufort Sea continental shelf of arctic Alaska. In early winter the location of the boundary between undeformed fast ice and westward-drifting pack ice of the Pacific Gyre is controlled by major coastal promontories. Pronounced linear pressure- and shear-ridges, as well as hummock fields, form along this boundary and are stabilized by grounding, generally between the 10- and 20-m isobaths. Slippage along this boundary occurs intermittently at or seaward of the grounded ridges, forming new grounded ridges in a widening zone, the stamukhi zone, which by late winter extends out to the 40-m isobath. Between intermittent events along the stamukhi zone, pack-ice drift and slippage is continuous along the shelf edge, at average rates of 3–10 km/day. Whether slippage occurs along the stamukhi zone or along the shelf edge, it is restricted to a zone several hundred meters wide, and ice seaward of the slip face moves at uniform rates without discernible drag effects. A causal relationship is seen between the spatial distribution of major ice-ridge systems and offshore shoals downdrift of major coastal promontories. The shoals appear to have migrated shoreward under the influence of ice up to 400 m in the last 25 years. The sea floor seaward of these shoals within the stamukhi zone shows high ice-gouge density, large incision depths, and a high degree of disruption of internal sedimentary structures. The concentration of large ice ridges and our sea floor data in the stamukhi zone indicate that much of the available marine energy is expended here, while the inner shelf and coast, where the relatively undeformed fast ice grows, are sheltered. There is evidence that anomalies in the overall arctic shelf profile are related to sea-ice zonation, ice dynamics, and bottom processes. A proposed ice zonation, including zones of (1) bottom-fast ice, (2) floating fast ice, (3) stamukhi, and (4) seasonal pack ice, emphasizes ice interaction with the shelf surface and differs from previous zonation. Certain aspects of the results reported here are directly applicable to planned offshore developments in the Prudhoe Bay oil field. Properly placed artificial structures similar to offshore shoals should be able to withstand the forces of the ice, serve to modify the observed ice zonation, and might be used to make the environment less hostile to human activities.

Alaska

Ecosystem services from transborder migratory species: Implications for conservation governance

This article discusses the conservation challenges of volant migratory transborder species and conservation governance primarily in North America. Many migratory species provide ecosystem service benefits to society. For example, insectivorous bats prey on crop pests and reduce the need for pesticides; birds and insects pollinate food plants; and birds afford recreational opportunities to hunters and birdwatchers. Migration is driven by the seasonal availability of resources; as resources in one area become seasonally scarce, individuals move to locations where resources have become seasonally abundant. The separation of the annual lifecycle means that species management and governance is often fractured across international borders. Because migratory species depend on habitat in different locations, their ability to provide ecosystem services in one area depends on the spatial subsidies, or support, provided by habitat and ecological processes in other areas. This creates telecouplings, or interconnections across geographic space, of areas such that impacts to the habitat of a migratory species in one location will affect the benefits enjoyed by people in other locations. Information about telecoupling and spatial subsidies can be used to craft new governance arrangements such as Payment for Ecosystem Services programs that target specific stakeholder groups and locations. We illustrate these challenges and opportunities with three North American case studies: the Duck Stamp Program, Mexican free-tailed bats ( Tadarida brasiliensis mexicana ), and monarch butterflies ( Danaus plexippus ).

Annual Review of Environment and Resources

Remigial molt of sea ducks

Molt is a dynamic process occurring throughout much of the year in waterfowl. The molt of flight feathers by waterfowl, especially sea ducks, however, occurs over a compressed period of time and in spcific areas used each year. We provide an overview of the flight feather molt of sea ducks. We focus on the need to molt and why, the timing and duration of flight feather mot, and the duration birds remain at molting areas; energetics of molt and strategies for managing energetic needs; molt migration' food resources and foraging behavior; predation risks; temporal constraints and competition; response to disturbance; and molt habitats and seasonal differences in habitat used by sea ducks. We conclude by presenting and discussing data gaps and emphasize the continuing need for a holistic approach to sea duck management and international cooperation among countries.

