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At least 901 records · Page 50Linked to original sources

Geologic history of natural coal-bed fires, Powder River basin, USA

Coal-bed fires ignited by natural processes have baked and fused overlying sediments to form clinker, a hard red or varicolored rock, through much of the northern Great Plains of the United States (USA). The gently dipping coal beds in the region burn when regional downwasting brings them above the local water table. The resulting clinker forms a rim along the exposed edge of the coal bed in an ongoing process through geologic time. The resistant clinker is left capping buttes and ridges after the softer unbaked strata erode away. Clinker outcrops cover more than 4100 km2 in the Powder River basin (PRB), which lies in Wyoming (WY) and Montana (MT). The clinker in place records tens of billions of tons of coal that have burned, releasing gases into the atmosphere. The amount of clinker that has eroded away was at least an order of magnitude greater than the clinker that remains in place. Fission-track and uranium-thorium/ helium ages of detrital zircon crystals in clinker, and paleomagnetic ages of clinker, show that coal beds have burned naturally during at least the past 4 million years (Ma). The oldest in-place clinker that has been dated, collected from a high, isolated, clinker-capped ridge, has a fission track age of 2.8??0.6 Ma. Evidence of erosion and downcutting is also preserved by clinker clasts in gravel terraces. One clinker boulder in a terrace 360 m above the Yellowstone River has a fission track age of 4.0??0.7 Ma. Coal-bed fires are caused by lightning, wildfires, spontaneous combustion, or human activity on coal outcrops and in mines. Miners, government agencies, and ranchers have extinguished thousands of coal bed fires, but natural ignition continues where fresh coal has access to air. At any given time, hundreds of fires, mostly small, are burning. In the Powder River basin, the total amount of coal burned by natural fires in the last 2 Ma is one to two orders of magnitude greater than the total amount of coal removed by mining in the past century. However, current annual rates of coal mining are three to four orders of magnitude greater than estimated prehistoric annual rates of coal consumption by natural fires. ?? 2004 Published by Elsevier B.V.

International Journal of Coal Geology↗

Magnitude and extent of flooding at selected river reaches in western Washington, January 2009

A narrow plume of warm, moist tropical air produced prolonged precipitation and melted snow in low-to-mid elevations throughout western Washington in January 2009. As a result, peak-of-record discharges occurred at many long-term streamflow-gaging stations in the region. A disaster was declared by the President for eight counties in Washington State and by May 2009, aid payments by the Federal Emergency Management Agency (FEMA) had exceeded $17 million. In an effort to document the flood and to obtain flood information that could be compared with simulated flood extents that are commonly prepared in conjunction with flood insurance studies by FEMA, eight stream reaches totaling 32.6 miles were selected by FEMA for inundation mapping. The U.S. Geological Survey?s Washington Water Science Center used a survey-grade global positioning system (GPS) the following summer to survey high-water marks (HWMs) left by the January 2009 flood at these reaches. A Google Maps (copyright) application was developed to display all HWM data on an interactive mapping tool on the project?s web site soon after the data were collected. Water-surface profiles and maps that display the area and depth of inundation were produced through a geographic information system (GIS) analysis that combined surveyed HWM elevations with Light Detection and Ranging (LiDAR)-derived digital elevation models of the study reaches and surrounding terrain. In several of the reaches, floods were well confined in their flood plains and were relatively straightforward to map. More common, however, were reaches with more complicated hydraulic geometries where widespread flooding resulted in flows that separated from the main channel. These proved to be more difficult to map, required subjective hydrologic judgment, and relied on supplementary information, such as aerial photographs and descriptions of the flooding from local landowners and government officials to obtain the best estimates of the extent of flooding.

Scientific Investigations Report↗

Determination of flow losses in the Cape Fear River between B. Everett Jordan Lake and Lillington, North Carolina, 2008-2010

