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The effectiveness of harvest for limiting wildlife disease: Insights from 20 years of chronic wasting disease in Wyoming

Effective, practical options for managing disease in wildlife populations are limited, especially after diseases become established. Removal strategies (e.g., hunting or culling) are used to control wildlife diseases across a wide range of systems, despite conflicting evidence of their effectiveness. This is especially true for chronic wasting disease (CWD), an untreatable, fatal prion disease threatening cervid populations across multiple countries, for which recreational harvest has been suggested as an important disease control strategy. Using observational data to evaluate whether harvest effectively limits CWD prevalence has been difficult because statistical relationships between harvest and disease prevalence can arise from a causal effect of harvest (i.e., harvest's impacts on prevalence via changes in transmission or demographic structure) or from a number of alternative mechanisms. For instance, correlations between harvest and disease prevalence can also be driven by disease's impacts on population size and harvest (i.e., reverse causality) or from confounding variables (e.g., habitat or geographic location) that impact both harvest rates and disease prevalence. We analyzed two decades of surveillance data (2000–2021) from 10 mule deer herds in Wyoming, using statistical approaches informed by causal inference theory, to test for the effects of harvest on CWD prevalence. Herds with consistently high harvest pressure across 20 years had significantly lower prevalence. Our models predicted that harvesting 40% of adult males per year across 20 years would maintain prevalence below 5% on average, whereas if only 20% of males were harvested in each year, prevalence would increase to >30% by year 20. Moreover, shifting the relative harvest pressure within a herd over a shorter period (3 years) reduced subsequent prevalence, albeit to a smaller degree. Although high harvest is unlikely to completely eradicate CWD, our analysis suggests that maintaining hunting pressure on adult males is an important tactic for slowing CWD epidemics within mule deer herds. Our study also provides guidance for future analyses of longitudinal surveillance data, including the importance of demographic data and appropriate time lags.

Wyoming↗

87Sr/86Sr sourcing of ponderosa pine used in Anasazi great house construction at Chaco Canyon, New Mexico

Previous analysis of 87 Sr/ 86 Sr ratios shows that 10th through 12th century Chaco Canyon was provisioned with plant materials that came from more than 75 km away. This includes (1) corn (Zea mays) grown on the eastern flanks of the Chuska Mountains and floodplain of the San Juan River to the west and north, and (2) spruce (Picea sp.) and fir (Abies sp.) beams from the crest of the Chuska and San Mateo Mountains to the west and south. Here, we extend 87 Sr/ 86 Sr analysis to ponderosa pine (Pinus ponderosa) prevalent in the architectural timber at three of the Chacoan great houses (Pueblo Bonito, Chetro Ketl, Pueblo del Arroyo). Like the architectural spruce and fir, much of the ponderosa matches the 87 Sr/ 86 Sr ratios of living trees in the Chuska Mountains. Many of the architectural ponderosa, however, have similar ratios to living trees in the La Plata and San Juan Mountains to the north and Lobo Mesa/Hosta Butte to the south. There are no systematic patterns in spruce/fir or ponderosa provenance by great house or time, suggesting the use of stockpiles from a few preferred sources. The multiple and distant sources for food and timber, now based on hundreds of isotopic values from modern and archeological samples, confirm conventional wisdom about the geographic scope of the larger Chacoan system. The complexity of this procurement warns against simple generalizations based on just one species, a single class of botanical artifact, or a few isotopic values.

New Mexico↗

Data resources for range-wide assessment of livestock grazing across the sagebrush biome

