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At least 991 records · Page 55Linked to original sources

Seasonally varying contributions of contemporaneous and lagged sources of instream total nitrogen and phosphorus load across the Illinois River basin

Quantifying nutrient sources in streams, their temporal and spatial variability, and drivers of that variability can support effective water resources management. Yet a lack of data and modeling capabilities has previously prevented comprehensive quantification across both space and time. Here a dynamic SPARROW (Spatially Referenced Regressions on Watershed attributes) model that accounts for a lagged delivery of nutrients to streams was developed and applied to simulate seasonal and source-specific total nitrogen (TN) and total phosphorus (TP) loads in streams across the Illinois River basin (IRB). Dynamic load predictions from 2000 through 2020 revealed that a third of the TN and a quarter of the TP instream load originated from non-point sources that were lagged in their delivery from land-application to streams by more than a season. This lagged mass was the largest overall TN source—which was estimated as a lagged expression of previous seasonal non-point sources including fertilizer, manure, atmospheric deposition and fixation, and urban land use. Treated wastewater effluent was the largest TP source exported from the basin, contributing 39 % of the TP load and 15 % of the TN load, and dominated the load in the upper Illinois River near Chicago. Loads in the lower river during this period, conversely, were attributed primarily to a mix of agricultural sources and their lagged fractions from headwater tributaries. Instream processes removed 10 % of the TN load while only 4 % of the TP load was removed during instream transport. With appropriate datasets, the models could be extended to other basins or time periods and used to forecast future seasonal nutrient loads.

Illinois↗

Environmental conditions synchronize waterbird mortality events in the Great Lakes

Since the 1960s, periodic outbreaks of avian botulism type E have contributed to large-scale die-offs of thousands of waterbirds throughout the Great Lakes of the United States. In recent years, these events have become more common and widespread. Occurring during the summer and autumn months, the prevalence of these die-offs varies across years and is often associated with years of warmer lake temperatures and lower water levels. Little information exists on how environmental conditions mediate the spatial and temporal characteristics of mortality events. In 2010, a citizen science programme, Avian Monitoring for Botulism Lakeshore Events (AMBLE), was launched to enhance surveillance efforts and detect the appearance of beached waterbird carcasses associated with avian botulism type E outbreaks in northern Lake Michigan. Using these data, our goal was to quantify the within-year characteristics of mortality events for multiple species, and to test whether the synchrony of these events corresponded to fluctuations in two environmental factors suspected to be important in the spread of avian botulism: water temperature and the prevalence of green macroalgae. During two separate events of mass waterbird mortality, we found that the detection of bird carcasses was spatially synchronized at scales of c . 40 km. Notably, the extent of this spatial synchrony in avian mortality matched that of fluctuations in lake surface water temperatures and the prevalence of green macroalgae. Synthesis and applications . Our findings are suggestive of a synchronizing effect where warmer lake temperatures and the appearance of macroalgae mediate the characteristics of avian mortality. In future years, rising lake temperatures and a higher propensity of algal masses could lead to increases in the magnitude and synchronization of avian mortality due to botulism. We advocate that citizen-based monitoring efforts are critical for identifying the potential environmental conditions associated with widespread mortality events and estimating future risk to waterbird populations.

Journal of Applied Ecology↗

Designing occupancy studies: General advice and allocating survey effort

1. The fraction of sampling units in a landscape where a target species is present (occu pancy) is an extensively used concept in ecology. Yet in many applications the species will not always be detected in a sampling unit even when present, resulting in biased estimates of occupancy. Given that sampling units are surveyed repeatedly within a r elatively short timeframe, a number of similar methods have now been developed to provide unbiased occupancy estimates. However, practical guidance on the efficient design of occupancy studies has been lacking. 2. In this paper we comment on a number of general issues related to designing occu pancy studies, including the need for clear objectives that are explicitly linked to science or management, selection of sampling units, timing of repeat surveys and allocation of survey effort. Advice on the number of repeat surveys per sampling unit is considered in terms of the variance of the occupancy estimator, for three possible study designs. 3. We r ecommend that sampling units should be surveyed a minimum of three times w hen detection probability is high (> 0·5 survey − 1 ), unless a removal design is used. 4. We f ound that an optimal removal design will generally be the most efficient, but we suggest it may be less robust to assumption violations than a standard design. 5. Our results suggest that for a rare species it is more efficient to survey more sampling units less intensively, while for a common species fewer sampling units should be surveyed more intensively. 6. Synthesis and applications . Reliable inferences can only result from quality data. To ma ke the best use of logistical resources, study objectives must be clearly defined; sampling units must be selected, and repeated surveys timed appropriately; and a sufficient n umber of repeated surveys must be conducted. Failure to do so may compromise the integrity of the study. The guidance given here on study design issues is particularly a pplicable to studies of species occurrence and distribution, habitat selection and modelling, metapopulation studies and monitoring programmes.