During 2008-2010, the U.S. Geological Survey conducted a hydrologic investigation in cooperation with the Triangle J Council of Governments Cape Fear River Flow Study Committee and the North Carolina Division of Water Resources to collect hydrologic data in the Cape Fear River between B. Everett Jordan Lake and Lillington in central North Carolina to help determine if suspected flow losses occur in the reach. Flow loss analyses were completed by summing the daily flow releases at Jordan Lake Dam with the daily discharges at Deep River at Moncure and Buckhorn Creek near Corinth, then subtracting these values from the daily discharges at Cape Fear River at Lillington. Examination of long-term records revealed that during 10,227 days of the 1983-2010 water years, 408 days (4.0 percent) had flow loss when conditions were relatively steady with respect to the previous day's records. The flow loss that occurred on these 40 days ranged from 0.49 to 2,150 cubic feet per second with a median flow loss of 37.2 cubic feet per second. The months with the highest number of days with flow losses were June (16. percent), September (16.9 percent), and October (19.4 percent). A series of synoptic discharge measurements made on six separate days in 2009 provided "snapshots" of overall flow conditions along the study reach. The largest water diversion is just downstream from the confluence of the Haw and Deep Rivers, and discharges substantially decrease in the main stem downstream from the intake point. Downstream from Buckhorn Dam, minimal gain or loss between the dam and Raven Rock State Park was noted. Analyses of discharge measurements and ratings for two streamgages-one at Deep River at Moncure and the other at Cape Fear River at Lillington-were completed to address the accuracy of the relation between stage and discharge at these sites. The ratings analyses did not indicate a particular time during the 1982-2011 water years in which a consistent bias occurred in the computations of discharge records that would indicate false flow losses. A total of 34 measured discharges at a streamgage on the Haw River below B. Everett Jordan Lake near Moncure were compared with the reported hourly flow releases from Jordan Lake Dam. Because 28 of 34 measurements were within plus or minus 10 percent of the hourly flow releases reported by the U.S Army Corps of Engineers, use of the current discharge computation tables for reporting Jordan Lake Dam flow releases is generally supported. A stage gage was operated on the Cape Fear River at Buckhorn Dam near Corinth to collect continuous stage-only records. Throughout the study period, flow over the dam was observed along its length, and flow loss within the study reach is not attributed to river-level fluctuations at the dam. Water-use information and (or) data were obtained for five industrial facilities, a regional power utility, two municipalities, one small hydropower facility on the Deep River, and one quarry operation also adjacent to the Deep River. The largest water users are the regional power producer, a small hydropower operation, and the two municipalities. The total water-use diversions for these facilities range from almost 25.5 to 38.5 cubic feet per second (39.5 to 59.5 million gallons per day) during the winter and summer periods, respectively. This range is equivalent to 69 to 104 percent of the 37 cubic feet per second median flow loss. The Lockville hydropower station is on the Deep River about 1 mile downstream from the streamgage near Moncure. Run-of-river operations at the facility do not appear to affect flow losses in the study reach. The largest water user in the study area is a regional power producer at a coal-fired power-generation plant located immediately adjacent to the Cape Fear River just downstream from the confluence of the Haw an Deep Rivers. Comparisons of daily water withdrawals, sup-plied by the regional power producer, and discharge records at a streamgage on the diversion canal indicated many days when consumption exceeded the producer's estimates for the cooling towers. Uncertainty surrounding reasonable estimates of consumption remained in effect at the end of the study. Data concerning evaporative losses were compiled using two approaches-an analysis of available pan-evaporation data from a National Weather Service cooperative observer station in Chapel Hill, North Carolina; and a compilation of reference open-water evaporation computed by the State Climate Office of North Carolina. The potential flow loss by evaporation from the main stem and the Deep River was estimated to be in the range of 4 to 14 cubic feet per second during May through October, equivalent to 10 to 38 percent of the 37 cubic feet per second median flow loss. Daily water-use diversions and evaporation losses were compared to flow-loss occurrences during the period April 2008 through September 2010. In comparing the surface-water, water-use, and evaporation data compiled for 2008-2010, it is evident that documented water diversions combined with flow losses by open-water evaporation can exceed the net flow gain in the study area and result in flow losses from the reach. Analysis of data from a streamgage downstream from the regional power plant on the diversion canal adjacent to the Cape Fear River provided insight into the occurrence of an apparent flow loss at the streamgage at Lillington. Assessment of the daily discharges and subsequent hydrographs for the canal streamgage indicated at least 24 instances during the study when the flows suddenly changed by magnitudes of 100 to more that 200 cubic feet per second, resulting in a noted time-lag effect on the downstream discharges at the Lillington streamgage, beginning 8 to 16 hours after the sudden flow change. A fiber-optic distributed temperature-sensing survey was conducted on the Cape Fear River at the Raven Rock State Park reach August 12-14, 2009, to determine if the presence of diabase dikes were preferentially directing groundwater discharge. No temperature anomalies of colder water were measured during the survey, which indicated that at the time of the survey that particular reach of the Cape Fear River was a "no-flow" or losing stream. An aerial thermal-infrared survey was conducted on the Haw and Cape Fear Rivers on February 27, 2010, from Jordan Lake Dam to Lillington to qualitatively delineate areas of groundwater discharge on the basis of the contrast between warm groundwater discharge and cold surface-water temperatures. Dis-charge generally was noted as diffuse seepage, but in a few cases springs were detected as inflow at a discrete point of discharge. Two reaches of the Cape Fear River (regional power plant and Bradley Road reaches) were selected for groundwater monitoring with a transect of piezometers installed within the flood plain. Groundwater-level altitudes at these reaches were analyzed for 1 water year (October 1, 2009, to September 30, 2010). Data collected as part of this study represent only a brief period of time and may not represent all conditions and all years; however, the data indicate that, during the dry summer months, the Cape Fear River within the study area is losing an undetermined quantity of water through seepage. Analyses completed during this investigation indicate a study reach with complex flow patterns affected by numerous concurrent factors resulting in flow losses. The causes of flow loss could not be solely attributed to any one factor. Among the factors considered, the occurrences of water diversions and evaporative losses were determined to be sufficient on some days (particularly during the base-flow period) to exceed the net gain in flows between the upstream and downstream ends of the study area. Losses by diversions and evaporation can exceed the median flow loss of 3 cubic feet per second, which indicates that flow loss from the study reach is real. Groundwater data collected during 2009-2010 indicate the possibility of localized flow loss during the summer, particularly in the impounded reach above Buckhorn Dam. However, no indication of unusual patterns was noted that would cause substantial flow loss by groundwater and surface-water interaction at the river bottom.

North Carolina↗

Long-term citizen-collected data reveal geographical patterns and temporal trends in lake water clarity

We compiled a lake-water clarity database using publicly available, citizen volunteer observations made between 1938 and 2012 across eight states in the Upper Midwest, USA. Our objectives were to determine (1) whether temporal trends in lake-water clarity existed across this large geographic area and (2) whether trends were related to the lake-specific characteristics of latitude, lake size, or time period the lake was monitored. Our database consisted of >140,000 individual Secchi observations from 3,251 lakes that we summarized per lake-year, resulting in 21,020 summer averages. Using Bayesian hierarchical modeling, we found approximately a 1% per year increase in water clarity (quantified as Secchi depth) for the entire population of lakes. On an individual lake basis, 7% of lakes showed increased water clarity and 4% showed decreased clarity. Trend direction and strength were related to latitude and median sample date. Lakes in the southern part of our study-region had lower average annual summer water clarity, more negative long-term trends, and greater inter-annual variability in water clarity compared to northern lakes. Increasing trends were strongest for lakes with median sample dates earlier in the period of record (1938–2012). Our ability to identify specific mechanisms for these trends is currently hampered by the lack of a large, multi-thematic database of variables that drive water clarity (e.g., climate, land use/cover). Our results demonstrate, however, that citizen science can provide the critical monitoring data needed to address environmental questions at large spatial and long temporal scales. Collaborations among citizens, research scientists, and government agencies may be important for developing the data sources and analytical tools necessary to move toward an understanding of the factors influencing macro-scale patterns such as those shown here for lake water clarity.

Illinois, Indiana, Iowa, Michigan, Minnesota, Miss↗

Annotated bibliography of scientific research on greater sage-grouse published since January 2015

