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Identifying policy-relevant indicators for assessing landscape vegetation patterns to inform planning and management on multiple use public lands

Understanding the structure and composition of landscapes can empower agencies to effectively manage public lands for multiple uses while sustaining land health. Many landscape metrics exist, but they are not often used in public land decision-making. Our objectives were to (1) develop and (2) apply a process for identifying a core set of indicators that public land managers can use to understand landscape-level resource patterns on and around public lands. We first developed a process for identifying indicators that are grounded in policy, feasible to quantify using existing data and resources, and useful for managers. We surveyed landscape monitoring efforts by other agencies, gathered science and agency input on monitoring goals, and quantified the prevalence of potential indicators in agency land health standards to identify five landscape indicators: amount, distribution, patch size, structural connectivity, and diversity of vegetation types. We then conducted pilot applications in four bureau of land management (BLM) field offices in Arizona, California, and Colorado to refine procedures for quantifying the indicators and assess the utility of the indicators for managers. Results highlighted the dominance of upland and the limited extent of riparian/wetland vegetation communities, moderate connectivity of priority vegetation patches, and lower diversity of native vegetation types on BLM compared to non-BLM lands. Agency staff can use the indicators to inform the development of quantitative resource management objectives in land use plans, evaluate progress in meeting those objectives, quantify potential impacts of proposed actions, and as a foundation for an all-lands approach to landscape-level management across public lands.

Environmental Management↗

Understanding how microbiomes influence the systems they inhabit

Translating the ever-increasing wealth of information on microbiomes (environment, host, or built environment) to advance the understanding of system-level processes is proving to be an exceptional research challenge. One reason for this challenge is that relationships between characteristics of microbiomes and the system-level processes they influence are often evaluated in the absence of a robust conceptual framework and reported without elucidating the underlying causal mechanisms. The reliance on correlative approaches limits the potential to expand the inference of a single relationship to additional systems and advance the field. We propose that research focused on how microbiomes influence the systems they inhabit should work within a common framework and target known microbial processes that contribute to the system-level processes of interest. Here we identify three distinct categories of microbiome characteristics (microbial processes, microbial community properties, and microbial membership) and propose a framework to empirically link each of these categories to each other and the broader system level processes they affect. We posit that it is particularly important to distinguish microbial community properties that can be predicted from constituent taxa (community aggregated traits) from and those properties that are currently unable to be predicted from constituent taxa (emergent properties). Existing methods in microbial ecology can be applied to more explicitly elucidate properties within each of these categories and connect these three categories of microbial characteristics with each other. We view this proposed framework, gleaned from a breadth of research on environmental microbiomes and ecosystem processes, as a promising pathway with the potential to advance discovery and understanding across a broad range of microbiome science.

Nature Microbiology↗

Sharing knowledge to improve ecological restoration outcomes

Ecological restoration efforts are likely to be more successful when project components are informed by relevant stakeholders. However, key stakeholders are often not included in restoration design and deployment. This is largely driven by a lack of practitioner knowledge of and experience with stakeholder relations. However, inclusion of stakeholders across the entire restoration process can be accomplished by practitioners with no formal social science training. Here, we describe several easy (and usually inexpensive) ways to formally cultivate relationships among restoration practitioners, researchers, and stakeholders to improve restoration outcomes. These include: how to identify and work with stakeholders; how to recognize the unique needs and contributions of stakeholder groups, and how to provide information back to stakeholders through outreach. Although how this practice occurs is dependent on restoration context, integrating these approaches more regularly into ecological restoration projects will likely result in more successful, relevant, and community-supported management outcomes.

