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At least 973 records · Page 54Linked to original sources

Comparing environmental flow implementation options with structured decision making: Case study from the Willamette River, Oregon

Many frameworks have been used to identify environmental flows for sustaining river ecosystems or specific taxa in the face of widespread flow alteration for human use. However, these methods mostly focus on identifying suitable flows and largely ignore the important links between management actions, resulting flows, flow variability, and ecosystem or social responses. Structured decision making (SDM) could assist the comparison and implementation of environmental flows by providing a framework to compare effects of flow management actions on objectives via environmental flow science. We describe the SDM process and illustrate its application using a case study focused on comparing environmental flow scenarios for the mainstem Willamette River, Oregon, USA. In a short timeframe, SDM was successfully applied to identify management objectives, develop empirical and expert opinion based models predicting ecological responses, and compare scenarios while accounting for uncertainty and partial controllability. We found that no flow scenario was clearly preferred based on available knowledge, largely because river flows could only be partially controlled through available dam operations. Participants agreed that the SDM process was useful and that an additional iteration focused on refining predictive models and incorporating additional objectives could help better inform dam release decisions for the entire basin. In our view, SDM can provide managers with more realistic comparisons of environmental flows by accounting for partial controllability and uncertainty, which may result in greater implementation of available flow management actions.

Oregon↗

Monitoring landscape dynamics in central U.S. grasslands with harmonized Landsat-8 and Sentinel-2 time series data

Remotely monitoring changes in central U.S. grasslands is challenging because these landscapes tend to respond quickly to disturbances and changes in weather. Such dynamic responses influence nutrient cycling, greenhouse gas contributions, habitat availability for wildlife, and other ecosystem processes and services. Traditionally, coarse-resolution satellite data acquired at daily intervals have been used for monitoring. Recently, the harmonized Landsat-8 and Sentinel-2 (HLS) data increased the temporal frequency of the data. Here we investigated if the increased data frequency provided adequate observations to characterize highly dynamic grassland processes. We evaluated HLS data available for 2016 to (1) determine if data from Sentinel-2 contributed to an improvement in characterizing landscape processes over Landsat-8 data alone, and (2) quantify how observation frequency impacted results. Specifically, we investigated into estimating annual vegetation phenology, detecting burn scars from fire, and modeling within-season wetland hydroperiod and growth of aquatic vegetation. We observed increased sensitivity to the start of the growing season (SOST) with the HLS data. Our estimates of the grassland SOST compared well with ground estimates collected at a phenological camera site. We used the Continuous Change Detection and Classification (CCDC) algorithm to assess if the HLS data improved our detection of burn scars following grassland fires and found that detection was considerably influenced by the seasonal timing of the fires. The grassland burned in early spring recovered too quickly to be detected as change events by CCDC; instead, the spectral characteristics following these fires were incorporated as part of the ongoing time-series models. In contrast, the spectral effects from late-season fires were detected both by Landsat-8 data and HLS data. For wetland-rich areas, we used a modified version of the CCDC algorithm to track within-season dynamics of water and aquatic vegetation. The addition of Sentinel-2 data provided the potential to build full time series models to better distinguish different wetland types, suggesting that the temporal density of data was sufficient for within-season characterization of wetland dynamics. Although the different data frequency, in both the spatial and temporal dimensions, could cause inconsistent model estimation or sensitivity sometimes; overall, the temporal frequency of the HLS data improved our ability to track within-season grassland dynamics and improved results for areas prone to cloud contamination. The results suggest a greater frequency of observations, such as from harmonizing data across all comparable Landsat and Sentinel sensors, is still needed. For our study areas, at least a 3-day revisit interval during the early growing season (weeks 14–17) is required to provide a >50% probability of obtaining weekly clear observations.

Minnesota↗

Evidence for regional nitrogen stress on chlorophyll a in lakes across large landscape and climate gradients

Nitrogen (N) and phosphorus (P) commonly stimulate phytoplankton production in lakes, but recent observations from lakes from an agricultural region suggest that nitrate may have a subsidy‐stress effect on chlorophyll a (Chl a ). It is unclear, however, how generalizable this effect might be. Here, we analyzed a large water quality dataset of 2385 lakes spanning 60 regions across 17 states in the Northeastern and Midwestern U.S. to determine if N subsidy‐stress effects on phytoplankton are common and to identify regional landscape characteristics promoting N stress effects in lakes. We used a Bayesian hierarchical modeling framework to test our hypothesis that Chl a –total N (TN) threshold relationships would be common across the central agricultural region of the U.S. (“the Corn Belt”), where lake N and P concentrations are high. Data aggregated across all regions indicated that high TN concentrations had a negative effect on Chl a in lakes with concurrent high total P. This large‐scale pattern was driven by relationships within only a subset of regions, however. Eight regions were identified as having Chl a –TN threshold relationships, but only two of these regions located within the Corn Belt clearly demonstrated this subsidy‐stress relationship. N stress effects were not consistent across other intense agricultural regions, as we hypothesized. These findings suggest that interactions among regional land use and land cover, climate, and hydrogeology may be important in determining the synergistic conditions leading to N subsidy‐stress effects on lake phytoplankton.