The greater sage-grouse ( Centrocercus urophasianus ; hereafter GRSG) has been a focus of scientific investigation and management action for the past two decades. The 2015 U.S. Fish and Wildlife Service listing determination of “not warranted” was in part due to a large-scale collaborative effort to develop strategies to conserve GRSG populations and their habitat and to reduce threats to both. New scientific information augments existing knowledge and can help inform updates or modifications to existing plans for managing GRSG and sagebrush ecosystems. However, the sheer number of scientific publications can be a challenge for managers tasked with evaluating and determining the need for potential updates to existing planning documents. To assist in this process, the U.S. Geological Survey (USGS) has reviewed and summarized the scientific literature published since January 1, 2015. To identify articles and reports published about GRSG, we first conducted a structured search of three reference databases (Web of Science, Scopus, and Google Scholar) using the search term “greater sage-grouse.” We refined the initial list of products by (1) removing duplicates, (2) excluding products that were not published as research or scientific review articles in peer-reviewed journals or as formal government technical reports, and (3) retaining only those products for which GRSG or their habitat was a research focus. We summarized the contents of each product by using a consistent structure (background, objectives, methods, location, findings, and implications) and assessed the content of each product relevant to a list of 31 management topics. These topics include GRSG biology and habitat characteristics along with potential management actions, land uses, and environmental factors related to GRSG management and conservation. We also noted which articles/reports created new geospatial data. The final search was conducted on January 6, 2018, and application of our criteria resulted in the inclusion of 169 published products (2 of these products were published corrections to journal articles). The management topics most commonly addressed were GRSG behavior or demographics and GRSG habitat selection or habitat characteristics at broad or site scales. Few products addressed captive breeding, recreation, wild horses and burros, and range management structures (including fences). We include in this annotated bibliography the full citation, product summary, and management topics addressed by each product. The online version of this bibliography ( https://apps.usgs.gov/gsgbib/index.php ) is searchable by topic and location and includes links to the original publications. A substantial body of literature has been compiled based on research explicitly related to the conservation, management, monitoring, and assessment of GRSG. These studies may inform planning and management actions that seek to balance conservation, economic, and social objectives and manage diverse resource uses and values across the western United States. The review process for this product included requesting input on each summary from one or more authors of the original peer-reviewed article or report and a formal review of the entire document by three independent reviewers and, subsequently, the USGS Bureau Approving Official. This process is consistent with USGS Fundamental Science Practices.

Open-File Report↗

Concepts for monitoring water quality in the Spokane River Basin, northern Idaho and eastern Washington

Numerous environmental studies have been conducted in the Spokane River Basin over the past several decades by government agencies, academic institutions, and environmental engineering firms. Most of these efforts have focused on the environmental effects of more than a century of silver, lead, and zinc mining and oreprocessing activities in the South Fork Coeur d'Alene River valley in northern Idaho. Several studies also have assessed the water quality and potential for eutrophication of Coeur d'Alene and Long Lakes and the Coeur d'Alene, St. Joe, and Spokane Rivers. Because past investigations often were limited in scope and employed different approaches and methods, an integrated understanding of hydrologic, water-quality, and aquatic biological conditions still is lacking for the basin as a whole. Substantial resources are being spent for water-quality and naturalresource management, and for mitigating the adverse environmental effects of past mining activities in the basin. A water-quality monitoring network, integrated with the decision-making processes associated with these efforts, could be of considerable value. The purpose of such a monitoring network is to produce high-quality information on which to base sound water-quality and natural-resource management decisions and to assess the effectiveness of those decisions. A streamflow- and water-quality monitoring infrastructure already exists in the Spokane River Basin. This infrastructure consists of 20 lake-stage and streamflow-gaging stations, representing specific drainages or subdrainages and, in many cases, specific stream reaches or subreaches. These gaging stations are operated by the U.S. Geological Survey (USGS), several of them in cooperation with State and Federal agencies and a private utility company. Extensive streamflow data are available, some dating from the late 1800s. Water-quality data are also available from recent USGS cooperative studies in the Coeur d'Alene Lake watershed. A nutrient load/lake response (eutrophication) model has been developed for Coeur d'Alene Lake. Hydraulic models for estimating streamflow through the low-gradient reaches of the Coeur d'Alene and St. Joe Rivers have been developed. Trace-element concentrations and distributions in sediments in the lower South Fork and main-stem Coeur d'Alene River flood plain and the bed of Coeur d'Alene Lake have been assessed. Trace-element transport models have been developed for the lower Coeur d'Alene River system; estimates of annual load are available from the early 1990's to the present (1998). The USGS is monitoring traceelement concentrations and transport at seven gaging stations in the lower Coeur d'Alene River system and upper Spokane River, in cooperation with the U.S. Environmental Protection Agency. Fish and macroinvertebrate community assessment and tissue contaminant analyses at four Coeur d'Alene and St. Joe River gaging stations will begin in 1998, either as part of the Idaho Surface- Water Quality Ambient Monitoring Network operated by USGS in cooperation with the Idaho Division of Environmental Quality, or for the Northern Rockies Intermontane Basins (NROK) study of the USGS National Water-Quality Assessment (NAWQA) Program. Several gaging stations in the Spokane River Basin are being considered for routine sampling sites for the NROK NAWQA study. Several other sites also will be sampled for contaminants in bed sediment and fish tissue for the NROK study. Combined with appropriate sampling and data interpretation strategies, the existing USGS gaging-station network and data base could provide integrated water-quality information needed for sound environmental and resource-management decisions throughout the Spokane River Basin.

Idaho;Washington↗

Airborne remote sensing for geology and the environment; present and future

In 1988, a group of leading experts from government, academia, and industry attended a workshop on airborne remote sensing sponsored by the U.S. Geological Survey (USGS) and hosted by the Branch of Geophysics. The purpose of the workshop was to examine the scientific rationale for airborne remote sensing in support of government earth science in the next decade. This report has arranged the six resulting working-group reports under two main headings: (1) Geologic Remote Sensing, for the reports on geologic mapping, mineral resources, and fossil fuels and geothermal resources; and (2) Environmental Remote Sensing, for the reports on environmental geology, geologic hazards, and water resources. The intent of the workshop was to provide an evaluation of demonstrated capabilities, their direct extensions, and possible future applications, and this was the organizational format used for the geologic remote sensing reports. The working groups in environmental remote sensing chose to present their reports in a somewhat modified version of this format. A final section examines future advances and limitations in the field. There is a large, complex, and often bewildering array of remote sensing data available. Early remote sensing studies were based on data collected from airborne platforms. Much of that technology was later extended to satellites. The original 80-m-resolution Landsat Multispectral Scanner System (MSS) has now been largely superseded by the 30-m-resolution Thematic Mapper (TM) system that has additional spectral channels. The French satellite SPOT provides higher spatial resolution for channels equivalent to MSS. Low-resolution (1 km) data are available from the National Oceanographic and Atmospheric Administration's AVHRR system, which acquires reflectance and day and night thermal data daily. Several experimental satellites have acquired limited data, and there are extensive plans for future satellites including those of Japan (JERS), Europe (ESA), Canada (Radarsat), and the United States (EOS). There are currently two national airborne remote sensing programs (photography, radar) with data archived at the USGS' EROS Data Center. Airborne broadband multispectral data (comparable to Landsat MSS and TM but involving several more channels) for limited geographic areas also are available for digital processing and analysis. Narrow-band imaging spectrometer data are available for some NASA experiment sites and can be acquired for other locations commercially. Remote sensing data and derivative images, because of the uniform spatial coverage, availability at different resolutions, and digital format, are becoming important data sets for geographic information system (GIS) analyses. Examples range from overlaying digitized geologic maps on remote sensing images and draping these over topography, to maps of mineral distribution and inferred abundance. A large variety of remote sensing data sets are available, with costs ranging from a few dollars per square mile for satellite digital data to a few hundred dollars per square mile for airborne imaging spectrometry. Computer processing and analysis costs routinely surpass these expenses because of the equipment and expertise necessary for information extraction and interpretation. Effective use requires both an understanding of the current methodology and an appreciation of the most cost-effective solution.