Restoration Ecology↗

Efficient wetland surface water detection and monitoring via Landsat: Comparison with in situ data from the Everglades Depth Estimation Network

The U.S. Geological Survey is developing new Landsat science products. One, named Dynamic Surface Water Extent (DSWE), is focused on the representation of ground surface inundation as detected in cloud-/shadow-/snow-free pixels for scenes collected over the U.S. and its territories. Characterization of DSWE uncertainty to facilitate its appropriate use in science and resource management is a primary objective. A unique evaluation dataset developed from data made publicly available through the Everglades Depth Estimation Network (EDEN) was used to evaluate one candidate DSWE algorithm that is relatively simple, requires no scene-based calibration data, and is intended to detect inundation in the presence of marshland vegetation. A conceptual model of expected algorithm performance in vegetated wetland environments was postulated, tested and revised. Agreement scores were calculated at the level of scenes and vegetation communities, vegetation index classes, water depths, and individual EDEN gage sites for a variety of temporal aggregations. Landsat Archive cloud cover attribution errors were documented. Cloud cover had some effect on model performance. Error rates increased with vegetation cover. Relatively low error rates for locations of little/no vegetation were unexpectedly dominated by omission errors due to variable substrates and mixed pixel effects. Examined discrepancies between satellite and in situ modeled inundation demonstrated the utility of such comparisons for EDEN database improvement. Importantly, there seems no trend or bias in candidate algorithm performance as a function of time or general hydrologic conditions, an important finding for long-term monitoring. The developed database and knowledge gained from this analysis will be used for improved evaluation of candidate DSWE algorithms as well as other measurements made on Everglades surface inundation, surface water heights and vegetation using radar, lidar and hyperspectral instruments. Although no other sites have such an extensive in situ network or long-term records, the broader applicability of this and other candidate DSWE algorithms is being evaluated in other wetlands using this work as a guide. Continued interaction among DSWE producers and potential users will help determine whether the measured accuracies are adequate for practical utility in resource management.

Florida↗

Priority research needs to inform amphibian conservation in the Anthropocene

The problem of global amphibian declines has prompted extensive research over the last three decades. Initially, the focus was on identifying and characterizing the extent of the problem, but more recently efforts have shifted to evidence-based research designed to identify best solutions and to improve conservation outcomes. Despite extensive accumulation of knowledge on amphibian declines, there remain knowledge gaps and disconnects between science and action that hamper our ability to advance conservation efforts. Using input from participants at the ninth World Congress of Herpetology, a U.S. Geological Survey Powell Center symposium, amphibian on-line forums for discussion, the International Union for Conservation of Nature Assisted Reproductive Technologies and Gamete Biobanking group, and respondents to a survey, we developed a list of 25 priority research questions for amphibian conservation at this stage of the Anthropocene. We identified amphibian conservation research priorities while accounting for expected tradeoffs in geographic scope, costs, and the taxonomic breadth of research needs. We aimed to solicit views from individuals rather than organizations while acknowledging inequities in participation. Emerging research priorities (i.e., those under-represented in recently published amphibian conservation literature) were identified, and included the effects of climate change, community-level (rather than single species-level) drivers of declines, methodological improvements for research and monitoring, genomics, and effects of land-use change. Improved inclusion of under-represented members of the amphibian conservation community was also identified as a priority. These research needs represent critical knowledge gaps for amphibian conservation although filling these gaps may not be necessary for many conservation actions.

