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At least 1,063 records · Page 59Linked to original sources

Adapting to the reality of climate change at Glacier National Park, Montana, USA

The glaciers of Glacier National Park (GNP) are disappearing rapidly and likely will be gone by 2030. These alpine glaciers have been continuously present for approximately 7,000 years so their loss from GNP in another 25 years underscores the significance of current climate change. There are presently only 27 glaciers remaining of the 150 estimated to have existed when GNP was created in 1910. Mean annual temperature in GNP has increased 1.6°C during the past century, three times the global mean increase. The temperature increase has affected other parts of the mountain ecosystem, too. Snowpacks hold less water equivalent and melt 2+ weeks earlier in the spring. Forest growth rates have increased, alpine treelines have expanded upward and become denser, and subalpine meadows have been invaded by high elevation tree species. These latter responses can be mostly attributed to longer growing seasons and warmer temperatures. Ecosystem modeling of possible future changes in the GNP mountain environments suggest that increased tree growth rates and evapotranspiration will reduce soil moisture and streamflow. The drier forests, with more wood, will burn more frequently and with greater severity, leading to degradation in air quality and increased risk to people and infrastructure. Management of forest fires is an important issue in the arid western United States. In 2003, 13% of GNP’s 4,082 km 2 was burned in three large fires and numerous smaller fires. Managers can accomplish some of their goals, such as preserving threatened wildlife populations, by altering their management of fires. In 2003, intense efforts were successfully made to divert the fires away from valuable grizzly bear ( Ursus arctos horribilis ) habitat that contained huckleberry plants ( Vaccinium spp .) necessary to ensure bear survival through the winter.

Montana↗

Tracking the desert's edge with a Pleistocene relict

In addition to the Sky Islands of the southwestern U.S. and northwestern Mexico, a series of 900–1200 m desert peaks surrounded by arid lowlands support temperate affiliated species at their summits. The presence of disjunct long-lived plant taxa on under-explored desert mountains, especially Isla Tiburón at 29° latitude in the Gulf of California, suggests a more southerly extent of Ice Age woodlands than previously understood. The phylogeography of the desert edge species Canotia holacantha (Celastraceae) was investigated to test the hypothesis that insular desert peak populations represent remnants of Pleistocene woodlands rather than recent dispersal events. Sequences of four chloroplast DNA regions totaling 2032 bp were amplified from 74 individuals of 14 populations across the entire range of C. holacantha as well as nine individuals that represented the other two species in its clade ( C. wendtii and Acanthothamnus aphyllus ) and two outgroups. Results suggest that a Canotia common ancestor occurred on the landscape, which underwent a population contraction ca. 15 kya. The Isla Tiburón C. holacantha population and the Chihuahuan Desert microendemic C. wendtii have the greatest genetic differentiation, are sister to one another, and basal to all other Canotia populations. Three haplotypes within C. holacantha were recovered, which correspond to regional geography and thus identified as the Arizona, Sonora, and Tiburón haplotypes, within which Acanthothamnus aphyllus is nested rather than as a sister genus. These results indicate a once broad distribution of Canotia / Acanthothamnus when the current peripheral desert ecotone habitat was more widespread during the Pleistocene, now present in relict populations on the fringes of the southern desert, in the Chihuahuan Desert, with scattered populations on desert peaks, and a common or abundant distribution at the northern boundary of the Sonoran Desert. These results suggest Canotia has tracked the shift of the desert's edge both in latitude and elevation since the end of the last Ice Age.

Journal of Arid Environments↗

Quantification of eDNA shedding rates from invasive bighead carp Hypophthalmichthys nobilis and silver carp Hypophthalmichthys molitrix

Wildlife managers can more easily mitigate the effects of invasive species if action takes place before a population becomes established. Such early detection requires sensitive survey tools that can detect low numbers of individuals. Due to their high sensitivity, environmental DNA (eDNA) surveys hold promise as an early detection method for aquatic invasive species. Quantification of eDNA amounts may also provide data on species abundance and timing of an organism’s presence, allowing managers to successfully combat the spread of ecologically damaging species. To better understand the link between eDNA and an organism’s presence, it is crucial to know how eDNA is shed into the environment. Our study used quantitative PCR (qPCR) and controlled laboratory experiments to measure the amount of eDNA that two species of invasive bigheaded carps ( Hypophthalmichthys nobilis and Hypophthalmichthys molitrix ) shed into the water. We first measured how much eDNA a single fish sheds and the variability of these measurements. Then, in a series of manipulative lab experiments, we studied how temperature, biomass (grams of fish), and diet affect the shedding rate of eDNA by these fish. We found that eDNA amounts exhibit a positive relationship with fish biomass, and that feeding could increase the amount of eDNA shed by ten-fold, whereas water temperature did not have an effect. Our results demonstrate that quantification of eDNA may be useful for predicting carp density, as well as densities of other rare or invasive species.