Book chapter

Sources and dynamics of international funding for waterfowl conservation in the Prairie Pothole Region of North America

Context: Funding for habitat-management programs to maintain population viability is critical for conservation of migratory species; however, such financial resources are limited and can vary greatly over time. The Prairie Pothole Region (PPR) of North America is an excellent system for examining spatiotemporal patterns of funding for waterfowl conservation, because this transboundary region is crucial for reproduction and migration of many duck species. Aims: We examine large-scale spatiotemporal variation in funding for waterfowl habitat conservation in the PPR during 2007–2016. Specifically, we quantify major sources of funding and how funds were directed towards particular geographies within Canada and the USA. We further examine how sources and magnitude of funding changed over time and in relation to numbers of hunters. Methods: We assembled data from multiple sources to quantify funding (in US$, 2016 values) from (1) USA states and non-government organisations (NGOs), (2) Canadian government and NGOs, and (3) major USA-based federal funding sources to the Canadian and US portions of the PPR between 2007 and 2016. We fit linear regressions to examine spatiotemporal variation in funding and in numbers of active waterfowl hunters in the USA. Key results: Whereas annual funding for the Canadian portion was comparatively stable throughout the 10 years (range: US$25–41 million), funding for the US portion was dynamic and increased between the first (range: US$36–48 million) and second (range: US$43–117 million) 5-year intervals, despite concurrent declines in the number of active waterfowl hunters in the USA. Conclusions: We discovered contrasting trends and dynamics in multiple streams of funding for habitat conservation on each side of the border bisecting the PPR. These findings and approaches warrant closer attention by wildlife professionals. Work is needed to analyse past and future funding for habitat conservation, which can then be used to refine plans for maintaining or recovering populations of migratory species. Implications: Although funding for waterfowl habitat conservation in the PPR increased over the past decade, trends were inconsistent among subregions and uncertain for some major funding sources. Better understanding of the complexities in funding will help inform more efficient long-term planning efforts for conservation of waterfowl and other migratory species.

Wildlife Research

The National Assessment of Shoreline Change: A GIS Compilation of Vector Shorelines and Associated Shoreline Change Data for the U.S. Gulf of Mexico

Introduction The Coastal and Marine Geology Program of the U.S. Geological Survey has generated a comprehensive database of digital vector shorelines and shoreline change rates for the U.S. Gulf of Mexico. These data, which are presented herein, were compiled as part of the U.S. Geological Survey's National Assessment of Shoreline Change Project. Beach erosion is a chronic problem along most open-ocean shores of the United States. As coastal populations continue to grow and community infrastructures are threatened by erosion, there is increased demand for accurate information including rates and trends of shoreline migration. There is also a critical need for shoreline change data that is consistent from one coastal region to another. One purpose of this work is to develop standard repeatable methods for mapping and analyzing shoreline movement so that periodic updates regarding coastal erosion and land loss can be made nationally that are systematic and internally consistent. This data compilation for open-ocean, sandy shorelines of the Gulf of Mexico is the first in a series that will eventually include the Atlantic Coast, Pacific Coast, and parts of Hawaii and Alaska. Short- and long-term shoreline change evaluations are based on merging three historical shorelines with a modern shoreline derived from lidar (light detection and ranging) topographic surveys. Historical shorelines generally represent the following time periods: 1800s, 1920s-1930s, and 1970s. The most recent shoreline is derived from data collected over the period of 1998-2002. Long-term rates of change are calculated by linear regression using all four shorelines. Short-term rates of change are simple end-point rate calculations using the two most recent shorelines. Please refer to our full report on shoreline change in the Gulf of Mexico, National Assessment of Shoreline Change: Part 1, Historical Shoreline Changes and Associated Coastal Land Loss Along the U.S. Gulf of Mexico (USGS Open File Report 2004-1043) for additional information regarding methods and results. Data in this report are organized into data layers by state and are provided as single-point vector datasets with metadata. Vector shorelines may represent a compilation of data from one or more sources and these sources are attributed in the dataset. All data are intended to be GIS-ready inasmuch as the data should not require any additional cleanup, formatting, or renaming of fields in order to use the data in a Geographic Information System (GIS). This project employs the Environmental Systems Research Institute's (ESRI) ArcView as its GIS mapping tool and contains several data layers (or themes) that are used to create a geographic view of the margin off the U.S. Gulf of Mexico. These vector data form a basemap comprised of polygon and line themes that include a U.S. coastline (1:80,000), U.S. cities, and state boundaries.