Conservation Science and Practice↗

Report on the 2010 Chilean earthquake and tsunami response

In July 2010, in an effort to reduce future catastrophic natural disaster losses for California, the American Red Cross coordinated and sent a delegation of 20 multidisciplinary experts on earthquake response and recovery to Chile. The primary goal was to understand how the Chilean society and relevant organizations responded to the magnitude 8.8 Maule earthquake that struck the region on February 27, 2010, as well as how an application of these lessons could better prepare California communities, response partners and state emergency partners for a comparable situation. Similarities in building codes, socioeconomic conditions, and broad extent of the strong shaking make the Chilean earthquake a very close analog to the impact of future great earthquakes on California. To withstand and recover from natural and human-caused disasters, it is essential for citizens and communities to work together to anticipate threats, limit effects, and rapidly restore functionality after a crisis. The delegation was hosted by the Chilean Red Cross and received extensive briefings from both national and local Red Cross officials. During nine days in Chile, the delegation also met with officials at the national, regional, and local government levels. Technical briefings were received from the President’s Emergency Committee, emergency managers from ONEMI (comparable to FEMA), structural engineers, a seismologist, hospital administrators, firefighters, and the United Nations team in Chile. Cities visited include Santiago, Talca, Constitución, Concepción, Talcahuano, Tumbes, and Cauquenes. The American Red Cross Multidisciplinary Team consisted of subject matter experts, who carried out special investigations in five Teams on the (1) science and engineering findings, (2) medical services, (3) emergency services, (4) volunteer management, and (5) executive and management issues (see appendix A for a full list of participants and their titles and teams). While developing this delegation, it was clear that a multidisciplinary approach was required to properly analyze the emergency response, technical, and social components of this disaster. A diverse and knowledgeable delegation was necessary to analyze the Chilean response in a way that would be beneficial to preparedness in California, as well as improve mitigation efforts around the United States. By most standards, the Maule earthquake was a catastrophe for Chile. The economic losses totaled $30 billion USD or 17% of the GDP of the country. Twelve million people, or ¾ of the population of the country, were in areas that felt strong shaking. Yet only 521 fatalities have been confirmed, with 56 people still missing and presumed dead in the tsunami. The Science and Technology Team evaluated the impacts of the earthquake on built environment with implications for the United States. The fires following the earthquake were minimal in part because of the shutdown of the national electrical grid early in the shaking. Only five engineer-designed buildings were destroyed during the earthquake; however, over 350,000 housing units were destroyed. Chile has a law that holds building owners liable for the first 10 years of a building’s existence for any losses resulting from inadequate application of the building code during construction. This law was cited by many our team met with as a prime reason for the strong performance of the built environment. Overall, this earthquake demonstrated that strict building codes and standards could greatly reduce losses in even the largest earthquakes. In the immediate response to the earthquake and tsunami, first responders, emergency personnel, and search and rescue teams handled many challenges. Loss of communications was significant; many lives were lost and effective coordination to support life-sustaining efforts was gravely impacted due to a lack of inter- and intra-agency coordination. The Health and Medical Services Team sought to understand the medical disaster response strategies and operations of Chilean agencies, including perceived or actual failures in disaster preparation that impacted the medical disaster response; post-disaster health and medical interventions to save lives and limit suffering; and the lessons learned by public health and medical personnel as a result of their experiences. Despite devastating damage to the health care and civic infrastructure, the health care response to the Chilean earthquake appeared highly successful due to several factors. Like other first responders, the medical community had the ability and resourcefulness to respond without centralized control in the early response phase. The health care community maintained patient care under austere conditions, despite many obstacles that could have prevented such care. National and international resources were rapidly mobilized to support the medical response. The Emergency Services Team sought to collect information on all phases of emergency management (preparedness, mitigation, response, and recovery) and determine what worked well and what could be improved upon. The Chileans reported being surprised that they were not as ready for this event as they thought they were. The use of mass care sheltering was limited, given the scope of the disaster, because of the resiliency of the population. The impacts of the earthquake and the tsunami were quite different, as were the needs of urban and rural dwellers, necessitating different response activities. The Volunteer Services Team examined the challenges faced in mobilizing a large number of volunteers to assist in the aftermath of a disaster of this scale. One of the greatest challenges expressed was difficulty in communication; the need for redundancy in communication mechanisms was cited. The flexibility and ability to work autonomously by the frontline volunteers was a significant factor in effective response. It was also important for volunteer leadership to know the emergency plans. These plans need to be flexible, include alternative options, and be completed in conjunction with local officials and other volunteers. The Executive/Red Cross Management Team took a broad look at the impacts of the earthquake and the implications for California. Some of the most important preparation for the disaster came from relationships formed before the event. The communities with strong connections between different government services generally fared well. The initial response and resilience of individuals and communities was another important component. Communication system failures limited the ability of a central government to assist impacted communities, or to issue tsunami warnings. It also delayed the response since the government did not know (in some case for several days) the impact and needs of local governments. In general, plans for congregate care shelters existed but were little used as most people chose to stay at damaged homes or with relatives. Looting was a surprise to response officials as well as social scientists, but both public and private sector organizations, including NGOs (Non-Governmental Organizations), must consider security for damaged businesses as a priority in California’s multihazard planning. Class and ethnic divisions that become heightened during some cases of actual or perceived injustice may also emerge in natural disasters in California. Several factors contributed overall to the low casualty rate and rapid recovery. A major factor is the strong building code in Chile and its comprehensive enforcement. In particular, Chile has a law that holds building owners accountable for losses in a building they build for 10 years. A second factor was the limited number of fires after the earthquake. In the last few California earthquakes, 60% of the fires were started by electrical problems, so the rarity of fires may have been affected by the shut down of the electricity grid early in the earthquake. Third, in many areas, the local emergency response was very effective. The most effective regions had close coordination between emergency management, fire, and police and were empowered to respond without communication with the capital. The fourth factor was the overall high level of knowledge about earthquakes and tsunamis by much of the population that helped them respond more appropriately after the event.