Journal of Applied Ecology↗

Getting the story straight: Common misconceptions around volcanoes and eruptions with case studies of recent events

The ability to rapidly disseminate scientific knowledge across the world has never been greater. This is paralleled by the ability of rumors to spread equally far and fast. Popular misconceptions can take root and, without correction, take on the appearance of facts. Commonly misunderstood topics include those with attention-grabbing phrasing (e.g. “Pacific Ring of Fire”, “supervolcanoes”, or “mega-tsunamis”), the intersection of volcanic research with high-profile science topics (climate or human health), aspirational science goals (eruption forecasts), and basic terminology (volcanic ash versus smoke, or magma “chambers”). In this paper, we describe eighteen misconceptions grouped in six themes (seismology, volcanoes and climate, systems and structures, volcanic hazards, timescales, photographs and footage) commonly encountered by volcanologists who are actively engaging with the public and media both during and between eruptions. Each misconception description is accompanied by takeaway points and summaries of recent research to assist the reader with the information necessary to describe the issues. Finally, we present seven case studies where incorrect information was widely shared and counteracted at well-known volcanoes and recent eruptions at Mount Agung (Bali, Indonesia), Mount Etna (Sicily, Italy), Kīlauea (Hawaii, U.S.A.), Tajogaite (La Palma, Spain), La Soufrière (St. Vincent), Taal Volcano (Philippines), and Yellowstone caldera (U.S.A.). This work is intended to help both volcanologists and non-specialists get the story straight, and to effectively communicate processes and scales of volcanism and volcanic hazards, impacts, and risks.

Journal of Applied Volcanology↗

Incorporating established conservation networks into freshwater conservation planning results in more workable prioritizations

Resources for addressing stream fish conservation issues are often limited and the stressors impacting fish continue to increase, so decision makers often rely on tools to prioritize locations for conservation actions. Because conservation networks already exist in many areas, incorporating these into the planning process can increase the ability of decision makers to carry out management actions. In this study we aim to identify priority areas within established networks to provide an approach which allows managers to focus efforts on the most valuable areas they control, while identifying areas outside of the network, which support species with minimal representation within the network, for acquisition or conservation partnerships. The goal of this approach is to prioritize sites to achieve high levels of species representation while also developing workable solutions. We applied a methodology incorporating established networks into a systematic conservation planning process for fish in temperate wadeable streams located in Missouri, USA. We compared how well species were represented in our approach with two commonly used alternatives: A blank slate approach which used the same systematic conservation planning technique but did not incorporate established networks, and a habitat integrity approach based solely on anthropogenic threat data. Relative to the blank slate approach, our approach required 210% more segments for representation of all species, and contained an average of 0.5 additional occurrences for the least well-represented species. Although the blank slate solution was more efficient in achieving species representation, 77% of segments in this solution were not already protected. This would likely pose a challenge for implementing conservation actions. Relative to habitat integrity-based priorities, our approach required only 38% of the number of stream segments to achieve representation of all species and contained an average of 5 additional occurrences of the least represented species, representing a substantial gain in representation. Incorporating established networks may allow managers to focus resources on areas with the greatest conservation value within established networks and to identify the most valuable areas complementary to the established networks, resulting in priorities which may be more actionable and effective than those developed by alternative approaches.