Biological Conservation↗

Potential effects of chronic wasting disease and supplemental feeding on elk populations in Wyoming

Introduction In 2023, the U.S. Geological Survey, in collaboration with the U.S. Department of Agriculture Forest Service and the U.S. Fish and Wildlife Service, evaluated the costs and benefits of supplemental elk ( Cervus elaphus canadensis ) feeding in western Wyoming. Elk supplemental feeding is intended to maintain elk populations in the winter and limit elk damage to private property. Supplemental feeding is also used to minimize the transmission of brucellosis ( Brucella abortus ) from elk to cattle. If brucellosis is detected in cattle, the U.S. Department of Agriculture requires that the entire herd be euthanized or placed in quarantine until the herd passes several negative tests for the disease. However, supplemental feeding may enhance the transmission and effects of chronic wasting disease (CWD), which has no treatment or vaccine, is always fatal, and can remain infectious in the environment for many years. Key findings from the U.S. Geological Survey evaluation help assess the costs and benefits of four supplemental elk feeding alternatives and their potential implications for the Greater Yellowstone Ecosystem.

Wyoming↗

Persistent environmental contaminants in fish and wildlife

The publication of Silent Spring (Carson 1962) highlighted the potential for dichlorodiphenyl trichloroethane (DDT) and other pesticides that persist in the environment to accumulate in and to harm fish, wildlife, and the ecosystems upon which they depend. The federal government responded in the mid-1960's by establishing a multi-agency program to monitor the concentrations of pesticides and, later, other long-lived toxic contaminants in all segments of the environment. The U.S. Fish and Wildlife Service (USFWS) participated in this program by periodically measuring contaminant concentrations in freshwater fish and birds (Johnson et al. 1967). Fish were selected for monitoring aquatic ecosystems because of their tendency to accumulate pesticides and other contaminants. The European starling ( Sturnus vulgaris ) was selected for monitoring contaminant levels in terrestrial habitats because of its varied diet and wide geographic distribution. Following a successful pilot study (Heath and Prouty 1967), the wings of hunter-killed ducks were used to monitor contaminants in duck populations of the major flyways, and thereby to also provide an assessment of contaminant levels in wetlands. The USFWS maintained this National Contaminant Biomonitoring Program into the 1980's, with the objective of continuing the documentation of temporal and geographic trends in contaminant concentrations (Prouty and Bunck 1986; Bunck et al. 1987; Schmitt and Brumbaugh 1990; Schmitt et al. 1990).

Book chapter↗

Improvements in the use of aquatic herbicides and establishment of future research directions

Peer-reviewed literature over the past 20 years identifies significant changes and improvements in chemical control strategies used to manage nuisance submersed vegetation. The invasive exotic plants hydrilla (Hydrilla verticillata L.f. Royle) and Eurasian watermilfoil (Myriophyllum spicatum L.) continue to spread and remain the plant species of greatest concern for aquatic resource managers at the national scale. Emerging exotic weeds of regional concern such as egeria (Egeria densa Planch.), curlyleaf pondweed (Potamogeton crispus L.), and hygrophila (Hygrophila polysperma (Roxb.) T. Anders), as well as native plants such as variable watermilfoil (Myriophyllum heterophyllum Michx), and cabomba (Cabomba caroliniana Gray) are invasive outside their home ranges. In addition, there is always the threat of new plant introductions such as African elodea (Lagarosiphon major (Ridley) Moss) or narrow-leaf anacharis (Egeria najas Planchon). The registration of the bleaching herbicide fluridone in the mid 1980s for whole-lake and large-scale management stimulated numerous lines of research involving reduction of use rates, plant selectivity, residue monitoring, and impacts on fisheries. In addition to numerous advances, the specificity of fluridone for a single plant enzyme led to the first documented case of herbicide resistance in aquatic plant management. The resistance of hydrilla to fluridone has stimulated a renewed interest by industry and others in the registration of alternative modes of action for aquatic use. These newer chemistries tend to be enzyme-specific compounds with favorable non-target toxicity profiles. Registration efforts have been facilitated by increased cooperation between key federal government agencies that have aquatic weed control and research responsibilities, and regulators within the U.S. Environmental Protection Agency (USEPA). We reviewed past and current research efforts to identify areas in need of further investigation and to establish priorities for future research directions in chemical management of submersed plants. The priorities we identified include: (A) improving methods for evaluating non-target impacts of herbicides with an emphasis on threatened and endangered species, or species of special concern; (B) improving herbicide performance in flowing-water environments, including irrigation canals; (C) screening and developing new herbicides to supplement fluridone for large-scale or whole-lake management approaches; (D) screening and developing new organic algaecides to supplement the use of copper-based compounds; (E) developing risk assessment tools to educate the public on the risks of invasive species and chemical management options; (F) increasing cooperative research with ecologists and fisheries scientists to evaluate the long-term impacts of invasive species introductions and herbicide programs on native plant assemblages, water quality, and fish populations; and (G) improving the integration of chemical control technology with other aquatic plant management disciplines. While circumstances may dictate setting new priorities or dropping current ones, the list we have generated represents our vision of the needs that will require the greatest focus over the next several years.