The data contained in this series were compiled, modified, and analyzed for the U.S. Geological Survey (USGS) report "Range-Wide Assessment of Livestock Grazing Across the Sagebrush Biome." This report can be accessed through the USGS Publications Warehouse (online linkage: http://pubs.usgs.gov/of/2011/1263/). The dataset contains spatial and tabular data related to Bureau of Land Management (BLM) Grazing Allotments. We reviewed the BLM national grazing allotment spatial dataset available from the GeoCommunicator National Integrated Land System (NILS) website in 2007 (http://www.geocommunicator.gov). We identified several limitations in those data and learned that some BLM State and/or field offices had updated their spatial data to rectify these limitations, but maintained the data outside of NILS. We contacted appropriate BLM offices (State or field, 25 in all) to obtain the most recent data, assessed the data, established a data development protocol, and compiled data into a topologically enforced dataset throughout the area of interest for this project (that is, the pre-settlement distribution of Greater Sage-Grouse in the Western United States). The final database includes three spatial datasets: Allotments (BLM Grazing Allotments), OUT_Polygons (nonallotment polygons used to ensure topology), and Duplicate_Polygon_Allotments. See Appendix 1 of the aforementioned report for complete methods. The tabular data presented here consists of information synthesized by the Land Health Standard (LHS) analysis (Appendix 2), and data obtained from the BLM Rangeland Administration System (http://www.blm.gov/ras/). In 2008, available LHS data for all allotments in all regions were compiled by BLM in response to a Freedom of Information Act (FOIA) request made by a private organization. The BLM provided us with a copy of these data. These data provided three major types of information that were of interest: (1) date(s) (if any) of the most recent LHS evaluation for each allotment; (2) whether if evaluated, each region-specific standard (3–8 LHS depending on region) had been met on a given allotment; and (3) whether livestock contributed to any of these standards not being met. A description of how we processed the original data to prepare for analysis is described in Appendix 2, and the synthesized dataset can be found in the table "lhs_x_walk." Permitted use dates, livestock type (horse, sheep or cattle), number of livestock, and Animal Unit Months [the number of animal units (1,000-pound animal equivalents) that can be grazed for 31 days with the available forage in a sustainable manner] are the legal maximum grazing amounts for a given allotment, and legal adjustments to these numbers occur infrequently. We summarized permitted use by BLM allotment in the table "Permitted_Use." Billed use records are used for calculations of permittees' annual grazing bills. We summarized billed use by allotment for BLM grazing year in the table "Billed_Use." All three tables can be joined with the allotment spatial data in a geographic information system (GIS) environment, using the IDENT attribute as the primary key.

Data Series↗

Geographic variation in patterns of nestedness among local stream fish assemblages in Virginia

Nestedness of faunal assemblages is a multiscale phenomenon, potentially influenced by a variety of factors. Prior small-scale studies have found freshwater fish species assemblages to be nested along stream courses as a result of either selective colonization or extinction. However, within-stream gradients in temperature and other factors are correlated with the distributions of many fish species and may also contribute to nestedness. At a regional level, strongly nested patterns would require a consistent set of structuring mechanisms across streams, and correlation among species' tolerances of the environmental factors that influence distribution. Thus, nestedness should be negatively associated with the spatial extent of the region analyzed and positively associated with elevational gradients (a correlate of temperature and other environmental factors). We examined these relationships for the freshwater fishes of Virginia. Regions were defined within a spatial hierarchy and included whole river drainages, portions of drainages within physiographic provinces, and smaller subdrainages. In most cases, nestedness was significantly stronger in regions of smaller spatial extent and in regions characterized by greater topographic relief. Analysis of hydrologic variability and patterns of faunal turnover provided no evidence that interannual colonization/extinction dynamics contributed to elevational differences in nestedness. These results suggest that, at regional scales, nestedness is influenced by interactions between biotic and abiotic factors, and that the strongest nestedness is likely to occur where a small number of organizational processes predominate, i.e., over small spatial extents and regions exhibiting strong environmental gradients. ?? Springer-Verlag 2004.

Oecologia↗

Map design and production issues for the Utah Gap Analysis Project

The cartographic preparation and printing of four maps for the Utah GAP Project presented a wide range of challenges in cartographic design and production. In meeting these challenges, the map designers had to balance the purpose of the maps together with their legibility and utility against both the researchers' desire to show as much detail as possible and the technical limitations inherent in the printing process. This article describes seven design and production issues in order to illustrate the challenges of making maps from a merger of satellite data and GIS databases, and to point toward future investigation and development.