Open-File Report

The National Assessment of Shoreline Change: A GIS compilation of vector shorelines and associated shoreline change data for the U.S. southeast Atlantic coast

The Coastal and Marine Geology Program of the U.S. Geological Survey has generated a comprehensive database of digital vector shorelines and shoreline change rates for the U.S. Southeast Atlantic Coast (Florida, Georgia, South Carolina, North Carolina). These data, which are presented herein, were compiled as part of the U.S. Geological Survey's National Assessment of Shoreline Change Project. Beach erosion is a chronic problem along most open-ocean shores of the United States. As coastal populations continue to grow and community infrastructures are threatened by erosion, there is increased demand for accurate information including rates and trends of shoreline migration. There is also a critical need for shoreline change data that is consistent from one coastal region to another. One purpose of this work is to develop standard repeatable methods for mapping and analyzing shoreline movement so that periodic updates of shorelines and shoreline change rates can be made nationally that are systematic and internally consistent. This data compilation for open-ocean, sandy shorelines of the U.S. Southeast Atlantic Coast is the second in a series that already includes the Gulf of Mexico, and will eventually include the Pacific Coast, and parts of Hawaii and Alaska. Short- and long-term shoreline change evaluations are based on merging three historical shorelines with a modern shoreline derived from lidar (light detection and ranging) topographic surveys. Historical shorelines generally represent the following time periods: 1800s, 1920s-1930s, and 1970s. The most recent shoreline is derived from data collected over the period of 1997-2002. Long-term rates of change are calculated by linear regression using all four shorelines. Short-term rates of change are simple end-point rate calculations using the two most recent shorelines. Please refer to our full report on shoreline change for the U.S. Southeast Atlantic Coast at http://pubs.usgs.gov/of/2005/1401/ to get additional information regarding methods and results.

southeast Atlantic coast

A sediment-dispersal model for the South Texas continental shelf, northwest Gulf of Mexico

Textural-distribution patterns of sea-floor sediments on the South Texas continental shelf between Matagorda Bay and the U.S.-Mexico international boundary were evaluated as part of a regional environmental-studies program. Sediment textural gradients support a conceptual model for the regional sediment-dispersal system, which is characterized by both net offshore transport and net south-trending coastwise transport components on a wind-dominated shelf. Coastwise transport results in the net southward migration of both palimpsest sandy mud composing the ancestral Brazos-Colorado delta flank in the northern sector, and modern mud composing the central sector; these migrating sediments are encroaching southward onto immobile relict muddy sands composing the ancestral Rio Grande delta in the southern sector. In the proposed model, the suspension transport of modern silt-enriched mud derived mainly from coastal sources is the dominant dispersal mechanism. Net offshore transport is attributed both to diffusion, and to the advective ebb-tide discharge of turbid lagoonal-estuarine waters from coastal inlets. Net southward transport is attributed mainly to advection by seasonally residual coastwise drift currents reflecting a winter-dominated hydraulic regime. Frequent winter storms characterized by relatively high-speed northerly winds that accompany the passage of cold fronts appear to be dominant regional dispersal agents.