Conference Paper↗

Changes in vocal repertoire of the Hawaiian crow, Corvus hawaiiensis,from past wild to current captive populations

For most avian species, social behaviou r is critically important for survival and reproductive success. Many social behaviours in birds are culturally transmitted, and as bird populations decline across the globe, important elements of these behaviours may be lost. The Hawaiian crow or 'alalā, Corvus hawaiiensis , is a socially complex avian species that is currently extinct in the wild. As in other oscine passerines, vocalizations in the 'alalā may be culturally transmitted. We compared the vocal repertoire of three of the last four wild 'alalā pairs from the early 1990s to three current captive pairs on the Island of Hawai'i to determine how acoustic behaviour has been affected by changes in their social and physical environment. Over 18 h of recordings from wild breeding pairs were analysed and compared with 44 h from captive breeding pairs. Calls were placed into five putative behavioural categories: (1) alarm, (2) territorial broadcast, (3) aggression, (4) submission and (5) courtship. There was little difference in the overall number and diversity of call types among wild versus captive birds. However, the repertoire was significantly different. Territorial broadcast calls, common components of the wild repertoire, were absent from the captive repertoire. In addition, wild birds had twice the number of alarm calls and had a higher call rate than captive birds. Our results show how socially learned behaviours may change over relatively short periods for an entire species. Understanding how the vocal repertoire and the functional context of vocalizations change may provide useful information for ongoing efforts to reintroduce the 'alalā into the wild.

Hawai'i↗

Penguin colony georegistration using camera pose estimation and phototourism

Satellite-based remote sensing and uncrewed aerial imagery play increasingly important roles in the mapping of wildlife populations and wildlife habitat, but the availability of imagery has been limited in remote areas. At the same time, ecotourism is a rapidly growing industry and can yield a vast catalog of photographs that could be harnessed for monitoring purposes, but the inherently ad-hoc and unstructured nature of these images make them difficult to use. To help address this, a subfield of computer vision known as phototourism has been developed to leverage a diverse collection of unstructured photographs to reconstruct a georeferenced three-dimensional scene capturing the environment at that location. Here we demonstrate the use of phototourism in an application involving Antarctic penguins, sentinel species whose dynamics are closely tracked as a measure of ecosystem functioning, and introduce a semi-automated pipeline for aligning and registering ground photographs using a digital elevation model (DEM) and satellite imagery. We employ the Segment Anything Model (SAM) for the interactive identification and segmentation of penguin colonies in these photographs. By creating a textured 3D mesh from the DEM and satellite imagery, we estimate camera poses to align ground photographs with the mesh and register the segmented penguin colony area to the mesh, achieving a detailed representation of the colony. Our approach has demonstrated promising performance, though challenges persist due to variations in image quality and the dynamic nature of natural landscapes. Nevertheless, our method offers a straightforward and effective tool for the georegistration of ad-hoc photographs in natural landscapes, with additional applications such as monitoring glacial retreat.