Utah↗

Evaluation of catchment delineation methods for the medium-resolution National Hydrography Dataset

Different methods for determining catchments (incremental drainage areas) for stream segments of the medium-resolution (1:100,000-scale) National Hydrography Dataset (NHD) were evaluated by the U.S. Geological Survey (USGS), in cooperation with the U.S. Environmental Protection Agency (USEPA). The NHD is a comprehensive set of digital spatial data that contains information about surface-water features (such as lakes, ponds, streams, and rivers) of the United States. The need for NHD catchments was driven primarily by the goal to estimate NHD streamflow and velocity to support water-quality modeling. The application of catchments for this purpose also demonstrates the broader value of NHD catchments for supporting landscape characterization and analysis. Five catchment delineation methods were evaluated. Four of the methods use topographic information for the delineation of the NHD catchments. These methods include the Raster Seeding Method; two variants of a method first used in a USGS New England study-one used the Watershed Boundary Dataset (WBD) and the other did not-termed the 'New England Methods'; and the Outlet Matching Method. For these topographically based methods, the elevation data source was the 30-meter (m) resolution National Elevation Dataset (NED), as this was the highest resolution available for the conterminous United States and Hawaii. The fifth method evaluated, the Thiessen Polygon Method, uses distance to the nearest NHD stream segments to determine catchment boundaries. Catchments were generated using each method for NHD stream segments within six hydrologically and geographically distinct Subbasins to evaluate the applicability of the method across the United States. The five methods were evaluated by comparing the resulting catchments with the boundaries and the computed area measurements available from several verification datasets that were developed independently using manual methods. The results of the evaluation indicated that the two New England Methods provided the most accurate catchment boundaries. The New England Method with the WBD provided the most accurate results. The time and cost to implement and apply these automated methods were also considered in ultimately selecting the methods used to produce NHD catchments for the conterminous United States and Hawaii. This study was conducted by a joint USGS-USEPA team during the 2-year period that ended in September 2004. During the following 2-year period ending in the fall of 2006, the New England Methods were used to produce NHD catchments as part of a multiagency effort to generate the NHD streamflow and velocity estimates for a suite of integrated geospatial products known as 'NHDPlus.'

New England↗

Culture-independent characterization of bacterial communities associated with the cold-water coral Lophelia pertusa in the northeastern Gulf of Mexico

Bacteria are recognized as an important part of the total biology of shallow-water corals. Studies of shallow-water corals suggest that associated bacteria may benefit the corals by cycling carbon, fixing nitrogen, chelating iron, and producing antibiotics that protect the coral from other microbes. Cold-water or deep-sea corals have a fundamentally different ecology due to their adaptation to cold, dark, high-pressure environments and as such have novel microbiota. The goal of this study was to characterize the microbial associates of Lophelia pertusa in the northeastern Gulf of Mexico. This is the first study to collect the coral samples in individual insulated containers and to preserve coral samples at depth in an effort to minimize thermal shock and evaluate the effects of environmental gradients on the microbial diversity of samples. Molecular analysis of bacterial diversity showed a marked difference between the two study sites, Viosca Knoll 906/862 (VK906/862) and Viosca Knoll 826 (VK826). The bacterial communities from VK826 were dominated by a variety of unknown mycoplasmal members of the Tenericutes and Bacteroidetes , whereas the libraries from VK906/862 were dominated by members of the Proteobacteria . In addition to novel sequences, the 16S rRNA gene clone libraries revealed many bacterial sequences in common between Gulf of Mexico Lophelia corals and Norwegian fjord Lophelia corals, as well as shallow-water corals. Two Lophelia -specific bacterial groups were identified: a cluster of gammaproteobacteria related to sulfide-oxidizing gill symbionts of seep clams and a group of Mycoplasma spp. The presence of these groups in both Gulf and Norwegian Lophelia corals indicates that in spite of the geographic heterogeneity observed in Lophelia -associated bacterial communities, there are Lophelia -specific microbes.