Limnology and Oceanography↗

Seasonal variations in suspended-sediment dynamics in the tidal reach of an estuarine tributary

Quantifying sediment supply from estuarine tributaries is an important component of developing a sediment budget, and common techniques for estimating supply are based on gages located above tidal influence. However, tidal interactions near tributary mouths can affect the magnitude and direction of sediment supply to the open waters of the estuary. We investigated suspended-sediment dynamics in the tidal reach of Corte Madera Creek, an estuarine tributary of San Francisco Bay, using moored acoustic and optical instruments. Flux of both water and suspended-sediment were calculated from observed water velocity and turbidity for two periods in each of wet and dry seasons during 2010. During wet periods, net suspended-sediment flux was seaward; tidally filtered flux was dominated by the advective component. In contrast, during dry periods, net flux was landward; tidally filtered flux was dominated by the dispersive component. The mechanisms generating this landward flux varied; during summer we attributed wind–wave resuspension in the estuary and subsequent transport on flood tides, whereas during autumn we attributed increased spring tide flood velocity magnitude leading to local resuspension. A quadrant analysis similar to that employed in turbulence studies was developed to summarize flux time series by quantifying the relative importance of sediment transport events. These events are categorized by the direction of velocity (flood vs. ebb) and the magnitude of concentration relative to tidally averaged conditions (relatively turbid vs. relatively clear). During wet periods, suspended-sediment flux was greatest in magnitude during relatively turbid ebbs, whereas during dry periods it was greatest in magnitude during relatively turbid floods. A conceptual model was developed to generalize seasonal differences in suspended-sediment dynamics; model application to this study demonstrated the importance of few, relatively large events on net suspended-sediment flux. These results suggest that other estuarine tributaries may alternate seasonally as sediment sinks or sources, leading to the conclusion that calculations of estuary sediment supply from local tributaries that do not account for tidal reaches may be overestimates.

California↗

Well predictive performance of play-wide and Subarea Random Forest models for Bakken productivity

In recent years, geologists and petroleum engineers have struggled to clearly identify the mechanisms that drive productivity in horizontal, hydraulically-fractured oil wells producing from the middle member of the Bakken formation. This paper fills a gap in the literature by showing how this play’s heterogeneity affects factors that drive well productivity. It is important because understanding the relative strength of productivity drivers and how predictors vary spatially facilitates best-practices for well site selection and well completion design. The paper describes an application of the Random Forest (RF) machine learning technique to identify these mechanisms and to evaluate their importance across 9 subareas of the North Dakota portion of the Bakken play. The study examined productivity of 7311 wells initiating production from 2010 through 2017. Well productivity varied considerably across the 9 subareas within the play, so it was not surprising that the dominant predictors, the initial 180-day water cut and the 30-day initial gas production, vary spatially to mirror local conditions that strongly affect well productivity. The relative importance of well completion predictor variables, that is, the numbers of fractures stages per well, volume of injected proppant per stage, volume of injected fluids per stage, and lateral length, varied considerably across the subareas. Statistical permutation tests are presented that generally confirm the importance rankings. Subarea Random Forest models explained from 50 percent to 82 percent of the variation in productivity test samples while the play-wide model explained 73 percent of the test sample well productivity. Weakness in the predictive ability of the Random Forest models are traced to the limited variability in the training data. Implications of the empirical findings regarding the Bakken play for operators and for research and government institutions are discussed in the concluding section.