PLoS ONE↗

The influence of global climate change on the scientific foundations and applications of Environmental Toxicology and Chemistry: Introduction to a SETAC international workshop

This is the first of seven papers resulting from a Society of Environmental Toxicology and Chemistry (SETAC) international workshop titled “The Influence of Global Climate Change on the Scientific Foundations and Applications of Environmental Toxicology and Chemistry.” The workshop involved 36 scientists from 11 countries and was designed to answer the following question: How will global climate change influence the environmental impacts of chemicals and other stressors and the way we assess and manage them in the environment? While more detail is found in the complete series of articles, some key consensus points are as follows: (1) human actions (including mitigation of and adaptation to impacts of global climate change [GCC]) may have as much influence on the fate and distribution of chemical contaminants as does GCC, and modeled predictions should be interpreted cautiously; (2) climate change can affect the toxicity of chemicals, but chemicals can also affect how organisms acclimate to climate change; (3) effects of GCC may be slow, variable, and difficult to detect, though some populations and communities of high vulnerability may exhibit responses sooner and more dramatically than others; (4) future approaches to human and ecological risk assessments will need to incorporate multiple stressors and cumulative risks considering the wide spectrum of potential impacts stemming from GCC; and (5) baseline/reference conditions for estimating resource injury and restoration/rehabilitation will continually shift due to GCC and represent significant challenges to practitioners.

Environmental Toxicology and Chemistry↗

Mountain hydrology of the western United States

Climate change and climate variability, population growth, and land use change drive the need for new hydrologic knowledge and understanding. In the mountainous West and other similar areas worldwide, three pressing hydrologic needs stand out: first, to better understand the processes controlling the partitioning of energy and water fluxes within and out from these systems; second, to better understand feedbacks between hydrological fluxes and biogeochemical and ecological processes; and, third, to enhance our physical and empirical understanding with integrated measurement strategies and information systems. We envision an integrative approach to monitoring, modeling, and sensing the mountain environment that will improve understanding and prediction of hydrologic fluxes and processes. Here extensive monitoring of energy fluxes and hydrologic states are needed to supplement existing measurements, which are largely limited to streamflow and snow water equivalent. Ground‐based observing systems must be explicitly designed for integration with remotely sensed data and for scaling up to basins and whole ranges.

Water Resources Research↗

Populations and habitat relationships of Piute ground squirrels in southwest Idaho

Piute ground squirrels (Spermophilus mollis idahoensis) are normally above ground from late January until late June or early July in the Snake River Birds of Prey National Conservation Area in southwestern Idaho. In 2002 they were rarely seen above ground after early May. Because of the ecological importance of ground squirrels for nesting raptors and other species, we sought to determine the reasons for their early disappearance. We sampled 12 sites from January 2003 through March 2003 to determine if a population crash had occurred in 2002. Tests indicated that Piute ground squirrels had not been exposed to plague within the past year. The presence of yearlings in the population indicated that squirrels reproduced in 2002 and that at least some yearlings survived the winter. Both yearling and adult squirrels appeared to be reproducing at or above normal rates in 2003. The most plausible explanation for the early disappearance of Piute ground squirrels in 2002 is that squirrels entered seasonal torpor early in response to a late spring drought. In addition, the breeding chronology of squirrels may have shifted during the past 2 decades in response to climate change and/or habitat alteration. Shrub habitats provide a more favorable and stable environment for squirrels than grass habitats. Squirrel abundance was higher on live-trapping grids with sagebrush than on grids dominated by grass, and squirrel masses were higher at sites dominated by shrubs and Sandberg bluegrass (Poa secunda). Densities in big sagebrush (Artemisia tridentata) were within the ranges reported for earlier years, but densities in grass were lower than previously reported. Low densities at grassland sites in 2003 support other findings that drought affects squirrels in altered grass communities more than those in native shrub habitats. Long-term shifts in ground squirrel breeding chronology may have implications for raptors that depend on them for food.

Western North American Naturalist↗

Characterization of the habitat of Lythrum salicaria L. in floodplain forests in western Turkey—Effects on stem height and seed production

Lythrum salicaria (purple loosestrife) is an invasive wetland perennial in North America native to Eurasia. Because light environment may limit the species’ distribution, information on the relationship of forest canopy coverage to relative height and seed set in its native environment could give insight into its control in North America. This study examined the effect of various light environments related to forest canopy structure on seed set and stem height in L. salicaria in three biogeographical regions of Turkey spanning latitudes from 36 to 39° N. In Turkey, Lythrum salicaria grows in discrete patches in the canopy gaps of riverine forests, which often are dominated by Populus alba . The mean number of seeds per individual and stem height increased with decreasing canopy coverage (10437±284 to 20652±664 seeds individual −1 and 116±2 to 173±2 cm, respectively). A number of insect seed herbivores were noted on these Turkish populations, most notably a seed predator ( Nanophyes marmoratus ), which destroyed all seeds in infested capsules. Our study suggested that the light characteristics associated with canopy gaps influenced the seed set and height of L. salicaria . Other factors likely played a role, such as insect herbivores, soil fertility, and competition with other species, which may also be affected by the light levels provided at various levels of canopy coverage.