Gulf of Mexico↗

TopoLens: Building a cyberGIS community data service for enhancing the usability of high-resolution National Topographic datasets

Geospatial data, often embedded with geographic references, are important to many application and science domains, and represent a major type of big data. The increased volume and diversity of geospatial data have caused serious usability issues for researchers in various scientific domains, which call for innovative cyberGIS solutions. To address these issues, this paper describes a cyberGIS community data service framework to facilitate geospatial big data access, processing, and sharing based on a hybrid supercomputer architecture. Through the collaboration between the CyberGIS Center at the University of Illinois at Urbana-Champaign (UIUC) and the U.S. Geological Survey (USGS), a community data service for accessing, customizing, and sharing digital elevation model (DEM) and its derived datasets from the 10-meter national elevation dataset, namely TopoLens, is created to demonstrate the workflow integration of geospatial big data sources, computation, analysis needed for customizing the original dataset for end user needs, and a friendly online user environment. TopoLens provides online access to precomputed and on-demand computed high-resolution elevation data by exploiting the ROGER supercomputer. The usability of this prototype service has been acknowledged in community evaluation.

Conference Paper↗

Spatial synchrony in cisco recruitment

We examined the spatial scale of recruitment variability for disparate cisco ( Coregonus artedi ) populations in the Great Lakes ( n = 8) and Minnesota inland lakes ( n = 4). We found that the scale of synchrony was approximately 400 km when all available data were utilized; much greater than the 50-km scale suggested for freshwater fish populations in an earlier global analysis. The presence of recruitment synchrony between Great Lakes and inland lake cisco populations supports the hypothesis that synchronicity is driven by climate and not dispersal. We also found synchrony in larval densities among three Lake Superior populations separated by 25–275 km, which further supports the hypothesis that broad-scale climatic factors are the cause of spatial synchrony. Among several candidate climate variables measured during the period of larval cisco emergence, maximum wind speeds exhibited the most similar spatial scale of synchrony to that observed for cisco. Other factors, such as average water temperatures, exhibited synchrony on broader spatial scales, which suggests they could also be contributing to recruitment synchrony. Our results provide evidence that abiotic factors can induce synchronous patterns of recruitment for populations of cisco inhabiting waters across a broad geographic range, and show that broad-scale synchrony of recruitment can occur in freshwater fish populations as well as those from marine systems.

Minnesota↗

Multi-laboratory evaluations of the performance of Catellicoccus marimammalium PCR assays developed to target gull fecal sources

Here we report results from a multi-laboratory ( n = 11) evaluation of four different PCR methods targeting the 16S rRNA gene of Catellicoccus marimammalium originally developed to detect gull fecal contamination in coastal environments. The methods included a conventional end-point PCR method, a SYBR ® Green qPCR method, and two TaqMan ® qPCR methods. Different techniques for data normalization and analysis were tested. Data analysis methods had a pronounced impact on assay sensitivity and specificity calculations. Across-laboratory standardization of metrics including the lower limit of quantification (LLOQ), target detected but not quantifiable (DNQ), and target not detected (ND) significantly improved results compared to results submitted by individual laboratories prior to definition standardization. The unit of measure used for data normalization also had a pronounced effect on measured assay performance. Data normalization to DNA mass improved quantitative method performance as compared to enterococcus normalization. The MST methods tested here were originally designed for gulls but were found in this study to also detect feces from other birds, particularly feces composited from pigeons. Sequencing efforts showed that some pigeon feces from California contained sequences similar to C. marimammalium found in gull feces. These data suggest that the prevalence, geographic scope, and ecology of C. marimammalium in host birds other than gulls require further investigation. This study represents an important first step in the multi-laboratory assessment of these methods and highlights the need to broaden and standardize additional evaluations, including environmentally relevant target concentrations in ambient waters from diverse geographic regions.

Water Research↗

Neogene faulting, basin development, and relief generation in the southern Klamath Mountains (USA)