Open-File Report↗

The global Landsat archive: Status, consolidation, and direction

New and previously unimaginable Landsat applications have been fostered by a policy change in 2008 that made analysis-ready Landsat data free and open access. Since 1972, Landsat has been collecting images of the Earth, with the early years of the program constrained by onboard satellite and ground systems, as well as limitations across the range of required computing, networking, and storage capabilities. Rather than robust on-satellite storage for transmission via high bandwidth downlink to a centralized storage and distribution facility as with Landsat-8, a network of receiving stations, one operated by the U.S. government, the other operated by a community of International Cooperators (ICs), were utilized. ICs paid a fee for the right to receive and distribute Landsat data and over time, more Landsat data was held outside the archive of the United State Geological Survey (USGS) than was held inside, much of it unique. Recognizing the critical value of these data, the USGS began a Landsat Global Archive Consolidation (LGAC) initiative in 2010 to bring these data into a single, universally accessible, centralized global archive, housed at the Earth Resources Observation and Science (EROS) Center in Sioux Falls, South Dakota. The primary LGAC goals are to inventory the data held by ICs, acquire the data, and ingest and apply standard ground station processing to generate an L1T analysis-ready product. As of January 1, 2015 there were 5,532,454 images in the USGS archive. LGAC has contributed approximately 3.2 million of those images, more than doubling the original USGS archive holdings. Moreover, an additional 2.3 million images have been identified to date through the LGAC initiative and are in the process of being added to the archive. The impact of LGAC is significant and, in terms of images in the collection, analogous to that of having had two additional Landsat-5 missions. As a result of LGAC, there are regions of the globe that now have markedly improved Landsat data coverage, resulting in an enhanced capacity for mapping, monitoring change, and capturing historic conditions. Although future missions can be planned and implemented, the past cannot be revisited, underscoring the value and enhanced significance of historical Landsat data and the LGAC initiative. The aim of this paper is to report the current status of the global USGS Landsat archive, document the existing and anticipated contributions of LGAC to the archive, and characterize the current acquisitions of Landsat-7 and Landsat-8. Landsat-8 is adding data to the archive at an unprecedented rate as nearly all terrestrial images are now collected. We also offer key lessons learned so far from the LGAC initiative, plus insights regarding other critical elements of the Landsat program looking forward, such as acquisition, continuity, temporal revisit, and the importance of continuing to operationalize the Landsat program.

Remote Sensing of Environment↗

The contribution of road-based citizen science to the conservation of pond-breeding amphibians