Montana, North Dakota, South Dakota↗

A promising tool for subsurface permafrost mapping-An application of airborne geophysics from the Yukon River Basin, Alaska

Permafrost is a predominant physical feature of the Earth's Arctic and Subarctic clines and a major consideration encompassing ecosystem structure to infrastructure engineering and placement. Perennially frozen ground is estimated to cover about 85 percent of the state of Alaska where northern reaches are underlain with continuous permafrost and parts of interior Alaska are underlain by areas of discontinuous and (or) sporadic permafrost (fig. 1). The region of Interior Alaska, where permafrost is scattered among unfrozen ground, is a complex mosaic of terrains and habitats. Such diversity creates arrays of lakes and surface-water and groundwater patterns that continental populations of migratory waterfowl and internationally significant fisheries have adapted to over time. A road or pipeline might pass over frozen and unfrozen ground, affecting the types of materials and engineering approaches needed to sustain the infrastructure. Effective mapping of discontinuous permafrost at scales meaningful ecologically and (or) from an engineering perspective has been a long-standing challenge. Using techniques such as borehole logging for site-specific assessments or botanical techniques that can suggest underlying permafrost distributions can be labor intensive and difficult to accomplish at the scale and remoteness of much of Alaska. The climate is changing in the Arctic and Subarctic regions. The warming observed throughout much of Alaska could create widespread changes in permafrost. How the warming of the permafrost affects near-surface processes, ecosystems, and community infrastructure and ecosystems is not clear. A better understanding of the dynamic distribution and physical properties of permafrost, from continuous to discontinuous, will provide knowledge of how the permafrost environment may change in the future and help inform engineering and natural resource response strategies. Here we discuss an application of an airborne remote sensing methodology for mapping and shade imaging permafrost characteristics at various scales. This work provides the first look into three-dimensional distribution of permafrost in the areas around Fort Yukon and is a demonstration of the application of airborne electromagnetic (AEM) to permafrost mapping. Such an approach is attractive, particularly in Arctic and Subarctic studies, where ground access is difficult and ecosystems are fragile. In June 2010, the U.S. Geological Survey (USGS) conducted an AEM survey near Fort Yukon, Alaska. The primary focus of this survey was to map the distribution of permafrost in selected areas in order to supply information for the development of groundwater models of the Yukon River Basin. However, the methodologies have more far-reaching ecological and engineering applications. Approximately 1,800 line kilometers were acquired in a combination of typical block style surveying in the immediate area of Fort Yukon and in long reconnaissance lines over a broader area. The widely spaced lines were flown to cross the modern Yukon River in "X" like patterns with intersections at features that have been previously studied (fig. 2). AEM is used to gather data on the electrical resistivity of materials in the subsurface below the flight path of the helicopter, which are then analyzed to interpret the subsurface lithology and the location and extent of permafrost. For this survey, the electrical resistivity was imaged to depths on the order of 50-100 meters. Images from the survey can be qualitatively compared with known permafrost features and suggest new permafrost features. Electrical properties of earth materials are affected by lithology as well as temperature and the presence of ice; frozen materials become substantially more resistive. This allows for the identification of permafrost from the resistivity image (Abraham and others, 2011). In the area of Fort Yukon, the AEM survey shows elevated resistivities extending to depth, likely indicative of thick permafrost. This depth corresponds well to observations from a borehole drilled in the area in the late 1990s, which detected permafrost to a depth of about 100 meters (Clark and others, 2009). In contrast to the area of Fort Yukon, the Yukon River and its floodplain are not associated with deep resistive sediments, suggesting a lack of deep permafrost, at least within the depth range of the AEM mapping (fig. 3).

Yukon River Basin↗

Hydrology of the Helena area bedrock, west-central Montana, 1993-98

The Generalized Bedrock Geologic Map of the Helena Area, West-Central Montana (plate 1 in the report) provides an intermediate-scale overview of bedrock in the Helena area. The geologic map has been compiled at a scale of 1:100,000 from the most widely available sources of geologic map information (see index to geologic mapping on pl. 1). That information has been updated by M.W. Reynolds for this report with more recent geologic mapping and field revision of published maps. All well locations and all bedrock units penetrated during drilling have been confirmed on geologic maps at the largest scale available. Source geologic maps are all at scales larger than 1:100,000 scale. Care has been taken to ensure accurate representation of the original geology at the compilation scale. However, positional accuracy of some features might be somewhat diminished at the smaller scale of the base map when compared with the original data source. Also, line thicknesses for contacts and faults necessarily assume a greater width, relative to the real geologic feature, at the scale of the generalized map than on any original map. The map is not intended for large-scale, site-specific detailed planning. Bedrock units throughout the Helena area are generally covered by young surficial deposits such as alluvium, colluvium, glacial debris, or windblown sediment. Thickness of such deposits varies from veneers through which the underlying bedrock is clearly discernible to major thicknesses that conceal all underlying bedrock and structure. Boundaries of major accumulations of surficial deposits are attributed separately from bedrock contacts. These boundaries should not be considered precise at the map scale or at larger scales. Boundaries shown may be less accurate positionally than bedrock contacts and faults because (1) surficial deposits commonly thin to a knife edge; (2) different mappers will interpret the edge differently when drawing a boundary; or (3) the original geologic map maker was concerned principally with bedrock units and structure and thus overlooked, or did not originally map as consistently, some surficial deposits. Veneers of surficial sediment, when saturated, can be local sources of recharge to underlying bedrock. Use of the generalized map to define their distribution does not substitute for site specific mapping of such deposits. Specific knowledge is needed to determine the water-bearing properties of the geologic units at and surrounding a site because the units, including the igneous and metamorphic rocks, have internal differences in stratigraphy, composition, mineralogy and grain size or crystallinity. These differences, together with structural imprints such as faults, folds, and the spacing, orientation, degree of openness of fractures, and extent and type of mineral filling in fractures and faults, all affect the ability of rocks to store and transmit water.