Development and evaluation of models for tectonic evolution in the Cascadia forearc require understanding of along-strike heterogeneity of strain distribution, uplift, and upper-plate characteristics. Here, we investigated the Neogene geologic record of the Klamath Mountains province in southernmost Cascadia and obtained apatite (U-Th)/He (AHe) thermochronology of Mesozoic plutons, Neogene graben sediment thickness, detrital zircon records from Neogene grabens, gravity and magnetic data, and kinematic analysis of faults. We documented three aspects of Neogene tectonics: early Miocene and younger rock exhumation, development of topographic relief sufficient to isolate Neogene graben-filling sediments from sources outside of the Klamath Mountains, and initiation of mid-Miocene or younger right-lateral and reverse faulting. Key findings are: (1) 10 new apatite AHe mean cooling ages from the Canyon Creek and Granite Peak plutons in the Trinity Alps range from 24.7 ± 2.1 Ma to 15.7 ± 2.1 Ma. Inverse thermal modeling of these data and published apatite fission-track ages indicate the most rapid rock cooling between ca. 25 and 15 Ma. One new AHe mean cooling age (26.7 ± 3.2 Ma) from the Ironside Mountain batholith 40 km west of the Trinity Alps, combined with previously published AHe ages, suggests geographically widespread latest Oligocene to Miocene cooling in the southern Klamath Mountains province. (2) AHe ages of 39.4 ± 5.1 Ma on the downthrown side and 22.7 ± 3.0 Ma on the upthrown side of the Browns Meadow fault suggest early Miocene to younger fault activity. (3) U-Pb detrital zircon ages ( n = 862) and Lu-Hf isotope geochemistry from Miocene Weaverville Formation sediments in the Weaverville, Lowden Ranch, Hayfork, and Hyampom grabens south and southwest of the Trinity Alps can be traced to entirely Klamath Mountains sources; they suggest the south-central Klamath Mountains had, by the middle Miocene, sufficient relief to isolate these grabens from more distal sediment sources. (4) Two Miocene detrital zircon U-Pb ages of 10.6 ± 0.4 Ma and 16.7 ± 0.2 Ma from the Lowden Ranch graben show that the maximum depositional age of the upper Weaverville Formation here is younger than previously recognized. (5) A prominent steep-sided negative gravity anomaly associated with the Hayfork graben shows that both the north and south margins are fault-controlled, and inversion of gravity data suggests basin fill is between 1 km and 1.9 km thick. Abrupt elevation changes of basin fill-to-bedrock contacts reported in well logs record E-side-up and right-lateral faulting at the eastern end of the Hayfork graben. A NE-striking gravity gradient separates the main graben on the west from a narrower, thinner basin to the east, supporting this interpretation. (6) Of fset of both the base of the Weaverville Formation and the cataclasite-capped La Grange fault surface by a fault on the southwest margin of the Weaverville basin documents 200 m of reverse and 1500 m of right-lateral strike-slip motion on this structure, here named the Democrat Gulch fault; folded and steeply dipping strata adjacent to the fault confirm that faulting postdated deposition of the Weaverville Formation.

California, Oregon↗

Genetic characterization of Neotropical Jabiru Storks: Insights for conservation

Jabiru Stork (Jabiru mycteria is listed under Appendix I of CITES and considered threatened in Central America. The first population genetic analysis of Jabiru Storks was carried out using mitochondrial DNA (mtDNA) control region sequences (520 bp) and five heterologous microsatellite loci. Samples were collected from the field (N = 49) and museum skins (N = 22) in Central (mainly Belize, Nicaragua and Costa Rica) and South America (Colombia, Venezuela, Peru and Brazil). A decline of mtDNA diversity was observed in comparisons between past (N = 20) and present (N = 40) samples collected in Central America and northern South America. Similar levels of microsatellite loci diversity were observed among contemporary samples. Lower levels of mtDNA variability were observed in samples from Central America and northern South America when compared to the Brazilian Pantanal region. Significant levels of genetic differentiation were found between contemporary locations sampled, whereas non-significant results were observed for historic samples. The non-geographic association of haplotypes observed at the cladograms and the recent divergence times estimated between locations are indicative of an evolutionary history of a large population size with limited population structure. Reconnection of populations via increased gene flow, particularly in Central America, is recommended if genetic structure and status are to be restored.