Missouri↗

Using active source seismology to image the Palos Verdes Fault damage zone as a function of distance, depth, and geology

Fault damage zones provide a window into the non-elastic processes of an earthquake. Geological and seismic tomography methods have been unable to measure damage zones at depth with sufficient spatial sampling to evaluate the relative influence of depth, distance, and lithological variations. Here, we identify and analyze the damage zone of the Palos Verdes Fault offshore southern California using two 3D seismic reflection datasets. We apply a novel algorithm to identify discontinuities attributed to faults and fractures in large seismic volumes and examine the spatial distribution of fault damage in sedimentary rock surrounding the Palos Verdes Fault. Our results show that damage through fracturing is most concentrated around mapped faults and decays exponentially to a distance of ∼2 km, where fracturing reaches a clearly defined and relatively undamaged background for all examined depths and lithologies (450 m to 2.2 km). This decrease in fracturing with distance from the central fault strand exhibits similar functional form to outcrop studies. However, here we extend analysis to distances seldom accessible (∼10 km lateral distance). Separating the data by geologic units we find that the damage decay and background level differs for each unit, with the older and deeper units having higher levels of background fracturing and shallower exponential decays of fracturing with distance from the fault. Surprisingly, these differences in damage decay and background level trade-off result in a consistent damage zone width regardless of lithology or depth. We find that the damage zone has similar decay trends on both sides of the fault. When examining the damage zone at shorter (4 km vs 17 km) along strike distances, the damage zone has a more complex decay trend and at least two strands are resolvable.

California↗

Characterization of hydraulic fracturing flowback water in Colorado: Implications for water treatment

A suite of analytical tools was applied to thoroughly analyze the chemical composition of an oil/gas well flowback water from the Denver–Julesburg (DJ) basin in Colorado, and the water quality data was translated to propose effective treatment solutions tailored to specific reuse goals. Analysis included bulk quality parameters, trace organic and inorganic constituents, and organic matter characterization. The flowback sample contained salts (TDS = 22,500 mg/L), metals (e.g., iron at 81.4 mg/L) and high concentration of dissolved organic matter (DOC = 590 mgC/L). The organic matter comprised fracturing fluid additives such as surfactants (e.g., linear alkyl ethoxylates) and high levels of acetic acid (an additives' degradation product), indicating the anthropogenic impact on this wastewater. Based on the water quality results and preliminary treatability tests, the removal of suspended solids and iron by aeration/precipitation (and/or filtration) followed by disinfection was identified as appropriate for flowback recycling in future fracturing operations. In addition to these treatments, a biological treatment (to remove dissolved organic matter) followed by reverse osmosis desalination was determined to be necessary to attain water quality standards appropriate for other water reuse options (e.g., crop irrigation). The study provides a framework for evaluating site-specific hydraulic fracturing wastewaters, proposing a suite of analytical methods for characterization, and a process for guiding the choice of a tailored treatment approach.

Colorado↗

Response of mercury in an Adirondack (NY, USA) forest stream to watershed lime application

Surface waters in Europe and North America previously impacted by acid deposition are recovering in conjunction with declining precursor emissions since the 1980s. Lime has been applied to some impacted watersheds to accelerate recovery. The response to liming can be considered a proxy for future recovery from acid deposition. Increases in dissolved organic carbon concentrations have been observed in surface waters in response to increased pH associated with recovery from acid deposition. Although not previously described, recovery-related increases in dissolved organic carbon could drive increases in mercury concentrations and loads because of the affinity of mercury for dissolved organic matter. We used a before–after impact-response approach to describe the response of stream mercury cycling to the application of lime to the watershed of a small stream in the Adirondack Mountains of New York, USA. Dissolved organic carbon, total mercury and methylmercury concentrations increased significantly in streamwater within two weeks of treatment, to previously unobserved oncentrations. After six months, post-treatment before–after impact-control (BACI) tests indicate that mean dissolved organic carbon concentrations and total mercury to dissolved organic carbon ratios remained significantly higher and limed site fluxes of methylmercury were lower than those at the reference stream. This pattern suggests total mercury is leaching at elevated levels from the limed watershed, but limitations in production and transport to the stream channel likely resulted in increases in methylmercury concentration that were of limited duration.