Montana↗

Temporal and spatial distributions of cold-water corals in the Drake Passage: insights from the last 35,000 years

Scleractinian corals have a global distribution ranging from shallow tropical seas to the depths of the Southern Ocean. Although this distribution is indicative of the corals having a tolerance to a wide spectrum of environmental conditions, individual species seem to be restricted to a much narrower range of ecosystem variables. One way to ascertain the tolerances of corals, with particular focus on the potential impacts of changing climate, is to reconstruct their growth history across a range of environmental regimes. This study examines the spatial and temporal distribution of the solitary scleractinian corals Desmophyllum dianthus, Gardineria antarctica, Balanophyllia malouinensis, Caryophyllia spp. and Flabellum spp. from five sites in the Drake Passage which cross the major frontal zones. A rapid reconnaissance radiocarbon method was used to date more than 850 individual corals. Coupled with U-Th dating, an age range of present day back to more than 100 thousand years was established for corals in the region. Within this age range there are distinct changes in the temporal and spatial distributions of these corals, both with depth and latitude, and on millennial timescales. Two major patterns that emerge are: (1) D. dianthus populations show clear variability in their occurrence through time depending on the latitudinal position within the Drake Passage. North of the Subantarctic Front, D. dianthus first appears in the late deglaciation (~17,000 years ago) and persists to today. South of the Polar Front, in contrast, early deglacial periods, with a few modern occurrences. A seamount site between the two fronts exhibits characteristics similar to both the northern and southern sites. This shift across the frontal zones within one species cannot yet be fully explained, but it is likely to be linked to changes in surface productivity, subsurface oxygen concentrations, and carbonate saturation state. (2) at locations where multiple genera were dated, differences in age and depth distribution of the populations provide clear evidence that each genus has unique environmental requirements to sustain its population.

Deep-Sea Research Part II: Topical Studies in Ocea↗

Associations of benthic macroinvertebrate assemblages with environmental variables in the upper Clear Creek watershed, California

Benthic macroinvertebrates are integral components of stream ecosystems and are often used to assess the ecological integrity of streams. We sampled streams in the upper Clear Creek drainage in the Klamath—Siskiyou Ecoregion of northwestern California in fall 2004 (17 sites) and 2005 (original 17 plus 4 new sites) with the objectives of documenting the benthic macroinvertebrate assemblages supported by the streams in the area, determining how those assemblages respond to environmental variables, assessing the biological condition of the streams using a benthic index of biotic integrity (IBI), and understanding the assemblages in the context of biodiversity of the ecoregion. We collected both reach-wide (RW) and targeted-riffle (TR) macroinvertebrate samples at each site. The macroinvertebrate assemblages were diverse, with over 150 genera collected for each sampling protocol. The macroinvertebrate assemblages appeared to be most responsive to a general habitat gradient based on stream size, gradient, flow, and dominance of riffles. A second important habitat gradient was based on elevation and dominance of riffles. A gradient in water quality based on concentrations of dissolved ions and metals was also important. Models based on these 3 gradients had Spearman's rank correlations with macroinvertebrate taxonomic composition of 0.60 and 0.50 for the TR and RW samples, respectively. The majority (>50%) of the sites were in good or very good biological condition based on IBI scores. The diversity of macroinvertebrate assemblages is associated with the diversity of habitats available in the Klamath—Siskiyou Ecoregion. Maintaining the aquatic habitats in good condition is important in itself but is also vital to maintaining biodiversity in this diverse and unique ecoregion.

California↗

Are two systemic fish assemblage sampling programmes on the upper Mississippi River telling us the same thing?