Waterbirds↗

The potential of unmanned aerial systems for sea turtle research and conservation: a review and future directions

The use of satellite systems and manned aircraft surveys for remote data collection has been shown to be transformative for sea turtle conservation and research by enabling the collection of data on turtles and their habitats over larger areas than can be achieved by surveys on foot or by boat. Unmanned aerial vehicles (UAVs) or drones are increasingly being adopted to gather data, at previously unprecedented spatial and temporal resolutions in diverse geographic locations. This easily accessible, low-cost tool is improving existing research methods and enabling novel approaches in marine turtle ecology and conservation. Here we review the diverse ways in which incorporating inexpensive UAVs may reduce costs and field time while improving safety and data quality and quantity over existing methods for studies on turtle nesting, at-sea distribution and behaviour surveys, as well as expanding into new avenues such as surveillance against illegal take. Furthermore, we highlight the impact that high-quality aerial imagery captured by UAVs can have for public outreach and engagement. This technology does not come without challenges. We discuss the potential constraints of these systems within the ethical and legal frameworks which researchers must operate and the difficulties that can result with regard to storage and analysis of large amounts of imagery. We then suggest areas where technological development could further expand the utility of UAVs as data-gathering tools; for example, functioning as downloading nodes for data collected by sensors placed on turtles. Development of methods for the use of UAVs in sea turtle research will serve as case studies for use with other marine and terrestrial taxa.

Endangered Species Research↗

Columbia Basin pygmy rabbit recovery planning through structured decision making

The endangered Columbia Basin pygmy rabbit (CBPR) faces multiple threats, particularly increasing risk of larger and more intense wildfires due to climate change, emerging disease, and sagebrush habitat loss due to agriculture and development. Through the use of conservation breeding, the CBPR wild population grew from a low of 16 individuals captured in 2001 to over 100 individuals in two subpopulations in 2024. However, these subpopulations are geographically proximate, with potential risk that both subpopulations could be affected by a single wildfire or disease event. Additionally, a succession of setbacks in the breeding program has prompted a natural re-evaluation point for the CBPR conservation program. We undertook a structured decision-making (SDM) process with participants from both Washington Department of Fish and Wildlife (WDFW) and US Fish and Wildlife Service (USFWS) to develop a strategy that is sustainable and implementable for guiding management in the coming decades across the range of the CBPR, taking into account changing conditions and updated information. A population model that incorporated both demographic and high impact event uncertainties was developed to test how alternative strategies – defined by conservation breeding program, vaccination, and translocation components – affect CBPR population growth and cost objectives. Based on analysis of the model results, we identified the following actions that appear to have the greatest potential to allow WDFW and USFWS to meet their conservation objectives for CBPR: Continue conservation breeding program, and possibly expand to include an island subpopulation (an isolated, unfenced area that can serve as a source for rabbits while requiring fewer management inputs) Continue Rabbit Hemorrhagic Disease Virus (RHDV2) annual vaccinations in both breeding and wild populations When juveniles are available for translocation, prioritize recovery areas that are in the establishing phase In addition, while not analyzed explicitly in the model, discussions during the SDM process led to the identification of the following actions, which the group considered to have potential to benefit the CBPR either directly or indirectly: Increase the amount of suitable habitat available to pygmy rabbits Increase protections for existing and potential recovery areas Design future monitoring to better estimate survival and reproduction, with an emphasis on understanding how these vital rates vary between wild and semi-captive individuals, between vaccinated and unvaccinated individuals, and as a function of habitat factors

BioRxiv↗

Scale-dependent approaches to modeling spatial epidemiology of chronic wasting disease.