Bulletin↗

Characterization of water quality, biology, and habitat of the Pearl River and selected tributaries contiguous to and within Tribal lands of the Pearl River Community of the Mississippi Band of Choctaw Indians, 2017–18

The U.S. Geological Survey, in cooperation with the Mississippi Band of Choctaw Indians (MBCI), conducted a baseline assessment of the physical, chemical, and biological quality of selected streams and rivers within and contiguous to the Pearl River Community (PRC) in 2017 and 2018. The MBCI is a federally recognized tribe with territories in Mississippi and Tennessee. MBCI Tribal government and communities have sovereign authority over their natural resources and are responsible for protecting the quality of waters within the Tribal lands from sources of pollution and restoring impaired waters. The quality of these surface waters has a profound effect upon the health and welfare of MBCI Tribal members. Data generated from this study may be used with other relevant water-quality data for comparison and development of Tribal water-quality standards. The PRC territory is drained by the Pearl River and associated tributaries. Water-quality and biological samples were collected and habitat surveys were conducted at sites on the mainstem of the Pearl River and major tributaries of the Pearl River—Wolf Creek, Beasha Creek, Jones Creek, and Kentawka Creek. The selected stream sites represent a range of land use/land cover and potential sources of alteration and contamination from within their respective drainage areas. In particular, Wolf Creek watershed has the highest relative percentage of developed land. Ambient physicochemical properties, major ions, nutrients, and organic wastewater compounds (OWCs) were analyzed quarterly from surface-water samples from October 2017 through August 2018. Physicochemical properties were also measured in June 2018 over a continuous 48-hour period. Trace elements and polycyclic aromatic hydrocarbons were analyzed from streambed sediments in August 2018. Biological samples included the collection of periphyton algae (August 2018), benthic macroinvertebrate (March 2017 and March 2018), and fish communities (April 2018). Physical stream habitat characteristics were assessed using qualitative (March 2017 and March 2018) and quantitative surveys (August 2018). While not directly applicable, the State of Mississippi Water Quality Standards were used as reference to evaluate Tribal water quality. Physicochemical water-quality constituents—water temperature, specific conductance (SC), pH, and dissolved oxygen (DO)—were generally within natural ranges among sites and samples, with a few exceptions that exceeded existing Mississippi water-quality standards. pH and DO periodically were below the minimum State standards at some sampled sites. Specific conductance was also relatively high at both Wolf Creek sites but did not exceed the existing maximum standard for recreational waters. The surface water among stream sites was predominantly calcium bicarbonate type, with a shift toward sodium-bicarbonate water type at the downstream Wolf Creek (Wolf DS) site. Major ion concentrations were generally highest at the Wolf Creek sites. Nutrient concentrations were also often highest at Wolf DS, but total nitrogen and total phosphorus periodically exceeded recommended State and Federal nutrient criteria thresholds among most sampled sites. Twenty-nine OWCs, including 10 known or suspected endocrine disruptors, were detected among sites. Concentrations of OWCs were relatively low, and only 19 percent of all detections were above the reporting level. Concentrations of copper and nickel in streambed sediments were detected above consensus-based threshold-effect concentrations (TECs) at one site each, and arsenic and chromium exceeded TECs at most sites. Concentrations of all polycyclic aromatic hydrocarbons in streambed sediments were low and well below TECs at all sites. The periphyton, macroinvertebrate, and fish communities at most sampled sites appear typical of central Mississippi streams; however, the diversity, composition, and abundance of taxa sampled from Wolf DS were particularly distinctive compared to other sampled stream sites. Periphyton taxa richness was low at both Wolf Creek sites, and both sites had greater abundances of diatom taxa, which are indicative of high nutrient concentrations, than of soft-algae taxa. Similarly, Wolf DS had relatively low macroinvertebrate diversity, the fewest Ephemeroptera, Plecoptera, and Trichoptera taxa, a high abundance of Tubificid taxa, and the lowest overall Mississippi-Benthic Index of Stream Quality score. Fish species richness was also relatively low at Wolf DS compared to some other sampled sites. Habitat characteristics also appeared to be generally typical of most central Mississippi streams. Qualitative habitat assessment scores were at or above the regional least disturbed streams for Wolf DS, the upstream Wolf Creek (Wolf US) site, and Jones Creek. Habitat scores among the remaining sites indicate fair conditions. Quantitative and qualitative habitat characteristics indicate relatively lower habitat quality at the two Beasha Creek sites.

Mississippi↗

Annotated bibliography of scientific research on pygmy rabbits published from 1990 to 2020