New York↗

Simulated estuary-wide response of seagrass (Zostera marina) to future scenarios of temperature and sea level

Seagrass communities are a vital component of estuarine ecosystems, but are threatened by projected sea level rise (SLR) and temperature increases with climate change. To understand these potential effects, we developed a spatially explicit model that represents seagrass ( Zostera marina ) habitat and estuary-wide productivity for Barnegat Bay-Little Egg Harbor (BB-LEH) in New Jersey, United States. Our modeling approach included an offline coupling of a numerical seagrass biomass model with the spatially variable environmental conditions from a hydrodynamic model to calculate above and belowground biomass at each grid cell of the hydrodynamic model domain. Once calibrated to represent present day seagrass habitat and estuary-wide annual productivity, we applied combinations of increasing air temperature and sea level following regionally specific climate change projections, enabling analysis of the individual and combined impacts of these variables on seagrass biomass and spatial coverage. Under the SLR scenarios, the current model domain boundaries were maintained, as the land surrounding BB-LEH is unlikely to shift significantly in the future. SLR caused habitat extent to decrease dramatically, pushing seagrass beds toward the coastline with increasing depth, with a 100% loss of habitat by the maximum SLR scenario. The dramatic loss of seagrass habitat under SLR was in part due to the assumption that surrounding land would not be inundated, as the model did not allow for habitat expansion outside the current boundaries of the bay. Temperature increases slightly elevated the rate of summer die-off and decreased habitat area only under the highest temperature increase scenarios. In combined scenarios, the effects of SLR far outweighed the effects of temperature increase. Sensitivity analysis of the model revealed the greatest sensitivity to changes in parameters affecting light limitation and seagrass mortality, but no sensitivity to changes in nutrient limitation constants. The high vulnerability of seagrass in the bay to SLR exceeded that demonstrated for other systems, highlighting the importance of site- and region-specific assessments of estuaries under climate change.

New Jersey↗

Soil-microbial communities respond less than plant communities to synthetic- or bio-herbicides applied to address the exotic grass-fire cycle in rangelands

The exotic grass-fire cycle is degrading semiarid rangelands, such as the vast areas of shrub-steppe in North America now invaded by fire-promoting cheatgrass. Chemical- or bio-herbicides are sprayed onto soils to inhibit the invaders, but information on chemical- or bio-herbicide impacts to soil microbial communities is limited. We asked how the soil-microbiome responded to the bioherbicide Pseudomonas fluorescens strain ACK55 in comparison to the separate and combined effects of a conventional pre-emergent chemical herbicide, imazapic, in two cheatgrass-invaded sagebrush-steppe sites. First-year microbial responses were evaluated using targeted sequencing of the 16S and LSU rRNA genes for bacteria+archaea and fungi, respectively, and were related to plant-community responses. A strong cheatgrass reduction with imazapic at one site was accompanied by a small shift in bacteria+archaea (16S) community composition with no effect on microbial alpha diversity, and this shift was small in comparison to natural microbiome variation between sites. ACK55 was not detected in soil a year after application, and it caused only transient and marginally significant reductions in annual grass cover accompanied by small reductions in soil fungi species richness. Full-length sequencing of the ACK55 16S rRNA gene and phylogenetic analyses revealed that ACK55 is more likely P. salmonii than P. fluorescens . Knowledge gaps remain on the duration and consequences of microbial-community shifts with imazapic and why molecular analyses showed ACK55 did not persist in soils. Confusion regarding microbial biopesticides can result where isolation, effectiveness testing, commercial release, and regulation are not guided by molecular taxonomic analyses.