We applied an Index of Biotic Integrity (IBI) used on Wisconsin/Minnesota waters of the upper Mississippi River (UMR) to compare data from two systemic sampling programmes. Ability to use data from multiple sampling programmes could extend spatial and temporal coverage of river assessment and monitoring efforts. We normalized for effort and tested fish community data collected by the Environmental Monitoring and Assessment Program-Great Rivers Ecosystems (EMAP-GRE) 2004–2006 and the Long Term Resource Monitoring Program (LTRMP) 1993–2006. Each programme used daytime electrofishing along main channel borders but with some methodological and design differences. EMAP-GRE, designed for baseline and, eventually, compliance monitoring, used a probabilistic, continuous design. LTRMP, designed primarily for baseline and trend monitoring, used a stratified random design in five discrete study reaches. Analysis of similarity indicated no significant difference between EMAP-GRE and LTRMP IBI scores ( n =238; Global R = 0.052; significance level=0.972). Both datasets distinguished clear differences only between 'Fair' and 'Poor' condition categories, potentially supporting a 'pass–fail' assessment strategy. Thirteen years of LTRMP data demonstrated stable IBI scores through time in four of five reaches sampled. LTRMP and EMAPGRE IBI scores correlated along the UMR's upstream to downstream gradient (df [3, 25]; F =1.61; p =0.22). A decline in IBI scores from upstream to downstream was consistent with UMR fish community studies and a previous, empirically modelled human disturbance gradient. Comparability between EMAP-GRE (best upstream to downstream coverage) and LTRMP data (best coverage over time and across the floodplain) supports a next step of developing and testing a systemic, multi-metric fish index on the UMR that both approaches could inform.

Illinois;Iowa;Minnesota;Missouri;Wisconsin↗

Effects of historical land-cover changes on flooding and sedimentation, North Fish Creek, Wisconsin

North Fish Creek, a Wisconsin tributary to Lake Superior, is an important recreational fishery that is potentially limited by the loss of aquatic habitat caused by accelerated flooding and sedimentation. A study of the historical flooding and sedimentation characteristics of North Fish Creek was done to determine how North Fish Creek responded to human-caused changes in land cover since European settlement of the region in the 1870's. Geomorphic field evidence combined with hydrologic and sediment-transport modeling indicate that historical clear-cut logging, followed by agricultural activity, significantly altered the hydrologic and geomorphic conditions of North Fish Creek. The geomorphic responses to land-cover changes were especially sensitive to the location of the reaches along the main stem and on the timing of large floods. On the basis of geomorphic evidence in flood-plain deposits and abandoned channels, the size of floods and sediment loads also increased in North Fish Creek after conversion of forested land to cropland and pasture. Changes in channel characteristics were particularly noticeable after record floods in 1941 and 1946. The upper main stem channel bed eroded downward at least 3 meters and the channel capacity at least doubled after European settlement. In the lower stem, the post-settlement sedimentation rate on the flood plain and in the channel is 4 to 6 times pre-settlement rates. The water table also appears to be rising near the mouth of North Fish Creek, perhaps consistent with (1) elevated local streambed elevations caused by sedimentation and (2) a slow relative rise in the local level of Lake Superior due to crustal rebound from glaciation. Along a transitional reach of the main stem between the upper and lower main stem, there is evidence of accelerated flood-plain sedimentation initially following European settlement. Since at least the 1940's, however, the channel bed in the transitional reach has eroded about 1 meter and the channel capacity has at least doubled. Results from hydrologic and sediment-transport modeling indicate that modern flood peaks and sediment loads in North Fish Creek may be double that expected under pre-settlement forest cover. During maximum agricultural activity in the mid-1920's to mid-1930's, flood peaks probably were about 3 times larger and sediment loads were about 5 times larger than expected under pre-settlement forest cover. These results indicate that future changes from pasture or cropland to forest will help reduce flood peaks, thereby reducing erosion and sedimentation. The addition of detention basins (to decrease flood peaks) on tributaries to North Fish Creek, or bank and instream restoration (to decrease erosion) in the upper main stem, also may help reduce the contribution of sediment from the upper main stem to the transitional section and lower main stem of the creek.

Wisconsin↗

A new analysis of caldera unrest through the integration of geophysical data and FEM modeling: The Long Valley caldera case study