Texas

Stratigraphic models for deep-water sedimentary systems

Stratigraphic models predict sedimentary architecture. Prediction requires understanding systems across a sufficient range of scales. To be predictive a model must address the interaction of multiple process-response relationships. For deep-water systems these processes include (1) subaqueous flow initiation and transformation, (2) linkages between channel, levee and lobe processes, and (3) shelf-to-basin profile evolution. Thickness, lithology and the geomorphic hierarchy of sedimentary bodies are responses that can be used to define phases in deep-water episodes recording both external (allogenic) and internal (autogenic) controls. Shelf-to-basin studies of the Middle Permian Brushy Canyon Formation demonstrate that the more complete basinal record correlates to an incomplete shelf record; this incongruity impacts recognition of allogenic forcing. Preserving the signature of external controls, internal changes in local gradient and topography also impact the deep-water record requiring complete basin analysis. Independent but nested autogenic and allogenic stratigraphic models address these challenges and predict patterns of deep-water sedimentation. Tectonics and climate modulate sediment supply and sea level, which are considered the principal allogenic controls on deep-water sedimentation as described by the phases of the AIGR ( Adjustment-Initiation-Growth-Retreat ) model. The complete AIGR cycle commences with the Adjustment (A) phase, which defines the initial profile gradient and topography. The Initiation (I), Growth (G), and Retreat (R) phases describe variations in sedimentary response. Autogenic controls on deep-water sedimentation include (1) lateral offset and compensational stacking of lobes, (2) channel migration, switching and avulsion, and (3) longitudinal translation of the channel-lobe transition zone. The BCFS ( Build-Cut-Fill-Spill ) model describes autogenic controls on local gradient and confinement based on a hierarchy of channel-fill, channel-flank, and lobe sedimentary bodies, which vary in proportion and arrangement in each phase. The sedimentation phases of the AIGR and BCFS models describe the systematic increase and decrease in sedimentation energy recorded in hierarchical stratigraphy. When linked to gradient, the models form the axes of a sedimentary system energy matrix (SSEM) for sedimentary architecture. The BCFS model for submarine channels is embedded within the AIGR basin model and, together they facilitate the correlation of a hierarchy of internally and externally generated stratigraphic cycles.

Book chapter

Microbial water quality during the northern migration of Sandhill Cranes (Grus canadensis) at the central Platte River, Nebraska

The central Platte River is an important resource in Nebraska. Its water flows among multiple channels and supports numerous beneficial uses such as drinking water, irrigation for agriculture, groundwater recharge, and recreational activities. The central Platte River valley is an important stopover for migratory waterfowl and cranes, such as the Whooping ( Grus americana ) and Sandhill Cranes ( Grus canadensis ), in their annual northward traversal of the Central Flyway. Waterfowl, cranes, and other migratory birds moving across international and intercontinental borders may provide long-range transportation for any microbial pathogen they harbor, particularly through the spread of feces. Samples were collected weekly in the study reach from three sites (upstream, middle, and downstream from the roosting locations) during the spring of 2009 and 2010. The samples were analyzed for avian influenza, Escherichia coli, Cryptosporidium, Giardia, Campylobacter , and Legionella . Analysis indicates that several types of fecal indicator bacteria and a range of viral, protozoan, and bacterial pathogens were present in Sandhill Crane excreta. These bacteria and pathogens were present at a significantly higher frequency and densities in water and sediments when the Sandhill Cranes were present, particularly during evening roosts within the Platte River environment.

Nebraska

Distribution and abundance of snowy plovers in eastern North America, the Caribbean, and the Bahamas

Snowy Plovers ( Charadrius alexandrinus ) are small, partially migrant shorebirds that are broadly distributed across North America. Snowy Plover distribution west of the Rocky Mountains has been well described. However, distribution and abundance east of the Rocky Mountains has not received much attention despite current status and ESA listing concerns for Snowy Plovers in the southeastern United States and the Caribbean. Thus, a first step in developing a monitoring program for Snowy Plovers is to understand the species' distribution. We summarize information on distribution and abundance of Snowy Plovers in the eastern United States, Caribbean, and Bahamas. Breeding and winter distribution maps for the continental United States were generated from a database of 3563 records from 388 sites in continental North America constructed from International Shorebird Survey (ISS), Christmas Bird Count (CBC), unpublished field data, and published accounts. Comparison of maximum counts per site (1980–present) indicated the number of breeding Snowy Plovers was greatest in Kansas and Oklahoma, while the greatest number of wintering birds occurred in the Laguna Madre of Texas and Mexico. Snowy Plovers concentrate at sites in Oklahoma and Texas during migration, with higher concentrations on the upper Texas coast in spring compared to fall migration. Data regarding historic abundance and trends are limited but suggest that Snowy Plovers in the eastern United States may have experienced regional population declines and may have suffered a range contraction in Texas. Serious concerns about the conservation status of Snowy Plovers in the eastern United States, the Caribbean, and the Bahamas indicate an immediate need for systematic surveys and up-to-date population estimates.