Roadside amphibian citizen science (CS) programmes bring together volunteers focused on collecting scientific data while working to mitigate population declines by reducing road mortality of pond‐breeding amphibians. Despite the international popularity of these movement‐based, roadside conservation efforts (i.e. “big nights,” “bucket brigades” and “toad patrols”), direct benefits to conservation have rarely been quantified or evaluated. As a case study, we used a population simulation approach to evaluate how volunteer intensity, frequency and distribution influence three conservation outcomes (minimum population size, population growth rate and years to extinction) of the spotted salamander ( Ambystoma maculatum ), often a focal pond‐breeding amphibian of CS and conservation programmes in the United States. Sensitivity analysis supported the expectation that spotted salamander populations were primarily recruitment‐driven. Thus, conservation outcomes were highest when volunteers focused on metamorph outmigration as opposed to adult in‐migration—contrary to the typical timing of such volunteer events. Almost every volunteer strategy resulted in increased conservation outcomes compared to a no‐volunteer strategy. Specifically, volunteer frequency during metamorph migration increased outcomes more than the same increases in volunteer effort during adult migration. Small population sizes resulted in a negligible effect of volunteer intensity. Volunteers during the first adult in‐migration had a relatively small effect compared to most other strategies. Synthesis and applications . Although citizen science (CS)‐focused conservation actions could directly benefit declining populations, additional conservation measures are needed to halt or reverse local amphibian declines. This study demonstrates a need to evaluate the effectiveness of focusing CS mitigation efforts on the metamorph stage, as opposed to the adult stage. This may be challenging, compared to other management actions such as road‐crossing infrastructure. Current amphibian CS programmes will be challenged to balance implementing evidence‐based conservation measures on the most limiting life stage, while retaining social and community benefits for volunteers.

Journal of Applied Ecology↗

Water-quality assessment of the upper Snake River Basin, Idaho and western Wyoming — Summary of aquatic biological data for surface water through 1992

The 35,800-square-mile upper Snake River Basin in eastern Idaho and western Wyoming was one of 20 areas selected for water-quality study under the National Water-Quality Assessment Program. As part of the initial phase of the study, data were compiled to describe the current (1992) and historical aquatic biological conditions of surface water in the basin. This description of natural and human environmental factors that affect aquatic life provides the framework for evaluating the status and trends of aquatic biological conditions in streams of the basins. Water resource development and stream alterations, irrigated agriculture, grazing, aquaculture, and species introductions have affected stream biota in the upper Snake River Basin. Cumulative effects of these activities have greatly altered cold-water habitat and aquatic life in the middle Snake River reach (Milner Dam to King Hill). Most of the aquatic Species of Special Concern in the basin , consisting of eight native mollusks and three native fish species, are in this reach of the Snake River. Selected long-term studies, including comprehensive monitoring on Rock Creek, have shown reduced pollutant loadings as a result of implementing practice on cropland; however, aquatic life remains affected by agricultural land use. Community level biological data are lacking for most of the streams in the basin, especially for large river. Aquatic life used to assess water quality of the basin includes primarily macroinvertebrate and fish communities. At least 26 different macroinvertebrate and fish community metrics have been utilized to assess water quality of the basin. Eight species of macroinvertebrates and fish are recognized as Species of Special Concern. The native fish faunas of the basin are composed primarily of cold-water species representing 5 families and 26 species. An additional 13 fish species have been introduced to the basin. Concentrations of synthetic organic compounds and trace-element contaminants in whole fish collected in the basin during 1970-90 generally did not exceed National Academy of Sciences and National Academy of Engineering concentration guidelines or the 1980-81 geometric mean concentrations from samples collected as part of the U.S. Fish and Wildlife Service National Contaminant Biomonitoring Program. Currently, there are no State fish consumption advisories on any streams in the basin, The organochlorine compounds DDT and PCB's were the most frequently detected fish tissue contaminant. Selected long-term data on DDT, its metabolites, and PCB's indicate decreasing concentrations of these compounds. Arsenic, mercury, and selenium were slightly elevated compared with nationwide baseline concentrations and may indicate bioaccumularion in the food chain. Concentrations of most other trace elements in fish tissue were below levels of concerns for the protection of humans and wildlife.