The Long Valley Caldera, located at the eastern edge of the Sierra Nevada range in California, has been in a state of unrest since the late 1970s. Seismic, gravity and geodetic data strongly suggest that the source of unrest is an intrusion beneath the caldera resurgent dome. However, it is not clear yet if the main contribution to the deformation comes from pulses of ascending high-pressure hydrothermal fluids or low viscosity magmatic melts. To characterize the nature of the intrusion, we developed a 3D finite element model which includes topography and crust heterogeneities. We first performed joint numerical inversions of uplift and Electronic Distance Measurement baseline length change data, collected during the period 1985–1999, to infer the deformation-source size, position, and overpressure. Successively, we used this information to refine the source overpressure estimation, compute the gravity potential and infer the intrusion density from the inversion of deformation and gravity data collected in 1982–1998. The deformation source is located beneath the resurgent dome, at a depth of 7.5 ± 0.5 km and a volume change of 0.21 ± 0.04 km 3 . We assumed a rhyolite compressibility of 0.026 ± 0.0011 GPa −1 (volume fraction of water between 0% and 30%) and estimated a reservoir compressibility of 0.147 ± 0.037 GPa −1 . We obtained a density of 1856 ± 72 kg/m 3 . This density is consistent with a rhyolite melt, with 20% to 30% of dissolved hydrothermal fluids.

California↗

Short-term and long-term evapotranspiration rates at ecological restoration sites along a large river receiving rare flow events

Many large rivers around the world no longer flow to their deltas, due to ever greater water withdrawals and diversions for human needs. However, the importance of riparian ecosystems is drawing increasing recognition, leading to the allocation of environmental flows to restore river processes. Accurate estimates of riparian plant evapotranspiration (ET) are needed to understand how the riverine system responds to these rare events and achieve the goals of environmental flows. In 2014, historic environmental flows were released into the Lower Colorado River at Morelos Dam (Mexico); this once perennial but now dry reach is the final stretch to the mighty Colorado River Delta. One of the primary goals was to supply native vegetation restoration sites along the reach with water to help seedlings establish and boost groundwater levels to foster the planted saplings. Patterns in ET before, during, and after the flows are useful for evaluating whether this goal was met and understanding the role that ET plays in this now ephemeral river system. Here, diurnal fluctuations in groundwater levels and MODIS data were used to compare estimates of ET specifically at three native vegetation restoration sites during 2014 planned flow events, while MODIS data was used to evaluate long-term (2002 – 2016) ET responses to restoration efforts at these sites. Overall, ET was generally 0 - 10 mm d -1 across sites and although daily ET values from groundwater data were highly variable, weekly averaged estimates were highly correlated with MODIS-derived estimates at most sites. The influence of the 2014 flow events was not immediately apparent in the results, although the process of clearing vegetation and planting native vegetation at the restoration sites was clearly visible in the results.

Colorado River↗

Carbon assimilation characteristics of the aquatic CAM plant Isoetes howellii

The relationship between malic acid production and carbon assimilation was examined in the submerged aquatic Crassulacean acid metabolism (CAM) plant, Isoetes howellii Engelmann. Under natural conditions free-CO 2 level in the water was highest at 0600 hours and 14 CO 2 assimilation rates in I. howellii were also highest at this time. After 0900 hours there was a similar pattern in (a) rate of free-CO 2 depletion from the water, (b) reduction of carbon assimilation rates, and (c) rate of deacidification in leaves. Rates of daytime deacidification increased under CO 2 -free conditions and as irradiance intensity increased. Nighttime CO 2 uptake was estimated to contribute one-third to one-half of the total daily gross carbon assimilation. CO 2 uptake, however, accounted for only one-third to one-half of the overnight malic acid accumulation. Internal respiratory CO 2 may be a substrate for a large portion of overnight acid accumulation as leaves incubated overnight without CO 2 accumulated substantial levels of malic acid. Loss of CAM occurred in emergent leaf tips even though submerged bases continued CAM. Associated with loss of CAM in aerial leaves was an increase in total chlorophyll, a/b ratio, and carotenoids, and a decrease in leaf succulence. δ 13 C values of I. howellii were not clearly distinguishable from those for associated non-CAM submerged macrophytes.

Plant Physiology↗

Species composition, timing, and weather correlates of autumn open-water crossings by raptors migrating along the East-Asian Oceanic Flyway

Raptor migration rarely involves long-distance movements across open oceans. One exception occurs along the East-Asian Oceanic Flyway. We collected migration data at two terrestrial hawkwatch sites along this flyway to better understand open-ocean movements along this largely overwater corridor. At the northern end of the Philippines, at Basco on the island of Batan, we recorded 7587 migratory raptors in autumn 2014. Near the southern end of the Philippines, at Cape San Agustin on the island of Mindanao, we recorded 27,399 raptors migrating in autumn 2012. Chinese Sparrowhawks ( Accipiter soloensis ) were the most common raptors observed, making up approximately 89% and 92% of total records for Basco and Cape San Agustin, respectively. The Grey-faced Buzzard ( Butastur indicus ) was the second most common raptor migrant, accounting for 8% of the total counts at both watch sites. The migration period was about 1–2 wk earlier at Basco, the more northerly site, than at Cape San Agustin. Overwater flights at Basco peaked in both the morning and late afternoon, whereas at Cape San Agustin there was only a morning peak. In general, the rate of migration passage at both sites was highest with clear skies when winds were blowing from the northwest. However, we observed interspecific differences in migration behavior at both sites, with Accipiters more likely to be observed with tailwinds and eastward winds, and Grey-faced Buzzards more likely observed with headwinds. These results help to characterize poorly known aspects of raptor biology and to identify potential migratory bottlenecks or key sites for raptor conservation in little-studied Philippine tropical ecosystems.