Wetlands↗

Influence of hydrology on life-history parameters of common freshwater fishes from southern Florida

Fishes are essential to the successful functioning of wetland food webs in southern Florida through their roles as prey and predators. Any changes that reduce the population sizes, community composition, or availability of aquatic animals will affect all facets of the ecology of these wetlands. In particular, small and medium-size fishes are important food items for most wading bird species. For this reason, fishes have been recognized by the multi-agency groups responsible for guiding the Everglades restoration process as a key indicator group by which to measure restoration success. Despite the importance of fish for management, gaps in baseline knowledge remain. Basic demographic information, termed life-history parameters, is needed to make predictions about their resilience under alternative management scenarios. These parameters include growth rate, age at maturation, fecundity and life expectancy. However, basic life-history parameters remain to be characterized, even for abundant fish species. Adding to the challenge, life-history characteristics of important Everglades species are known to be plastic in response to environmental conditions and survivorship and recruitment schedules are certain to be influenced by variation in hydroperiod. We intend to study the effect of hydroperiod on recruitment, size/age structure, growth, and fecundity, which, in turn, determine fish population dynamics. At present, data on fish reproduction, age and growth, and other life history characteristics are confined to a few species from a limited area of long-hydroperiod marsh in central Shark River Slough. As we continue the analysis and synthesis of data from the long-term fish collections, life-history information will help explain patterns of fluctuations in the time series. Accurate life-history data are also very important in building credible simulation models like ATLSS. Without empirical life-history data from a range of environments, the model will be simplistic and inadequate.

Florida↗

Synergy of agroforestry and bottomland hardwood afforestation

Afforestation of bottomland hardwood forests has historically emphasized planting heavy-seeded tree species such as oak (Quercus spp.) and pecan (Caryaillinoensis) with little or no silvicultural management during stand development. Slow growth of these tree species, herbivory, competing vegetation, and limited seed dispersal, often result in restored sites that are slow to develop vertical vegetation structure and have limited tree diversity. Where soils and hydrology permit, agroforestry can provide transitional management that mitigates these historical limitations on converting cropland to forests. Planting short-rotation woody crops and intercropping using wide alleyways are two agroforestry practices that are well suited for transitional management. Weed control associated with agroforestry systems benefits planted trees by reducing competition. The resultant decrease in herbaceous cover suppresses small mammal populations and associated herbivory of trees and seeds. As a result, rapid vertical growth is possible that can 'train' under-planted, slower-growing, species and provide favorable environmental conditions for naturally invading trees. Finally, annual cropping of alleyways or rotational pulpwood harvest of woody crops provides income more rapidly than reliance on future revenue from traditional silviculture. Because of increased forest diversity, enhanced growth and development, and improved economic returns, we believe that using agroforestry as a transitional management strategy during afforestation provides greater benefits to landowners and to the environment than does traditional bottomland hardwood afforestation.

Book chapter↗

Causal networks to inform decisions for ecological restoration

The release of contaminants into the environment can occur from anthropogenic activities, such as oil extraction and transportation, mining, and industrial processes. Remediation associated with reducing contaminant concentrations, and restoration that improves animals and supporting habitat, are often needed to restore ecosystems to their pre-release, baseline condition. We demonstrated the application of Bayesian Decision Networks (BDNs) with two Natural Resource Damage Assessment and Restoration (NRDAR) case studies. We use a stylized case study of riparian restoration following the remediation of a mine-impacted site to evaluate proposed restoration actions aimed at restoring Song Sparrow ( Melospiza melodia ) populations to baseline conditions. We then use a settled NRDAR case with implemented restoration in the Upper Arkansas River (UAR, Colorado, USA) to demonstrate the application of BDNs to evaluate and forecast restoration effectiveness for Brown Trout ( Salmo trutta ) (i.e., restoration effectiveness assessment). The riparian restoration model showed differences in the effects of restoration actions on Song Sparrow populations, with the time to reach baseline generally reduced with increased restoration costs, indicating trade-offs between costs and expected recovery. The UAR model showed recovery of Brown Trout populations (i.e., uplift) in response to improved instream habitat restoration, along with forecasted improvements. While the BDNs we developed were specific to two case studies, the structure is adaptable to a diversity of sites, resources, and actions. We suggest that causal network modeling can provide restoration practitioners with a decision advisory tool useful for a wide range of projects.