Integrating recent scientific knowledge into management decisions supports effective natural resource management and can lead to better resource outcomes. However, finding and accessing scientific knowledge can be time consuming and costly. To assist in this process, the U.S. Geological Survey (USGS) is creating a series of annotated bibliographies on topics of management concern for western lands. Previously published reports introduced a methodology for preparing annotated bibliographies to facilitate the integration of recent, peer-reviewed science into resource management decisions. Therefore, relevant text from those efforts is reproduced here to frame the presentation. Sagebrush ecosystems throughout North America face management challenges including habitat loss and fragmentation. Brachylagus idahoensis (pygmy rabbits) are a sagebrush-obligate species that has experienced population declines and range contraction in recent decades. A disjunct population of pygmy rabbits in the Columbia Basin in Washington was listed as federally endangered in 2003. Due to their specialized habitat requirements and low dispersal ability, pygmy rabbits are a high priority for managers throughout their range. We compiled and summarized peer-reviewed journal articles, data products, and formal technical reports (such as U.S. Forest Service General Technical Reports and U.S. Geological Survey Open-File Reports) on pygmy rabbits published between January 1, 1990 and December 31, 2020. We first conducted a structured search of three reference databases and three government databases using the phrase “pygmy rabbit” or “ Brachylagus idahoensis .” We refined the initial list of products by removing (1) duplicates, (2) products not written in English, (3) publications that were not focused on North America, (4) publications that were not published as research, data products, or scientific review articles in peer-reviewed journals or as formal technical reports, and (5) products for which pygmy rabbits were not a research focus or for which the study did not present new data or findings about pygmy rabbits. We summarized each product using a consistent structure (background, objectives, methods, location, findings, and implications) and identified the management topics (for example, captive breeding, habitat characteristics, and population estimates) addressed by each product. We also noted which publications included new publicly available geospatial data. The review process for this annotated bibliography included an initial internal colleague review of each summary, requesting input on each summary from an author of the original publication, and a formal peer review. Our initial searches resulted in 2,285 total products, of which 105 met our criteria for inclusion. Sensitive/rare wildlife, behavior or demographics, site-scale habitat characteristics, habitat selection, and effects distances or spatial scale were the management topics most commonly addressed. The online version of this bibliography, Science for Resource Managers, will be searchable by topic, location, and year; it will include links to each original publication, where available. The studies compiled and summarized here may inform planning and management actions that seek to maintain and restore sagebrush landscapes and associated native species across the western United States.

Open-File Report↗

Geologic map of the central-southeast flank of Mauna Loa Volcano, Island of Hawaii, Hawaii

Mauna Loa, the largest volcano on Earth, has erupted 33 times since written descriptions became available in 1832. Some eruptions began with only brief seismic unrest, while others followed several months to a year of increased seismicity. Once underway, its eruptions can produce lava flows that may reach the sea in less than 24 hours, severing roads and utilities. For example, lava flows erupted from the Southwest Rift Zone (SWRZ) in 1950 advanced at an average rate of 9.3 km per hour, and all three lobes reached the ocean within approximately 24 hours (Finch and Macdonald, 1953). Near the eruptive vents, the flows must have traveled even faster. In terms of eruption frequency, pre-eruption warning, and rapid flow emplacement, Mauna Loa poses an enormous volcanic-hazard threat to the Island of Hawai‘i. Volcanic hazards on Mauna Loa may be anticipated, and risk substantially mitigated, by documenting the past activity to refine our knowledge of the hazards and by alerting the public and local government officials of our findings and their implications for hazards assessments and risk. From the geologic record, we may deduce several generalized facts about the geologic history of the Northeast Rift Zone (NERZ). The middle to uppermost segments of the rift zone were more active in the past 4,000 years than the lower portion of the rift zone. This may be due to buttressing of the lower east rift zone by Mauna Kea and Kīlauea volcanoes. The historical flows that erupted on the north side of the rift zone advanced toward Hilo. This flank of the volcano may be more vulnerable to inundation. Lockwood (1990) noted that the vents of historical activity are migrating to the south. The volcano appears to have a self-regulating mechanism that evenly distributes long-term activity across its flanks. The geologic record also supports this notion; the time prior to the historical period (Age Group 1, pre-A.D. 1832 to 1,000 yrs B.P.; orange units) is dominated by activity on the south side of the NERZ. Although most Mauna Loa eruptions begin in the summit area at the 12,000-ft elevation (Lockwood and Lipman, 1987), the central-southeast flank has not been the source of any activity. All flows originated from the summit or the upper reaches of the Northeast Rift Zone (NERZ) or the Southwest Rift Zone (SWRZ). The NERZ was the source of eight flank eruptions since 1843. The NERZ extends from the 13,680-ft-high summit towards Hilo (population ~60,000; second-largest city in State of Hawaii). The northern portion of the map area is built entirely on flows erupted from the NERZ. The SWRZ extends from the summit towards Kalae (South Point) at sea level. The southern portion of the map area is built entirely on flows erupted from the SWRZ. The map area extends from the 10,350 -ft elevation on Mauna Loa’s east flank toward the Hawaii Volcanoes National Park and the town of Volcano (population approx. 2,000) in the northeast. At the south boundary of the map area is the town of Pāhala (population approx. 900). This map includes areas adjacent to and downslope of the NERZ and regions east of and directly downslope of Moku‘āweoweo, Mauna Loa’s summit caldera. The map encompasses 506 km 2 of the southeast flank (fig. 1) of Mauna Loa from 10,350 -ft elevation to sea level. The map of the central-southeast flank of Mauna Loa shows the distribution and relations of volcanic and surficial sedimentary deposits separated into 15 age groups ranging from a period greater than 50,000 yr B.P. to A.D. 1984. It incorporates previously reported work published in generalized small-scale maps (Lockwood and Lipman, 1987; Lockwood, 1995; Wolfe and Morris, 1996). This map is the second in a series of five maps that will cover Mauna Loa volcano. See SIM 2932-A at https://doi.org/10.3133/sim2932A . NOTE: Map sheet 1 contains lines and type with overprint. This feature may be turned on or off in the Adobe Acrobat page display preferences.

Hawaii↗

Lithostratigraphy, petrography, biostratigraphy, and strontium-isotope stratigraphy of the surficial aquifer system of western Collier County, Florida