Journal of Raptor Research↗

Quality of pesticide data for groundwater analyzed for the National Water-Quality Assessment Project, 2013–18

The National Water-Quality Assessment (NAWQA) Project of the U.S. Geological Survey (USGS) submitted nearly 1,900 samples collected from groundwater sites across the United States in 2013–18 for analysis of 225 pesticide compounds (pesticides and pesticide degradates, hereafter referred to as “pesticides”) by USGS National Water Quality Laboratory schedule 2437 (S2437). For the associated NAWQA study of pesticide occurrence and concentration in groundwater, and for other studies using pesticide results determined by S2437, it is necessary to assess the ability of reported results to meet data-quality requirements that will allow study objectives to be achieved. This assessment of the quality of S2437 results reported in 2013–18 examined data from field and laboratory quality-control samples, along with third-party performance assessment samples, to estimate bias and variability and to identify their potential sources, with an emphasis on implications for the interpretation of pesticide data for groundwater. Results indicate that measurements produced by the S2437 method for most pesticides have bias and variability that would be considered acceptable for many interpretative studies, which could therefore use the results without qualification or censoring. However, the reported data for a subset of pesticides have the potential for unacceptable contamination bias, high or low recovery bias, or high variability as a consequence of method performance and (or) nonlaboratory factors that could preclude their use for certain common objectives or could necessitate adjustment or qualification to meet those objectives. Based on data for laboratory blanks, censoring of some detections for a subset of pesticides reported by the laboratory in environmental samples might be necessary or desirable to avoid an unacceptably high likelihood of a false-positive result caused by laboratory contamination. The 90-percent upper confidence limit for the 95th percentile of laboratory blank concentration equals or exceeds the minimum reported groundwater concentration in at least 1 water year for 28 pesticides. During at least 1 water year, this upper confidence limit exceeds the maximum laboratory detection limit for 17 pesticides and exceeds the maximum laboratory reporting limit for 3 pesticides (ametryn, atrazine, and diazinon). The level of contamination indicated by this upper confidence limit should not substantially affect the suitability of reported environmental concentrations for any compound for comparison with corresponding human-health benchmarks. Despite being subjected to the same laboratory processes as laboratory blanks, field blanks indicated little evidence of contamination bias. This observation could largely be the consequence of data-reporting practices, which utilize detections in laboratory blanks to censor results in associated field samples (including blanks and environmental samples) when relative concentrations indicate that a result could have a substantial contribution from laboratory contamination. Laboratory censoring appears likely to reduce the risk of false-positive results in environmental samples below the level that laboratory blank results alone would imply. Whereas data available for third-party blind blank samples analyzed in 2018 indicate that only propoxur had any false-positive results, data for pesticides that were not spiked into blind spike samples analyzed in 2013–18 indicate that the false-positive rates for 31 pesticides exceeded 1 percent when considering only detections reported at concentrations greater than the maximum detection limit. Although about half of these pesticides lack substantial supporting evidence of contamination bias based on laboratory blank or field blank detections, indicating that spiking issues or degradation of parent compounds within the spiked samples might be a contributing factor to some false-positive results, these results indicate the need to closely examine detections reported for some pesticides in environmental samples analyzed during a similar period for possible contributions from contamination bias. Data for blind spike samples that were spiked at concentrations above the maximum reporting limit indicate that false-negative rates for eight pesticides exceed 10 percent; substantial low bias could affect results reported for these pesticides in environmental samples analyzed during a similar period. Data for laboratory reagent spikes, which measure recovery of pesticides in blank water, show little evidence for unacceptable recovery bias for S2437 pesticides. However, field matrix spikes, which measure recovery of pesticides in environmental matrices, indicate that degradation and (or) matrix effects could result in moderate to substantial low bias for groundwater results for several pesticides. Low bias could cause some reported concentrations to be categorized as being below a benchmark when the actual concentration in groundwater is greater than the benchmark. Occurrence and concentrations in groundwater could be substantially underrepresented for six pesticides with benchmarks (1H-1,2,4-triazole, asulam, bifenthrin, cis-permethrin, fenbutatin oxide, and naled) that have median recoveries between zero and 50 percent in field matrix spikes. Two compounds (didealkylatrazine and 2-hydroxy-6-ethylamino-4-amino-s-triazine) have median recoveries near or greater than 150 percent in field matrix spikes, indicating a substantial high bias. Plots of data for all spike types show clear changes in the typical recovery with time for some pesticides, which would require further examination for evaluation of temporal trends in environmental concentrations. Data for laboratory reagent spikes indicate that nearly all S2437 pesticides have acceptable variability resulting from random measurement error. Only two compounds (fenbutatin oxide and naled) have F-pseudosigma values greater than 30 percent for recovery, which implies the potential for relatively high variability in reported concentrations and could affect comparison of concentrations to benchmarks and determination of whether concentrations for samples collected at separate locations or times are truly different with a specified level of confidence. Data for third-party blind spike samples show relatively high variability for a greater number of pesticides, although these results likely reflect the influence of degradation and (or) differences in the magnitude and variability of concentrations used for blind spikes relative to laboratory reagent spikes. Detailed analysis of variability using field replicate data is possible for only 12 pesticides on S2437; low variability in analyte detection and concentration is indicated for most of these pesticides in groundwater.