Idaho↗

Prey size and availability limits maximum size of rainbow trout in a large tailwater: insights from a drift-foraging bioenergetics model

The cold and clear water conditions present below many large dams create ideal conditions for the development of economically important salmonid fisheries. Many of these tailwater fisheries have experienced declines in the abundance and condition of large trout species, yet the causes of these declines remain uncertain. Here, we develop, assess, and apply a drift-foraging bioenergetics model to identify the factors limiting rainbow trout (Oncorhynchus mykiss) growth in a large tailwater. We explored the relative importance of temperature, prey quantity, and prey size by constructing scenarios where these variables, both singly and in combination, were altered. Predicted growth matched empirical mass-at-age estimates, particularly for younger ages, demonstrating that the model accurately describes how current temperature and prey conditions interact to determine rainbow trout growth. Modeling scenarios that artificially inflated prey size and abundance demonstrate that rainbow trout growth is limited by the scarcity of large prey items and overall prey availability. For example, shifting 10% of the prey biomass to the 13 mm (large) length class, without increasing overall prey biomass, increased lifetime maximum mass of rainbow trout by 88%. Additionally, warmer temperatures resulted in lower predicted growth at current and lower levels of prey availability; however, growth was similar across all temperatures at higher levels of prey availability. Climate change will likely alter flow and temperature regimes in large rivers with corresponding changes to invertebrate prey resources used by fish. Broader application of drift-foraging bioenergetics models to build a mechanistic understanding of how changes to habitat conditions and prey resources affect growth of salmonids will benefit management of tailwater fisheries.

Arizona↗

National Park Service Vegetation Inventory Program, Cuyahoga Valley National Park, Ohio

The National Park Service (NPS) Vegetation Inventory Program (VIP) is an effort to classify, describe, and map existing vegetation of national park units for the NPS Natural Resource Inventory and Monitoring (I&M) Program. The NPS VIP is managed by the NPS Biological Resources Management Division and provides baseline vegetation information to the NPS Natural Resource I&M Program. The U.S. Geological Survey (USGS) Vegetation Characterization Program lends a cooperative role in the NPS VIP. The USGS Upper Midwest Environmental Sciences Center, NatureServe, and NPS Cuyahoga Valley National Park (CUVA) have completed vegetation classification and mapping of CUVA. Mappers, ecologists, and botanists collaborated to identify and describe vegetation types within the National Vegetation Classification Standard (NVCS) and to determine how best to map them by using aerial imagery. The team collected data from 221 vegetation plots within CUVA to develop detailed descriptions of vegetation types. Data from 50 verification sites were also collected to test both the key to vegetation types and the application of vegetation types to a sample set of map polygons. Furthermore, data from 647 accuracy assessment (AA) sites were collected (of which 643 were used to test accuracy of the vegetation map layer). These data sets led to the identification of 45 vegetation types at the association level in the NVCS at CUVA. A total of 44 map classes were developed to map the vegetation and general land cover of CUVA, including the following: 29 map classes represent natural/semi-natural vegetation types in the NVCS, 12 map classes represent cultural vegetation (agricultural and developed) in the NVCS, and 3 map classes represent non-vegetation features (open-water bodies). Features were interpreted from viewing color-infrared digital aerial imagery dated October 2010 (during peak leaf-phenology change of trees) via digital onscreen three-dimensional stereoscopic workflow systems in geographic information systems (GIS). The interpreted data were digitally and spatially referenced, thus making the spatial database layers usable in GIS. Polygon units were mapped to either a 0.5 ha or 0.25 ha minimum mapping unit, depending on vegetation type. A geodatabase containing various feature-class layers and tables shows the locations of vegetation types and general land cover (vegetation map), vegetation plot samples, verification sites, AA sites, project boundary extent, and aerial photographic centers. The feature-class layer and relate tables for the CUVA vegetation map provides 4,640 polygons of detailed attribute data covering 13,288.4 ha, with an average polygon size of 2.9 ha. Summary reports generated from the vegetation map layer show map classes representing natural/semi-natural types in the NVCS apply to 4,151 polygons (89.4% of polygons) and cover 11,225.0 ha (84.5%) of the map extent. Of these polygons, the map layer shows CUVA to be 74.4% forest (9,888.8 ha), 2.5% shrubland (329.7 ha), and 7.6% herbaceous vegetation cover (1,006.5 ha). Map classes representing cultural types in the NVCS apply to 435 polygons (9.4% of polygons) and cover 1,825.7 ha (13.7%) of the map extent. Map classes representing non-NVCS units (open water) apply to 54 polygons (1.2% of polygons) and cover 237.7 ha (1.8%) of the map extent. A thematic AA study was conducted of map classes representing natural/semi-natural types in the NVCS. Results present an overall accuracy of 80.7% (kappa index of 79.5%) based on data from 643 of the 647 AA sites. Most individual map-class themes exceed the NPS VIP standard of 80% with a 90% confidence interval. The CUVA vegetation mapping project delivers many geospatial and vegetation data products in hardcopy and/or digital formats. These products consist of an in-depth project report discussing methods and results, which include descriptions and a dichotomous key to vegetation types, map classification and map-class descriptions, and a contingency table showing AA results. The suite of products also includes a database of vegetation plots, verification sites, and AA sites; digital pictures of field sites; field data sheets; aerial photographic imagery; hardcopy and digital maps; and a geodatabase of vegetation types and land cover (map layer), fieldwork locations (vegetation plots, verification sites, and AA sites), aerial photographic index, project boundary, and metadata. All geospatial products are projected in Universal Transverse Mercator, Zone 17, by using the North American Datum of 1983. Information on the NPS VIP and completed park mapping projects are located on the Internet at <http://science.nature.nps.gov/im/inventory/veg> and <http://www.usgs.gov/core_science_systems/csas/vip/index.html>.