This e-book is the product of a second workshop that was funded and promoted by the United States Geological Survey to enhance cooperation between states for the management of chronic wasting disease (CWD). The first workshop addressed issues surrounding the statistical design and collection of surveillance data for CWD. The second workshop, from which this document arose, followed logically from the first workshop and focused on appropriate methods for analysis, interpretation, and use of CWD surveillance and related epidemiology data. Consequently, the emphasis of this e-book is on modeling approaches to describe and gain insight of the spatial epidemiology of CWD. We designed this e-book for wildlife managers and biologists who are responsible for the surveillance of CWD in their state or agency. We chose spatial methods that are popular or common in the spatial epidemiology literature and evaluated them for their relevance to modeling CWD. Our opinion of the usefulness and relevance of each method was based on the type of field data commonly collected as part of CWD surveillance programs and what we know about CWD biology, ecology, and epidemiology. Specifically, we expected the field data to consist primarily of the infection status of a harvested or culled sample along with its date of collection (not date of infection), location, and demographic status. We evaluated methods in light of the fact that CWD does not appear to spread rapidly through wild populations, relative to more highly contagious viruses, and can be spread directly from animal to animal or indirectly through environmental contamination. We discovered that many of the wellpublished methods were developed for fast-spreading human diseases, such as influenza and measles. While these methods are applicable to fast spreading wildlife diseases, such as foot-and-mouth disease or West Nile virus, many are not likely to work well for CWD. Only limited data exist to evaluate geographic and spatial spread because many locations where we find CWD tend to be locations where samples have just been taken or sample sizes have just become large enough to have a high probability of detecting a low prevalence. Consequently, methods that work well to describe or predict the spread of foot-and-mouth disease throughout England, which occurred within a year, do not work well for describing or predicting CWD spread. We did not exclude methods that we regarded as inappropriate; rather, we included methods that are commonly used for disease epidemiology and then discussed their applicability for modeling the spatial epidemiology of CWD. We hope including inappropriate methods with an explanation of why they are ill-suited for CWD will make it easier to drop them from consideration and explain to others why they were not recommended for spatial modeling of CWD. We organized the three chapters by scale and extent for which each method was developed or best suited. The first chapter covers methods appropriate to multi-jurisdictional or multi-state modeling, which we call “regional” scale. The second chapter covers methods appropriate for within state areas such as wildlife management units or metapopulations, which we call “landscape” scale. The third chapter covers methods appropriate for population or individual-based modeling, which we call “fine” scale. We know this rubric is somewhat artificial because many methods work at multiple scales. We hope, however, that this structure addresses some of the challenges faced by managers that work at local, regional, state, and national scales. Further, the resolution of empirical data often changes with spatial scale, which affects the utility of different modeling approaches. For example, individual-based models work best at modeling spread within populations, while risk analysis is most useful for summarizing data over larger scales such as a region. Because some methods are applicable at several scales, however, we included a graphic at the beginning of each method that indicates the range of scales for which it applies. For example, the graphic to the right indicates that the method is most applicable for regional-scale modeling. There is also a question of resolution as well as scale and extent for each method. CWD surveillance data have been collected over large areas, such as a wildlife management unit or state, but the resolution of the data may be fine scale with GPS locations for many samples. For each method, we described the required resolution of the data and describe the type of data required, as well as what questions the method could answer and how useful the method is, given typical CWD data. For each scale, we presented a focal approach that would be useful for understanding the spatial pattern and epidemiology of CWD, as well as being a useful tool for CWD management. The focal approaches include risk analysis and micromaps for the regional scale, cluster analysis for the landscape scale, and individual based modeling for the fine scale of within population. For each of these methods, we used simulated data and walked through the method step by step to fully illustrate the “how to”, with specifics about what is input and output, as well as what questions the method addresses. We also provided a summary table to, at a glance, describe the scale, questions that can be addressed, and general data required for each method described in this e-book. We hope that this review will be helpful to biologists and managers by increasing the utility of their surveillance data, and ultimately be useful for increasing our understanding of CWD and allowing wildlife biologists and managers to move beyond retroactive fire-fighting to proactive preventative action.

Book↗

Characterization of low-pathogenicity H5N1 avian influenza viruses from North America

Wild-bird surveillance in North America for avian influenza (AI) viruses with a goal of early identification of the Asian H5N1 highly pathogenic AI virus has identified at least six low-pathogenicity H5N1 AI viruses between 2004 and 2006. The hemagglutinin (HA) and neuraminidase (NA) genes from all 6 H5N1 viruses and an additional 38 North American wild-bird-origin H5 subtype and 28 N1 subtype viruses were sequenced and compared with sequences available in GenBank by phylogenetic analysis. Both HA and NA were phylogenetically distinct from those for viruses from outside of North America and from those for viruses recovered from mammals. Four of the H5N1 AI viruses were characterized as low pathogenicity by standard in vivo pathotyping tests. One of the H5N1 viruses, A/MuteSwan/MI/451072-2/06, was shown to replicate to low titers in chickens, turkeys, and ducks. However, transmission of A/MuteSwan/MI/451072-2/06 was more efficient among ducks than among chickens or turkeys based on virus shed. The 50% chicken infectious dose for A/MuteSwan/MI/451072-2/06 and three other wild-waterfowl-origin H5 viruses were also determined and were between 10 5.3 and 107.5 50% egg infective doses. Finally, seven H5 viruses representing different phylogenetic clades were evaluated for their antigenic relatedness by hemagglutination inhibition assay, showing that the antigenic relatedness was largely associated with geographic origin. Overall, the data support the conclusion that North American H5 wild-bird-origin AI viruses are low-pathogenicity wild-bird-adapted viruses and are antigenically and genetically distinct from the highly pathogenic Asian H5N1 virus lineage. Copyright ?? 2007, American Society for Microbiology. All Rights Reserved.