In 1996, seven cores were recovered in western Collier County, southwestern Florida, to acquire subsurface geologic and hydrologic data to support ground-water modeling efforts. This report presents the lithostratigraphy, X-ray diffraction analyses, petrography, biostratigraphy, and strontium-isotope stratigraphy of these cores. The oldest unit encountered in the study cores is an unnamed formation that is late Miocene. At least four depositional sequences are present within this formation. Calculated age of the formation, based on strontium-isotope stratigraphy, ranges from 9.5 to 5.7 Ma (million years ago). An unconformity within this formation that represents a hiatus of at least 2 million years is indicated in the Old Pump Road core. In two cores, Collier-Seminole and Old Pump Road, the uppermost sediments of the unnamed formation are not dated by strontium isotopes, and, based on the fossils present, these sediments could be as young as Pliocene. In another core (Fakahatchee Strand-Ranger Station), the upper part of the unnamed formation is dated by mollusks as Pliocene. The Tamiami Formation overlies the unnamed formation throughout the study area and is represented by the Ochopee Limestone Member. The unit is Pliocene and probably includes the interval of time near the early/late Pliocene boundary. Strontium-isotope analysis indicates an early Pliocene age (calculated ages range from 5.1 to 3.5 Ma), but the margin of error includes the latest Miocene and the late Pliocene. The dinocyst assemblages in the Ochopee typically are not age-diagnostic, but, near the base of the unit in the Collier-Seminole, Jones Grade, and Fakahatchee Strand State Forest cores, they indicate an age of late Miocene or Pliocene. The molluscan assemblages indicate a Pliocene age for the Ochopee, and a distinctive assemblage of Carditimera arata and Chione cortinaria in several of the cores specifically indicates an age near the early/late Pliocene boundary. Undifferentiated sands overlie the Pliocene limestones in two cores in the southern part of the study area. Artificial fill occurs at the top of most of the cores. The hydrologic confining units penetrated by these cores are different in different parts of the study area. To the west, a hard tightly cemented dolostone forms the first major confining unit below the water table. In the eastern part of the study area, confinement is more difficult to determine. A tightly cemented sandstone, much younger than the dolostones to the west and probably not laterally connected to them, forms a slight confining unit in one core. Thick zones of poorly sorted muddy unconsolidated sands form a slight confining unit in other cores; these probably are not correlative to either the sandstone or the dolostones to the west. The age and sedimentologic observations suggest a complex compartmentalization of the surficial aquifer system in southwestern Florida. The calibrations of dinocyst and molluscan occurrences with strontium-isotope stratigraphy allows us to expand and document the reported ranges of many taxa. This report is preliminary and has not been reviewed for conformity with U.S. Geological Survey editorial standards or with the North American Stratigraphic Code. Any use of trade, product, or firm names is for descriptive purposes only and does not imply endorsement by the U.S. Government.

Florida↗

Abundance estimation and conservation biology

Abundance is the state variable of interest in most population–level ecological research and in most programs involving management and conservation of animal populations. Abundance is the single parameter of interest in capture–recapture models for closed populations (e.g., Darroch, 1958; Otis et al., 1978; Chao, 2001). The initial capture–recapture models developed for partially (Darroch, 1959) and completely (Jolly, 1965; Seber, 1965) open populations represented efforts to relax the restrictive assumption of population closure for the purpose of estimating abundance. Subsequent emphases in capture–recapture work were on survival rate estimation in the 1970’s and 1980’s (e.g., Burnham et al., 1987; Lebreton et al.,1992), and on movement estimation in the 1990’s (Brownie et al., 1993; Schwarz et al., 1993). However, from the mid–1990’s until the present time, capture–recapture investigators have expressed a renewed interest in abundance and related parameters (Pradel, 1996; Schwarz & Arnason, 1996; Schwarz, 2001). The focus of this session was abundance, and presentations covered topics ranging from estimation of abundance and rate of change in abundance, to inferences about the demographic processes underlying changes in abundance, to occupancy as a surrogate of abundance. The plenary paper by Link & Barker (2004) is provocative and very interesting, and it contains a number of important messages and suggestions. Link & Barker (2004) emphasize that the increasing complexity of capture–recapture models has resulted in large numbers of parameters and that a challenge to ecologists is to extract ecological signals from this complexity. They offer hierarchical models as a natural approach to inference in which traditional parameters are viewed as realizations of stochastic processes. These processes are governed by hyperparameters, and the inferential approach focuses on these hyperparameters. Link & Barker (2004) also suggest that our attention should be focused on relationships between demographic processes such as survival and recruitment, the two quantities responsible for changes in abundance, rather than simply on the magnitudes of these quantities. They describe a type of Jolly–Seber capture–recapture model that permits inference about the underlying relationship between per capita recruitment rates and survival rates (Link & Barker, this volume). Implementation used Bayesian Markov Chain Monte Carlo methods and appeared to work well, yielding inferences about the relationship between recruitment and survival that were robust to selection of prior distribution. We believe that readers will find their arguments compelling, and we expect to see increased use of hierarchical modeling approaches in capture–recapture and related fields. Otto (presentation without paper) also recommended use of hierarchical models in analysis of multiple data sources dealing with population dynamics of North American mallards. He integrated survival inferences from ringing data, abundance information from aerial survey data, and recruitment information based on age ratios from a harvest survey. He used a Leslie matrix population projection model as an integrating framework and obtained estimates of breeding population size using all data.Otto’s approach also permitted inference about biases in estimated quantities. As with the work of Link & Barker (2004), we find Otto’s recommendation to use hierarchical models to integrate data from multiple sources to be very compelling. Alisauskas et al. (2004) report results of an analysis of capture–recapture data for a askatchewan population of white–winged scoters. They used the approach of Pradel (1996) to estimate population growth rate (See the PDF) directly. Estimates for 1975–1985 were quite low, but estimates for the recent period, 2000–2003,increased to values > 1. Parameter estimates for seniority, survival and per capita recruitment (Pradel, 1996) led to the inference that increased recruitment was largely responsible for the improvements in population status and growth. However, various data sources also indicated that this increase in recruitment was likely a result of increased immigration rather than improved reproduction on the area. This latter inference is important from a conservation perspective in indicating the importance of birds in other locations to growth and health of the study population. Lukacs and Burnham presented material to be published elsewhere that dealt with the use of genetic markers in capture–recapture studies. The data sources for such studies are samples of hair or feces, which are then analyzed using molecular genetic techniques in order to determine individual genotypes with respect to a usually small number of loci. Two types of classification error can arise in such analyses. First, if only a small number of loci is examined, then there may be nonnegligible probabilities that multiple individual animals will have the same genotypes. The second type of error arises during the polymerase chain reaction (PCR) process and can result from failure of alleles to amplify (allelic dropout) or from PCR inhibitors in hair and feces that produce the appearance of false alleles or misprinting (Creel et al., 2003). Lukacs and Burnham developed models that formally incorporate possible misclassification of samples resulting from these errors. These models permit estimation of parameters such as abundance and survival in a manner that properly incorporates this uncertainty of individual identity. We anticipate that noninvasive sampling based on molecular genetic analyses of hair or feces will become extremely important for some species, and that the models of Lukacs and Burnham will become very popular for such analyses. MacKenzie & Nichols (2004) discuss the use of occupancy (proportion of patches or habitat area that is occupied) as a surrogate for abundance. In cases of territorial species and where birds occur at low densities, the number of occupied patches may provide a reasonable estimate of abundance. In other cases, occupancy can be viewed as providing information about one tail of the abundance distribution, P (N = 0). The motivation for considering occupancy as a surrogate for abundance is that occupancy is based on so–called presence–absence surveys that are frequently less expensive of time and effort than methods that estimate abundance directly. We describe one set of models that can be used to estimate occupancy for a single season and another that can be used to estimate parameters such as local probabilities of extinction and colonization that are associated with occupancy dynamics. We outline a possible hybrid approach that combines occupancy data with data on marked individuals in order to betterexplore the mechanisms underlying occupancy dynamics. These five presentations made for an interesting session containing useful information and recommendations for future work. A number of themes connecting these presentations could be emphasized. For example, two of the presentations considered alternatives to standard capture–recapture sampling that can be used to draw inferences about abundance, or a portion of the abundance distribution, with field methods that should be less expensive than usual capture–recapture approaches of handling animals. We believe that the most important theme of the session was the emphasis on the processes responsible for changes in abundance. In particular, we are excited by the potential for using hierarchical models as a means of investigating relationships among vital rates and as a means of combining multiple sources of data relevant to system dynamics. Indeed, we expect the importance of this session theme to be reflected in the content and presentations of the next EURING meeting.