Natural Resource Technical Report↗

Steady- and non-steady-state carbonate-silicate controls on atmospheric CO2

Two contrasting hypotheses have recently been proposed for the past long-term relation between atmospheric CO 2 and the carbonate-silicate geochemical cycle. One approach (Berner, 1990) suggests that CO 2 levels have varied in a manner that has maintained chemical weathering and carbonate sedimentation at a steady state with respect to tectonically controlled decarbonation reactions. A second approach (Raymo et al. , 1988), applied specificlly to the late Cenozoic, suggests a decrease in CO 2 caused by an uplift-induced increase in chemical weathering, without regard to the rate of decarbonation. According to the steady-state (first) hypothesis, increased weathering and carbonate sedimentation are generally associated with increasing atmospheric CO 2 , whereas the uplift (second) hypothesis implies decreasing CO 2 under the same conditions. An ocean-atmosphere-sediment model has been used to assess the response of atmospheric CO 2 and carbonate sedimentation to global perturbations in chemical weathering and decarbonation reactions. Although this assessment is theoretical and cannot yet be related to the geologic record, the model simulations compare steady-state and non-steady-state carbonate-silicate cycle response. The e-fold response time of the ‘CO 2 -weathering’ feedback mechanism is between 300 and 400 ka. The response of carbonate sedimentation is much more rapid. These response times provide a measure of the strength of steady-state assumptions, and imply that certain systematic relations are sustained throughout steady-state and non-steady-state scenarios for the carbonate-silicate cycle. The simulations suggest that feedbacks can maintain the system near a steady state, but that non-steady-state effects may contribute to long-term trends. The steady-state and uplift hypotheses are not necessarily incompatible over time scales of a few million years.

Quaternary Science Reviews↗

Sensitivity of Last Glacial Maximum climate to uncertainties in tropical and subtropical ocean temperatures

The faunal and floral gradients that underlie the CLIMAP (1981) sea-surface temperature (SST) reconstructions for the Last Glacial Maximum (LGM) reflect ocean temperature gradients and frontal positions. The transfer functions used to reconstruct SSTs from biologic gradients are biased, however, because at the warmest sites they display inherently low sensitivity in translating fauna to SST and they underestimate SST within the euphotic zones where the pycnocline is strong. Here we assemble available data and apply a statistical approach to adjust for hypothetical biases in the faunal-based SST estimates of LGM temperature. The largest bias adjustments are distributed in the tropics (to address low sensitivity) and subtropics (to address underestimation in the euphotic zones). The resulting SSTs are generally in better agreement than CLIMAP with recent geochemical estimates of glacial-interglacial temperature changes. We conducted a series of model experiments using the GENESIS general atmospheric circulation model to assess the sensitivity of the climate system to our bias-adjusted SSTs. Globally, the new SST field results in a modeled LGM surface-air cooling relative to present of 6.4 ??C (1.9 ??C cooler than that of CLIMAP). Relative to the simulation with CLIMAP SSTs, modeled precipitation over the oceans is reduced by 0.4 mm d-1 (an anomaly -0.4 versus 0.0 mm d-1 for CLIMAP) and increased over land (an anomaly -0.2 versus -0.5 mm d-1 for CLIMAP). Regionally strong responses are induced by changes in SST gradients. Data-model comparisons indicate improvement in agreement relative to CLIMAP, but differences among terrestrial data inferences and simulated moisture and temperature remain. Our SSTs result in positive mass balance over the northern hemisphere ice sheets (primarily through reduced summer ablation), supporting the hypothesis that tropical and subtropical ocean temperatures may have played a role in triggering glacial changes at higher latitudes.