Idaho, Wyoming↗

Apicomplexan and non-metazoan microeukaryotes in the thermosensitive reef-building coral Acropora hyacinthus shift in abundance throughout an extreme coral bleaching event

Coral reefs play vital roles in global marine systems and are currently facing increased threats of bleaching. Coral bleaching is heavily influenced by the host-associated microeukaryote community – most notably the dinoflagellate family Symbiodiniaceae. The apicomplexan family Corallicolidae, is the second most abundant member of the microeukaryote community, yet their role in coral health is largely unknown. To explore the role that this apicomplexan and the greater non-metazoan microeukaryotic community play in coral health, samples of a thermally sensitive scleractinian coral, Acropora hyacinthus , were collected over the course of a severe coral bleaching event and its aftermath. Through 18S rRNA gene sequencing analysis, we found that taxa within the family Corallicolidae were relatively enriched in corals during, and immediately after, the severe bleaching event as compared to before or one year after. Although utilizing 18S rRNA gene sequencing methods is not the standard for Symbiodiniaceae community profiling, we were able to observe symbiont shuffling among the Symbiodiniaceae communities, as the dominant algal symbiont shifted from the genus Cladocopium to the genus Symbiodinium following the bleaching event. Furthermore, the non-metazoan microeukaryote community displayed a general shift towards a state of dysbiosis; evidenced by substantial changes in both microeukaryote community composition and dispersion. These results offer insight into the dynamics of apicomplexans throughout the course of an increasingly common global coral reef stressor.

Mo’orea↗

Discussion on remote sensing for aquatic monitoring

The special session on Remote Sensing for Aquatic Resource Monitoring concluded with an expert panel discussion. Panel members were Jennifer Bountry (hydraulic engineer, Bureau of Reclamation), Mimi D’Iorio (GIS analyst and database manager, National Oceanic and Atmospheric Administration), Russ Faux (president, Watershed Sciences, Inc.), Steve Lanigan (team leader, Aquatic and Riparian Effectiveness Monitoring Program, U.S. Forest Service), and Amar Nayegandhi (computer scientist, Jacobs Technology, contracted to U.S. Geological Survey). The panel was moderated by Ralph Haugerud (geologist, U.S. Geological Survey) and there were significant contributions from the audience. The dialogue is summarized below in question and answer format. This summary is followed by discussion of what we learned in the course of the special session and identification of some next steps for the Pacific Northwest aquatic monitoring community.

PNAMP Special Publication↗

Aleuts, sea otters, and alternate stable state communities

Reexamination of stratified faunal components of a prehistoric Aleut midden excavated on Amchitka Island, Alaska, indicates that Aleut prey items changed dramatically during 2500 years of aboriginal occupation. Recent ecological studies in the Aleutian Islands have shown the concurrent existence of two alternate stable nearshore communities, one dominated by macroalgae, the other by epibenthic herbivores, which are respectively maintained by the presence or absence of dense sea otter populations. Thus, rather than cultural shifts in food preference, the changes in Aleut prey were probably the result of local overexploitation of sea otters by aboriginal Aleuts.

Alaska↗

Microbial populations in contaminant plumes

Efficient biodegradation of subsurface contaminants requires two elements: (1) microbial populations with the necessary degradative capabilities, and (2) favorable subsurface geochemical and hydrological conditions. Practical constraints on experimental design and interpretation in both the hydrogeological and microbiological sciences have resulted in limited knowledge of the interaction between hydrogeological and microbiological features of subsurface environments. These practical constraints include: (1) inconsistencies between the scales of investigation in the hydrogeological and microbiological sciences, and (2) practical limitations on the ability to accurately define microbial populations in environmental samples. However, advances in application of small-scale sampling methods and interdisciplinary approaches to site investigations are beginning to significantly improve understanding of hydrogeological and microbiological interactions. Likewise, culture-based and molecular analyses of microbial populations in subsurface contaminant plumes have revealed significant adaptation of microbial populations to plume environmental conditions. Results of recent studies suggest that variability in subsurface geochemical and hydrological conditions significantly influences subsurface microbial-community structure. Combined investigations of site conditions and microbial-community structure provide the knowledge needed to understand interactions between subsurface microbial populations, plume geochemistry, and contaminant biodegradation.