Animal Biodiversity and Conservation↗

Topographic and hydrographic GIS datasets for the Afghan Geological Survey and U.S. Geological Survey 2013 mineral areas of interest

Afghanistan is endowed with a vast amount of mineral resources, and it is believed that the current economic state of the country could be greatly improved through investment in the extraction and production of these resources. In 2007, the “Preliminary Non-Fuel Resource Assessment of Afghanistan 2007” was completed by members of the U.S. Geological Survey and Afghan Geological Survey (Peters and others, 2007). The assessment delineated 20 mineralized areas for further study using a geologic-based methodology. In 2011, a follow-on data product, “Summaries and Data Packages of Important Areas for Mineral Investment and Production Opportunities of Nonfuel Minerals in Afghanistan,” was released (Peters and others, 2011). As part of this more recent work, geologic, geohydrologic, and hyperspectral studies were carried out in the areas of interest (AOIs) to assess the location and characteristics of the mineral resources. The 2011 publication included a dataset of 24 identified AOIs containing subareas, a corresponding digital elevation model (DEM), elevation contours, areal extent, and hydrography for each AOI. In 2012, project scientists identified five new AOIs and two subareas in Afghanistan. These new areas are Ahankashan, Kandahar, Parwan, North Bamyan, and South Bamyan. The two identified subareas include Obatu-Shela and Sekhab-ZamtoKalay, both located within the larger Kandahar AOI. In addition, an extended Kandahar AOI is included in the project for water resource modeling purposes. The dataset presented in this publication consists of the areal extent of the five new AOIs, two subareas, and the extended Kandahar AOI, elevation contours at 100-, 50-, and 25-meter intervals, an enhanced DEM, and a hydrographic dataset covering the extent of the new study area. The resulting raster and vector layers are intended for use by government agencies, developmental organizations, and private companies in Afghanistan to assist with mineral assessments, monitoring, management, and investment.

Open-File Report↗

Palila restoration research, 1996−2012

The Palila Restoration Project was initiated in 1996 by the U.S. Geological Survey to assist government agencies mitigate the effects of realigning Saddle Road (Highway 200) through Palila Critical Habitat (U.S. Fish and Wildlife Service 1998, Federal Highway Administration 1999). Ecological research on the palila (Loxioides bailleui), an endangered Hawaiian forest bird, carried out by the U.S. Geological Survey (formerly organized as the Research Division of U.S. Fish and Wildlife Service) since 1987 and research conducted by the Palila Restoration Project provided the scientific bases for developing a recovery strategy (U.S. Fish and Wildlife Service 2006) and its adaptive implementation. The main objectives of the Palila Restoration Project were to develop techniques for reintroducing the palila to a portion of its former range, investigate the biological threats to the palila and its habitat, and synthesize the existing body of ecological knowledge concerning the palila. Five broad study themes formed the research framework: 1. Population reintroduction and restoration 2. Demography and breeding ecology 3. Habitat use and food ecology 4. Vegetation ecology 5. Predator ecology and management An element that was not included in the research program of the project was the ecology and management of introduced ungulates, which has historically constituted the single greatest threat to Palila Critical Habitat (Banko et al. 2009). The absence of ungulate studies should not be interpreted to mean that we believe ungulates no longer damage palila habitat. Other research has already established that removing alien browsers and grazers from Mauna Kea is essential for the recovery of the subalpine forest on which palila now depend (Scowcroft and Giffin 1983; Scowcroft and Sakai 1983; Scowcroft and Conrad 1988, 1992; Hess et al. 1999). Moreover, the Federal District Court of Hawai‘i has ordered the state of Hawai‘i to remove browsing ungulates from Palila Critical Habitat (Banko et al. 2009, Hess and Banko 2011). This final report summarizes results of Palila Restoration Project research from December 1996 to December 2012. Even though some results contained in this report have been published in scientific journals and other technical reports (Appendix I), they are included here to provide a comprehensive chronicle of all project activities.

Hawaii↗

Palila Restoration Research, 1996−2012. Summary and management implications

The Palila Restoration Project was initiated in 1996 by the U.S. Geological Survey to assist government agencies mitigate the effects of realigning Saddle Road (Highway 200) through Palila Critical Habitat (U.S. Fish and Wildlife Service 1998, Federal Highway Administration 1999). Ecological research on the palila (Loxioides bailleui), an endangered Hawaiian forest bird, carried out by the U.S. Geological Survey (formerly organized as the Research Division of U.S. Fish and Wildlife Service) since 1987 and research conducted by the Palila Restoration Project provided the scientific bases for developing a recovery strategy (U.S. Fish and Wildlife Service 2006) and its adaptive implementation. The main objectives of the Palila Restoration Project were to develop techniques for reintroducing the palila to a portion of its former range, investigate the biological threats to the palila and its habitat, and synthesize the existing body of ecological knowledge concerning the palila. Five broad study themes formed the research framework: 1. Population reintroduction and restoration 2. Demography and breeding ecology 3. Habitat use and food ecology 4. Vegetation ecology 5. Predator ecology and management An element that was not included in the research program of the project was the ecology and management of introduced ungulates, which has historically constituted the single greatest threat to Palila Critical Habitat (Banko et al. 2009). The absence of ungulate studies should not be interpreted to mean that we believe ungulates no longer damage palila habitat. Other research has already established that removing alien browsers and grazers from Mauna Kea is essential for the recovery of the subalpine forest on which palila now depend (Scowcroft and Giffin 1983; Scowcroft and Sakai 1983; Scowcroft and Conrad 1988, 1992; Hess et al. 1999). Moreover, the Federal District Court of Hawai‘i has ordered the State of Hawai‘i to remove browsing ungulates from Palila Critical Habitat (Banko et al. 2009, Hess and Banko 2011). This final report summarizes results of Palila Restoration Project research from December 1996 to December 2012. Even though some results contained in this report have been published in scientific journals and other technical reports (Appendix I), they are included here to provide a comprehensive chronicle of all project activities.