Journal of Virology↗

Methods for Adjusting U.S. Geological Survey Rural Regression Peak Discharges in an Urban Setting

A study was conducted of 78 U.S. Geological Survey gaged streams that have been subjected to varying degrees of urbanization over the last three decades. Flood-frequency analysis coupled with nonlinear regression techniques were used to generate a set of equations for converting peak discharge estimates determined from rural regression equations to a set of peak discharge estimates that represent known urbanization. Specifically, urban regression equations for the 2-, 5-, 10-, 25-, 50-, 100-, and 500-year return periods were calibrated as a function of the corresponding rural peak discharge and the percentage of impervious area in a watershed. The results of this study indicate that two sets of equations, one set based on imperviousness and one set based on population density, performed well. Both sets of equations are dependent on rural peak discharges, a measure of development (average percentage of imperviousness or average population density), and a measure of homogeneity of development within a watershed. Average imperviousness was readily determined by using geographic information system methods and commonly available land-cover data. Similarly, average population density was easily determined from census data. Thus, a key advantage to the equations developed in this study is that they do not require field measurements of watershed characteristics as did the U.S. Geological Survey urban equations developed in an earlier investigation. During this study, the U.S. Geological Survey PeakFQ program was used as an integral tool in the calibration of all equations. The scarcity of historical land-use data, however, made exclusive use of flow records necessary for the 30-year period from 1970 to 2000. Such relatively short-duration streamflow time series required a nonstandard treatment of the historical data function of the PeakFQ program in comparison to published guidelines. Thus, the approach used during this investigation does not fully comply with the guidelines set forth in U.S. Geological Survey Bulletin 17B, and modifications may be needed before it can be applied in practice.

Scientific Investigations Report↗

Euramerican tonsteins: Overview, magmatic origin, and depositional-tectonic implications

Carboniferous tonsteins (kaolinized volcanic-ash beds) of wide geographic distribution are known in both Europe and North America. Relict volcanic minerals common in these Euramerican tonsteins are volcanic quartz (including beta-quartz paramorphs), zircon and ilmenite; less common are magnetite, fayalite, rutile, monazite, xenotime, apatite and sanidine. Data for two relatively thick (3-13 cm) and widespread (>400 km) European tonsteins (Erda and Sub-Worsley Four-foot) indicate an increase in detrital quartz near the top of the beds which indicates mixing with normal clastic sediments, including the introduction of heavy detrital minerals (e.g., tourmaline and garnet). These thick tonsteins show multiple horizontal bedding, normal graded bedding, disturbed bedding, and centimeter-scale scour surfaces. The Fire Clay tonstein in North America represents from one to five separate volcanic air-fall ash deposits as determined by normal graded bedding and mineralogical analysis. These features indicate several episodes of volcanic-ash deposition and very localized subsequent erosion and bioturbation. Electron microprobe data from glass inclusions in volcanic quartz in Euramerican tonsteins indicate a rhyolitic origin for these tonsteins and reveal chemical "fingerprints" valuable for intra- and inter-basinal correlations. However, the tectonic framework for European and North American tonsteins was quite different. In Europe, volcanic-ash beds were associated with Variscan collisional tectonics, whereas in North America, volcanic ash was associated with Ouachita tectonic activity, explosive volcanism from the Yucatan block, collision between the South American and North American plates, and the formation of Pangea.

Palaeogeography, Palaeoclimatology, Palaeoecology↗