Journal of Field Ornithology

Nearshore coastal bathymetry data collected in 2016 from West Ship Island to Horn Island, Gulf Islands National Seashore, Mississippi

The U.S. Geological Survey (USGS) St. Petersburg Coastal and Marine Science Center, in cooperation with the U.S. Army Corps of Engineers, Mobile District, conducted bathymetric surveys of the nearshore waters surrounding Ship and Horn Islands, Gulf Islands National Seashore, Mississippi. The objective of this study was to establish base-level elevation conditions around West Ship, East Ship, and Horn Islands and their associated active littoral system prior to restoration activities. These activities include the closure of Camille Cut and the placement of sediment in the littoral zone of East Ship Island. These surveys can be compared with future surveys to monitor sediment migration patterns post-restoration and can also be measured against historic bathymetric datasets to further our understanding of island evolution. The USGS collected 667 line-kilometers (km) of single-beam bathymetry data and 844 line-km of interferometric swath bathymetry data in July 2016 under Field Activity Number 2016-347-FA. Data are provided in three datums: (1) the International Terrestrial Reference Frame of 2000 (ellipsoid height); (2) the North American Datum of 1983 (NAD83) CORS96 realization and the North American Vertical Datum of 1988 with respect to the GEOID12B model (orthometric height); and (3) NAD83 (CORS96) and Mean Lower Low Water (tidal datum). Data products, including x,y,z point datasets, trackline shapefiles, digital and handwritten Field Activity Collection Systems logs, 50-meter digital elevation model, and formal Federal Geographic Data Committee metadata, are available for download.

Mississippi

Hawai‘i and U.S.-Affiliated Pacific Islands

The U.S. Pacific Islands are culturally and environmentally diverse, treasured by the 1.9 million people who call them home. Pacific islands are particularly vulnerable to climate change impacts due to their exposure and isolation, small size, low elevation (in the case of atolls), and concentration of infrastructure and economy along the coasts. A prevalent cause of year-to-year changes in climate patterns around the globe and in the Pacific Islands region is the El Niño –Southern Oscillation (ENSO). The El Niño and La Niña phases of ENSO can dramatically affect precipitation, air and ocean temperature, sea surface height, storminess, wave size, and trade winds. It is unknown exactly how the timing and intensity of ENSO will continue to change in the coming decades, but recent climate model results suggest a doubling in frequency of both El Niño and La Niña extremes in this century as compared to the 20th century under scenarios with more warming, including the higher scenario (RCP8.5). On islands, all natural sources of freshwater come from rainfall received within their limited land areas. Severe droughts are common, making water shortage one of the most important climate-related risks in the region. As temperature continues to rise and cloud cover decreases in some areas, evaporation is expected to increase, causing both reduced water supply and higher water demand. Streamflow in Hawai‘i has declined over approximately the past 100 years, consistent with observed decreases in rainfall. The impacts of sea level rise in the Pacific include coastal erosion, episodic flooding, permanent inundation, heightened exposure to marine hazards, and saltwater intrusion to surface water and groundwater systems. Sea level rise will disproportionately affect the tropical Pacific and potentially exceed the global average. Invasive species , landscape change, habitat alteration, and reduced resilience have resulted in extinctions and diminished ecosystem function. Inundation of atolls in the coming decades is projected to impact existing on-island ecosystems. Wildlife that relies on coastal habitats will likely also be severely impacted. In Hawaiʻi, coral reefs contribute an estimated $477 million to the local economy every year. Under projected warming of approximately 0.5°F per decade, all nearshore coral reefs in the Hawai‘i and Pacific Islands region will experience annual bleaching before 2050. An ecosystem -based approach to international management of open ocean fisheries in the Pacific that incorporates climate-informed catch limits is expected to produce more realistic future harvest levels and enhance ecosystem resilience. Indigenous communities of the Pacific derive their sense of identity from the islands. Emerging issues for Indigenous communities of the Pacific include the resilience of marine-managed areas and climate-induced human migration from their traditional lands. The rich body of traditional knowledge is place-based and localized and is useful in adaptation planning because it builds on intergenerational sharing of observations. Documenting the kinds of governance structures or decision-making hierarchies created for management of these lands and waters is also important as a learning tool that can be shared with other island communities. Across the region, groups are coming together to minimize damage and disruption from coastal flooding and inundation as well as other climate-related impacts. Social cohesion is already strong in many communities, making it possible to work together to take action. Early intervention can lower economic, environmental, social, and cultural costs and reduce or prevent conflict and displacement from ancestral land and resources.