Hawaii↗

The economic effects of the HayWired Scenario using the association of Bay Area governments regional growth forecast—A focus on network disruption and resilience

This paper describes how impacts to infrastructure networks within the San Francisco Bay Area may exacerbate the effects of building damage and how policies addressing these networks can improve resilience before and after the earthquake. The analysis uses existing modeling techniques that underlie the Association of Bay Area Government’s (ABAG) 2015 regional economic forecast of the San Francisco Bay region, California to estimate how a moment magnitude (MW) 7.0 earthquake scenario along the Hayward Fault, HayWired, would change the trajectory of that forecast. The ABAG forecast released in January 2015 is built on the framework of a Regional Economic Models, Inc. (REMI) model for the San Francisco Bay region and projects growth in the bay area through 2040. Using the simulation tools in the REMI model, the analysis applies the direct output losses flowing from building damages from the HayWired scenario (estimated using the FEMA Hazus model) to ABAG’s economic and demographic 2015 regional forecast. Also the analysis estimates direct, indirect, and induced effects on gross regional product (GRP), employment and population, and also highlights the effects of the physical infrastructure damage to roads, bridges, and rail to the region’s economy. Communications infrastructure, if resilient or restored, can help counteract the losses generated by building and transportation network damage. The REMI model results show that in the first year, employment would drop by almost half a million jobs, whereas GRP would decline by 8 percent. The two counties near the epicenter of the earthquake would have greater losses, of 15 percent in jobs and 13 percent in GRP. Counties with less physical damage may still have economic slowdowns due to transportation disruption. Much of the economy could recover within a few years, but a full return to the projected trajectory could take more than five years for the region and closer to a decade for the most severely affected counties. Recovery and rebuilding investments will be crucial to repairing the economic base of the region and returning it to its projected growth trajectory. State and local policies, as well as business and personal preparedness and employer flexibility in allowing remote work can reduce the length and severity of effects. Furthermore, sensitivity analyses using the model identify some critical factors that would lead to different levels of change. For example, a shortage of construction workers could result in a deeper, longer recession as rebuilding is postponed. Should major technology employers decide to relocate substantial portions of operations or expand outside of the region, the recovery period from the earthquake induced recession could stretch to six or seven years and the region’s trajectory could be permanently damped relative to the ABAG 2015 forecast for 2040.

Conference Paper↗

Evaluation of the sustainability of deep groundwater as an arsenic-safe resource in the Bengal Basin

Tens of millions of people in the Bengal Basin region of Bangladesh and India drink groundwater containing unsafe concentrations of arsenic. This high-arsenic groundwater is produced from shallow (<100 m) depths by domestic and irrigation wells in the Bengal Basin aquifer system. The government of Bangladesh has begun to install wells to depths of >150 m where groundwater arsenic concentrations are nearly uniformly low, and many more wells are needed, however, the sustainability of deep, arsenic-safe groundwater has not been previously assessed. Deeper pumping could induce downward migration of dissolved arsenic, permanently destroying the deep resource. Here, it is shown, through quantitative, large-scale hydrogeologic analysis and simulation of the entire basin, that the deeper part of the aquifer system may provide a sustainable source of arsenic-safe water if its utilization is limited to domestic supply. Simulations provide two explanations for this result: deep domestic pumping only slightly perturbs the deep groundwater flow system, and substantial shallow pumping for irrigation forms a hydraulic barrier that protects deeper resources from shallow arsenic sources. Additional analysis indicates that this simple management approach could provide arsenic-safe drinking water to >90% of the arsenic-impacted region over a 1,000-year timescale. This insight may assist water-resources managers in alleviating one of the world's largest groundwater contamination problems.

Proceedings of the National Academy of Sciences of↗

Sage-grouse population dynamics are adversely impacted by overabundant feral horses

In recent decades, feral horse ( Equus caballus ; horse) populations increased in sagebrush ( Artimesia spp.) ecosystems, especially within the Great Basin, to the point of exceeding maximum appropriate management levels (AML max ), which were set by land administrators to balance resource use by feral horses, livestock, and wildlife. Concomitantly, greater sage-grouse ( Centrocercus urophasianus ; sage-grouse) are sagebrush obligates that have experienced population declines within these same arid environments as a result of steady and continued loss of seasonal habitats. Although a strong body of research indicates that overabundant populations of horses degrade sagebrush ecosystems, empirical evidence linking horse abundance to sage-grouse population dynamics is missing. Within a Bayesian framework, we employed state-space models to estimate population rate of change ( λ ) using 15 years (2005–2019) of count surveys of male sage-grouse at traditional breeding grounds (i.e., leks) as a function of horse abundance relative to AML max and other environmental covariates (e.g., wildfire, precipitation, % sagebrush cover). Additionally, we employed a post hoc impact-control design to validate existing AML max values as related to sage-grouse population responses, and to help control for environmental stochasticity and broad-scale oscillations in sage-grouse abundance. On average, for every 50% increase in horse abundance over AML max , our model predicted an annual decline in sage-grouse abundance by 2.6%. Horse abundance at or below AML max coincided with sage-grouse λ estimates that were consistent with trends at non-horse areas elsewhere in the study region. Thus, AML max , as a whole, appeared to be set adequately in preventing adverse effects to sage-grouse populations. Results indicated 76%, 97%, and >99% probability of sage-grouse population decline relative to controls when horse numbers are 2, 2.5, and ≥3 times over AML max , respectively. As of 2019, horse herds exceeded AML max in Nevada, USA, by >4 times on average across all horse management areas. If feral horse populations continue to grow at current rates unabated, model projections indicate sage-grouse populations will be reduced within horse-occupied areas by >70.0% by 2034 (15-year projection), on average compared to 21.2% estimated for control sites. A monitoring framework that improves on estimating horse abundance and identifying responses of sage-grouse and other key indicator species (plant and animal) would be beneficial to guide management decisions that promote co-occurrence of horses with sensitive wildlife and livestock within landscapes subjected to multiple uses. Published 2021. This article is a U.S. Government work and is in the public domain in the USA. The Journal of Wildlife Management published by Wiley Periodicals LLC on behalf of The Wildlife Society.

Nevada↗