Quaternary Science Reviews↗

Modelling effects of flow withdrawal scenarios on riverine and riparian features of the Yampa River in Dinosaur National Monument

The National Park Service (NPS) is charged with maintaining natural riverine resources and processes in its parks along the Yampa River and downstream along the Green River. This mission requires information on how proposed water withdrawals would affect resources. We present a methodology that quantifies the impact on natural riverine and riparian features of Dinosaur National Monument based on alternative withdrawals that vary in volume and timing. This methodology uses a reverse quantification and develops tools to enable the NPS to ensure that if withdrawals must occur, the adverse impacts would be minimized by prescribing or constraining the timing, magnitude, and duration of withdrawal. The reverse quantification, well-suited for unregulated rivers such as the Yampa, strives to protect all flows minus extractions from daily flows based on three parameters: 1) a minimum flow, below which water diversion does not occur; 2) the percentage of the flow above the minimum that is diverted; 3) the maximum daily flow that is diverted. We apply 350 flow extraction scenarios, each defined by a unique set of parameters, to the 99 historic annual hydrographs of daily flows (water year (WY) 1922–2020), and to the more recent 20 years (WY 2001–2020). We also consider how hydrologic year type (wet to dry) influences the flow volume extracted and impact to the resource. Recognizing the seasonal differences in flow and ecological and geomorphic response, we divide each year into four distinct seasonal periods and use relations from the literature between flow, channel change, riparian vegetation and fish behavior, physiology, and habitat to define hydrograph and resource metrics used to evaluate impacts to the resource. While our analysis demonstrates that all withdrawals will damage the resource, extractions during the Early Runoff Period (March 15 – April 30) are least detrimental and extractions during the Summer Baseflow Period (July 16 – October 31) are most detrimental. We find that most aspects of the resource are more sensitive to increasing extractions during drier years than during wetter years. Recent decades have seen a shift towards more frequent drier years, resulting in less water in most periods. As a result, our analysis suggests that extractions in recent decades would have had a greater impact on the resource when compared to similar extractions during the full historical record. Finally, we demonstrate how the NPS may use these results to develop limits on extractions for resource protection.

Colorado, Utah↗

Landsat imagery reveals declining clarity of Maine’s lakes during 1995-2010

Water clarity is a strong indicator of regional water quality. Unlike other common water-quality metrics, such as chlorophyll a , total P, or trophic status, clarity can be accurately and efficiently estimated remotely on a regional scale. Satellite-based remote sensing is useful in regions with many lakes where traditional field-sampling techniques may be prohibitively expensive. Repeated sampling of easily accessed lakes can lead to spatially irregular, nonrandom samples of a region. Remote sensing remedies this problem. We applied a remote monitoring protocol we had previously developed for Maine lakes >8 ha based on Landsat satellite data recorded during 1995&ndash;2010 to identify spatial and temporal patterns in Maine lake clarity. We focused on the overlapping region of Landsat paths 11 and 12 to increase availability of cloud-free images in August and early September, a period of relative lake stability and seasonal poor-clarity conditions well suited for annual monitoring. We divided Maine into 3 regions (northeastern, south-central, western) based on morphometric and chemical lake features. We found a general decrease in average statewide lake clarity from 4.94 to 4.38 m during 1995&ndash;2010. Water clarity ranged from 4 to 6 m during 1995&ndash;2010, but it decreased consistently during 2005&ndash;2010. Clarity in both the northeastern and western lake regions has decreased from 5.22 m in 1995 to 4.36 and 4.21 m, respectively, in 2010, whereas lake clarity in the south-central lake region (4.50 m) has not changed since 1995. Climate change, timber harvesting, or watershed morphometry may be responsible for regional water-clarity decline. Remote sensing of regional water clarity provides a more complete spatial perspective of lake water quality than existing, interest-based sampling. However, field sampling done under existing monitoring programs can be used to calibrate accurate models designed to estimate water clarity remotely.