Report

Response of staging brant to disturbance at Izembek Lagoon, Alaska

Human disturbance of migrating waterfowl concerns managers of wildlife populations and refuges. Human disturbance may reduce food intake through interruption of foraging bouts or by displacement from feeding areas (Madsen 1985, Belanger and Bedard 1989), and it may increase energy expenditure from additional time in flight (Korschgen et al., 1985). Reduced food intake and increased energy expenditure can affect the ability of waterfowl to acquire nutrient reserves for successful migration (Fredrickson and Drobney 1979, Davis and Wiseley 1974, Belanger and Bedard 1990). Furthermore, nutrient reserves acquired during fall migration may influence overwinter survival (Haramis et al. 1986). Over 90% of the Pacific Flyway population of brant (Branta bernicla nigricans) annually migrates to the Izembek Lagoon, Alaska and adjacent areas in fall (Bellrose 1976, Reed et al. 1989). During the 4- to 10-week staging period, brant feed predominantly on energy-rich common eelgrass ( Zostera marina ) prior to a transoceanic flight to coastal wintering areas in Washington, Oregon, California, and Mexico (Hansen and Nelson 1957, Morehouse 1974, Bellrose 1976). The lzembek Lagoon, a wetland of international importance (Smart 1987), also is a major staging area for Canada geese ( Branta canadensis taverneri ), emperor geese ( Chen canagica ), and other waterbirds (Ward and Stehn 1989). Brant are disturbed by aircraft and other human activities. Jones and Jones (1966) noted that aircraft caused brant to take flight in fall at the Izembek Lagoon. Aircraft influence movements of molting brant and evoke escape responses (Derksen et al. 1979, Jensen 1990). Aircraft, boats, and hunters affect distribution of wintering brant and cause premature departures from feeding areas (Owens 1977, Kramer et al 1979, Henry 1980). However, few data have been published concerning the extent to which disturbance affects behavior of fall-staging brant. Our objective was to measure current disturbance levels and to determine the extent to which disturbance affects the behavior of brant at the Izembek Lagoon during fall. This baseline information is needed to monitor any future changes in these levels and to provide guidelines for alleviating conflicts where increased human activities cause excessive disturbance.

Alaska

Preface to historic and paleoflood analyses: New perspectives on climate, extreme flood risk, and the geomorphic effects of large floods

Paleofloods are flood events that occurred prior to instrumented records that are discerned from sedimentary evidence. Historic floods are flood events that predate the instrumented record that have been reconstructed based on evidence provided by historical sources. This special issue presents papers on historic and paleoflood analyses that stemmed from the 5th International Paleoflood Symposium held in 2016 and a technical paper session convened during the 2016 Annual Meeting of the Geological Society of America (GSA) in Denver, Colorado, titled ‘Paleofloods and Related Fluvial Processes during the Late Quaternary: Reconstructions and Causes.’ The papers included in this special issue address a wide variety of flood science questions, including hydrologic hazard and risk assessments, the examination of prehistoric human migration patterns, understanding relationships between large floods and climate, and the investigation of cataclysmic flood processes.

Geomorphology

First description of autumn migration of Sooty Falcon Falco concolor from the United Arab Emirates to Madagascar using satellite telemetry

The movement and migration pattern of the 'Near Threatened' Sooty Falcon Falco concolor is poorly known. Sooty Falcons breed on the islands of the Arabian Gulf after arriving from their non-breeding areas that are mainly in Madagascar. In the first satellite tracking of the species we fitted a 9.5 g Argos solar powered transmitter on an adult breeding Sooty Falcon off the western coast of Abu Dhabi in the United Arab Emirates. The bird successfully undertook autumn migration to Madagascar, a known wintering area for the species. We document the Sooty Falcon's autumn migration route and stop-over sites. The adult Sooty Falcon initiated its migration at night and with tailwinds, and travelled mainly during daytime hours for 13 days over an inland route of more than 5,656 km. The three stop-over sites in East Africa were characterised by moderate to sparse shrub cover associated with potential sources of water. We discuss the migration pattern of the tracked bird in relation to importance of non-breeding areas for Sooty Falcons and recent declines in numbers in their breeding range.

Bird Conservation International