Hydrogeology Journal↗

Report from the workshop on climate downscaling and its application in high Hawaiian Islands, September 16–17, 2015

In the subtropical and tropical Pacific islands, changing climate is predicted to influence precipitation and freshwater availability, and thus is predicted to impact ecosystems goods and services available to ecosystems and human communities. The small size of high Hawaiian Islands, plus their complex microlandscapes, require downscaling of global climate models to provide future projections of greater skill and spatial resolution. Two different climate modeling approaches (physics-based dynamical downscaling and statistics-based downscaling) have produced dissimilar projections. Because of these disparities, natural resource managers and decision makers have low confidence in using the modeling results and are therefore are unwilling to include climate-related projections in their decisions. In September 2015, the Pacific Islands Climate Science Center (PICSC), the Pacific Islands Climate Change Cooperative (PICCC), and the Pacific Regional Integrated Sciences and Assessments (Pacific RISA) program convened a 2-day facilitated workshop in which the two modeling teams, plus key model users and resource managers, were brought together for a comparison of the two approaches, culminating with a discussion of how to provide predictions that are useable by resource managers. The proceedings, discussions, and outcomes of this Workshop are summarized in this Open-File Report.

Hawaii↗

CoastSeg: An accessible and extendable hub for satellite-derived-shoreline (SDS) detection and mapping

CoastSeg is an interactive browser-based program that aims to broaden the adoption of satellite-derived shoreline (SDS) detection and coastal landcover mapping workflows among coastal scientists and coastal resource management practitioners. SDS is a sub-field of coastal sciences that aims to detect and post-process a time-series of shoreline locations from publicly available satellite imagery. CoastSeg is a python package installed via pip into a conda environment that serves as an API for building custom SDS workflows. CoastSeg also provides full SDS workflow implementations via jupyter notebooks and python scripts that call functions and classes in the core CoastSeg API for specific workflows. Two fully functioning SDS workflows are already provided, and more could be added by collaborators in the SDS software community. All API codes, notebooks, scripts, and documentation are hosted on the CoastSeg GitHub repository.

Journal of Open Source Software↗

Landsat International Cooperators and Global Archive Consolidation

Landsat missions have always been an important component of U.S. foreign policy, as well as science and technology policy. The Landsat program’s longstanding network of International Cooperators (ICs), which operates numerous International Ground Stations (IGS) around the world, embodies the United States’ policy of peaceful use of outer space and the worldwide dissemination of civil space technology for public benefit. Thus, the ICs provide an essential dimension to the Landsat mission. In 2010, the Landsat Global Archive Consolidation (LGAC) initiative began, with goals to consolidate the Landsat data archives of all IGSs, make the data more accessible to the global Landsat user community, and significantly increase the frequency of observations over a given area of interest to contribute to the understanding of a changing Earth.

Fact Sheet↗

Ecological effects of pinyon-juniper removal in the Western United States—A synthesis of scientific research, January 2014–March 2021