Maine↗

Sedimentological and geochemical characterization of lacustrine deposits of the Babouri-Figuil basin, northern Cameroon: Implications for source rocks distribution and petroleum exploration

The West and Central African Rift System (WCARS) refers to the series of Cretaceous rift basins where commercial hydrocarbon accumulations have been discovered. Some of the WCARS frontier basins are currently being investigated to increase our understanding of these basins in light of new commercial discoveries. The present study was performed in the Babouri-Figuil Basin (BFB), which is genetically related to the WCARS and constitutes an area of interest in terms of petroleum prospecting, where the distribution of petroleum source rocks and potential targets for petroleum exploration across the entire basin is poorly understood. For the current study, an integrated facies analysis along with organic and inorganic geochemical techniques were applied to the basin's Cretaceous deposits with the aim of reconstructing the paleodepositional environment, assessing factors that triggered the input of organic matter, and providing a spatial overview of the organic matter accumulation in the basin based on outcrop samples. An alluvial fan-lacustrine-braided river system is inferred from the facies analysis of the stratigraphic sequence consisting of conglomerate, sandstone, siltstone, limestone, marlstone, and claystone. Bulk analysis of organic matter reveals that black shale and massive claystone are the main prospective petroleum source rocks in the basin. Inorganic geochemical analyses reveal the influence of anoxic conditions, moderate to high primary productivity, and low terrigenous inputs in organic matter enrichment. The formations rich in organic matter are predominantly concentrated in the western and eastern parts of the basin which may represent areas with depressions, characterized by high accommodation space. In terms of the regional context of the WCARS rift basins, typical hydrocarbon exploration in the BFB may target basal-conglomerate, sandstone beds situated directly above or/and interbedded with the Lower Cretaceous source rocks, and the Upper Cretaceous sandstone beds. Basement rocks (granite, granodiorite, and gneisses) and oil shale deposits may represent potential unconventional hydrocarbon exploration. The current integrated study provides an insight that should guide future hydrocarbon exploration campaigns in the basin.

Babouri-Figuil basin↗

Environmental fate of roxarsone in poultry litter. Part II. Mobility of arsenic in soils amended with poultry litter

Poultry litter often contains arsenic as a result of organo-arsenical feed additives. When the poultry litter is applied to agricultural fields, the arsenic is released to the environment and may result in increased arsenic in surface and groundwater and increased uptake by plants. The release of arsenic from poultry litter, litter-amended soils, and soils without litter amendment was examined by extraction with water and strong acids (HCI and HN03). The extracts were analyzed for As, C, P, Cu, Zn, and Fe. Copper, zinc, and iron are also poultry feed additives. Soils with a known history of litter application and controlled application rate of arsenic-containing poultry litter were obtained from the University of Maryland Agricultural Experiment Station. Soils from fields with long-term application of poultry litter were obtained from a tilled field on the Delmarva Peninsula (MD) and an untilled Oklahoma pasture. Samples from an adjacent forest or nearby pasture that had no history of litter application were used as controls. Depth profiles were sampled for the Oklahoma pasture soils. Analysis of the poultry litter showed that 75% of the arsenic was readily soluble in water. Extraction of soils shows that weakly bound arsenic mobilized by water correlates positively with C, P, Cu, and Zn in amended fields and appears to come primarily from the litter. Strongly bound arsenic correlates positively with Fe in amended fields and suggests sorption or coprecipitation of As and Fe in the soil column.

Environmental Science & Technology↗