Scientific Investigations Report↗

Plugs or flood-makers? the unstable landslide dams of eastern Oregon

Landslides into valley bottoms can affect longitudinal profiles of rivers, thereby influencing landscape evolution through base-level changes. Large landslides can hinder river incision by temporarily damming rivers, but catastrophic failure of landslide dams may generate large floods that could promote incision. Dam stability therefore strongly modulates the effects of landslide dams and might be expected to vary among geologic settings. Here, we investigate the morphometry, stability, and effects on adjacent channel profiles of 17 former and current landslide dams in eastern Oregon. Data on landslide dam dimensions, former impoundment size, and longitudinal profile form were obtained from digital elevation data constrained by field observations and aerial imagery; while evidence for catastrophic dam breaching was assessed in the field. The dry, primarily extensional terrain of low-gradient volcanic tablelands and basins contrasts with the tectonically active, mountainous landscapes more commonly associated with large landslides. All but one of the eastern Oregon landslide dams are ancient (likely of order 10 3 to 10 4 years old), and all but one has been breached. The portions of the Oregon landslide dams blocking channels are small relative to the area of their source landslide complexes (0.4–33.6 km 2 ). The multipronged landslides in eastern Oregon produce marginally smaller volume dams but affect much larger channels and impound more water than do landslide dams in mountainous settings. As a result, at least 14 of the 17 (82%) large landslide dams in our study area appear to have failed cataclysmically, producing large downstream floods now marked by boulder outwash, compared to a 40–70% failure rate for landslide dams in steep mountain environments. Morphometric indices of landslide dam stability calibrated in other environments were applied to the Oregon dams. Threshold values of the Blockage and Dimensionless Blockage Indices calibrated to worldwide data sets successfully separate dam sites in eastern Oregon that failed catastrophically from those that did not. Accumulated sediments upstream of about 50% of the dam sites indicate at least short-term persistence of landslide dams prior to eventual failure. Nevertheless, only three landslide dam remnants and one extant dam significantly elevate the modern river profile. We conclude that eastern Oregon's landslide dams are indeed floodmakers, but we lack clear evidence that they form lasting plugs.

Oregon↗

Estimating restorable wetland water storage at landscape scales

Globally, hydrologic modifications such as ditching and subsurface drainage have significantly reduced wetland water storage capacity (i.e., volume of surface water a wetland can retain) and consequent wetland functions. While wetland area has been well documented across many landscapes and used to guide restoration efforts, few studies have directly quantified the associated wetland storage capacity. Here, we present a novel raster-based approach to quantify both contemporary and potential (i.e., restorable) storage capacities of individual depressional basins across landscapes. We demonstrate the utility of this method by applying it to the Delmarva Peninsula, a region punctuated by both depressional wetlands and drainage ditches. Across the entire peninsula, we estimated that restoration (i.e., plugging ditches) could increase storage capacity by 80%. Focusing on an individual watershed, we found that over 59% of restorable storage capacity occurs within 20 m of the drainage network, and that 93% occurs within 1 m elevation of the drainage network. Our demonstration highlights widespread ditching in this landscape, spatial patterns of both contemporary and potential storage capacities, and clear opportunities for hydrologic restoration. In Delmarva and more broadly, our novel approach can inform targeted landscape-scale conservation and restoration efforts to optimize hydrologically mediated wetland functions.

Hydrological Processes↗