Executive Summary Increasing density of pinyon ( Pinus spp. ) and juniper ( Juniperus spp. ) woodlands (hereinafter “pinyon-juniper”), as well as expansion of these woodlands into adjacent shrublands and grasslands, has altered ecosystem function and wildlife habitat across large areas of the interior western United States. Although there are many natural and human-caused drivers of woodland infilling and expansion, restoration of sagebrush ( Artemisia spp. ) habitat through removal of pinyon-juniper is considered an urgent management objective in many locations, particularly in support of sagebrush-dependent wildlife species of conservation concern. In December 2020, the Bureau of Land Management (BLM) established the Pinyon-Juniper Management Categorical Exclusion (PJCX) to expedite the regulatory process for pinyon-juniper removal projects on public lands, largely intended to benefit mule deer ( Odocoileus hemionus ) and greater sage-grouse ( Centrocercus urophasianus ) habitats. During final preparation of this report, the BLM discontinued use of the PJCX (as of November, 2022), but the pinyon-juniper tree removal techniques assessed in this report are commonly used and understanding their effects remains relevant to land use planning. To address areas of uncertainty relative to potential ecological effects of the PJCX, we conducted a review of the peer-reviewed science literature to better understand the likely responses of vegetation, environmental (for example, soils), and wildlife variables to specific tree removal techniques permitted by the PJCX. In brief, the PJCX permitted removal of trees by either manual cutting, mechanical cutting, or mastication; allowed certain methods to redistribute or remove resulting tree biomass after treatment; and prohibited broadcast burning, roadbuilding, removal of old-growth, and seeding of non-native species. Specifically, we conducted our review to address the following questions: How will PJCX removal techniques affect plant communities, soils, and abiotic resources? How do these pinyon-juniper removal techniques affect wildlife communities, including both woodland- and sagebrush-dependent species? What are the potential ecological implications of different pinyon-juniper removal treatment types and implementation strategies (for example, treatment sizes) over time? What are the most important gaps in our scientific understanding of how treatments might affect targeted ecosystems over space and time (for example, potential effects of climate change)? To answer these questions, we considered studies related to pinyon-juniper ecosystems, focusing on research that occurred over a large portion of the interior western United States that is the primary focus of the PJCX. We also focused on papers published from 2014 onward, to avoid excessive overlap with other recent reviews on pinyon-juniper management effects. Using strict criteria, including only considering research that tested responses for statistical significance, we identified 48 papers that primarily examined treatment effects on vegetation and other environmental variables (1,709 responses), and 11 papers that addressed effects on wildlife (132 responses). Responses to the PJCX-permitted treatments were summarized as either positive (that is, a significant increase), negative (that is, a significant decrease), or non-significant (that is, no significant difference). Responses were assigned to categories (for example, Native Annual Grass/Forb Abundance) and hierarchical treatment levels. We found that there were large proportions of non-significant responses among all categories combined, with roughly half or more of all responses non-significant (48 percent for wildlife, 60 percent for vegetation-environmental), comparable to other recent systematic reviews of pinyon-juniper treatment effects. However, we also found that when there were significant responses, some important trends potentially emerged. Important undesirable outcomes included far more positive than negative responses of exotic grass and forb abundance among nearly all treatment types. Cutting treatments were also more likely to decrease biocrust cover and microbial activity. Potentially beneficial outcomes included mostly positive responses among sagebrush obligate species, including more positive than negative responses for mule deer and sage-grouse. Some treatment types (for example, mastication) also resulted in more positive than negative responses for native grasses and forbs (although, non-significant responses were the majority). We also highlighted many limitations of this review, including how responses often come from few studies, and how some response-treatment category combinations lack adequate response data. Moreover, the existing research is often insufficient to address many key questions about treatment effects, largely owing to short time-scales and limited spatial extents of observations, which do not match the size of treatments being implemented by land managers, nor capture long-term, post-treatment ecological dynamics. We also identify a lack of research that addresses key interactions that could undermine restoration objectives, including potential effects of climate change and grazing on post-treatment environments. Thus, we emphasize the importance of integrating these factors into future pinyon-juniper treatment research, and we stress the need for use of monitoring programs and research studies that partake in data collection and analysis over long durations and broad spatial scales.

Open-File Report↗

MTBE; to what extent will past releases contaminate community water supply wells?(Brief Article)

The increasing frequency of detection of the widely used gasoline additive methyl tertbutyl ether (MTBE) in both ground- and surface waters is receiving much attention from the media, environmental scientists, state environmental agencies, and federal agencies. At the national level, the September 15,1999, Report of the Blue Ribbon Panel on Oxygenates in Gasoline (i) )tates that between 5 and 10% of community drinking water supplies in high MTBE use areas show at least detectable concentrations of MTBE, and about 1% of those systems are characterized by levels of this compound that are above 20 pg/L. In Maine, a desire to determine the extent of MTBE contamination led to a 1998 study (2) that revealed that this compound is found at levels above 0.1 pg/L in 16% of 951 randomly selected household wells and in 16% of the 793 community water systems tested in that state (37 wells were not tested). The study also suggested that between 1400 and 5200 household wells may have levels above 35 pg/L, although no community water supplies were found to be above that concentration. For comparison, Maryland, New Hampshire, New York, and California have set MTBE remediation "action levels" at or below 20 pg/L, and EPA has set its advisory level for taste and odor at 20-40 pg/L (3).

Environmental Science & Technology↗