Environmental Management↗

Fluoride occurrence in United States groundwater

Data from 38,105 wells were used to characterize fluoride (F) occurrence in untreated United States (U.S.) groundwater. For domestic wells (n = 11,032), water from which is generally not purposely fluoridated or monitored for quality, 10.9% of the samples have F concentrations >0.7 mg/L (U.S. Public Health Service recommended optimal F concentration in drinking water for preventing tooth decay) (87% are <0.7 mg/L); 2.6% have F > 2 mg/L (EPA Secondary Maximum Contaminant Level, SMCL); and 0.6% have F > 4 mg/L (EPA MCL). The data indicate the biggest concern with F in domestic wells at the national scale could be one of under consumption of F with respect to the oral-health benchmark (0.7 mg/L). Elevated F concentrations relative to the SMCL and MCL are regionally important, particularly in the western U.S. Statistical comparisons of potentially important controlling factors in four F-concentration categories (<0.1–0.7 mg/L; >0.7–2 mg/L; >2–4 mg/L; >4 mg/L) at the national scale indicate the highest F-concentration category is associated with groundwater that has significantly greater pH values, TDS and alkalinity concentrations, and well depths, and lower Ca/Na ratios and mean annual precipitation, than the lowest F-concentration category. The relative importance of the controlling factors appears to be regionally variable. Three case studies illustrate the spatial variability in controlling factors using groundwater-age (groundwater residence time), water-isotope (evaporative concentration), and water-temperature (geothermal processes) data. Populations potentially served by domestic wells with F concentrations <0.7, >0.7, >2, and >4 mg/L are estimated to be ~28,200,000, ~3,110,000; ~522,000; and ~172,000 people, respectively, in 40 principal aquifers with at least 25 F analyses per aquifer.

Science of the Total Environment↗

Escherichia coli monitoring and assessment in 2022 and 2023 after beach restoration at Lake St. Clair Metropark Beach, Macomb County, Michigan

Lake St. Clair Metropark Beach in Michigan has a history of closures because of elevated Escherichia coli ( E. coli ) concentrations in its recreational waters. To reduce closures, restoration projects were implemented in 2021 to deter waterfowl from congregating on the beach. In this study, the U.S. Geological Survey, in cooperation with the Michigan Department of the Environment, Great Lakes, and Energy and in collaboration with Huron-Clinton Metroparks and the Macomb County Health Department, monitored E. coli from 2022–23 in surface water, shallow groundwater, and sediment at Lake St. Clair Metropark Beach. Results were compared to data from a prerestoration (2018–19) study. A significant decrease in daily geometric mean E. coli concentrations in surface water was observed postrestoration, but the number of high concentration events increased. This resulted in more frequent beach closures postrestoration. Surface-sediment E. coli concentrations significantly decreased after restoration, and waterfowl populations generally decreased from 2021 to 2023, suggesting that the deterrence measures could be influencing E. coli concentrations in surface sediments and surface water. Groundwater E. coli concentrations were orders of magnitude higher than those in surface water and revealed no change correlated with restoration. Seepage measurements indicated that groundwater occasionally discharges into surface water, potentially providing a transport mechanism for E. coli to reach the lake. Continued monitoring and consideration of environmental factors could help to better understand the beach system.

Michigan↗

Occurrence and distribution of microbiological contamination and enteric viruses in shallow ground water in Baltimore and Harford counties, Maryland

The U.S. Geological Survey, in cooperation with the Maryland Department of the Environment and the Wisconsin State Laboratory of Hygiene, conducted a study to characterize the occurrence and distribution of viral contamination in small (withdrawing less than 10,000 gallons per day) public water-supply wells screened in the shallow aquifer in the Piedmont Physiographic Province in Baltimore and Harford Counties, Maryland. Two hundred sixty-three small public water-supply wells were in operation in these counties during the spring of 2000. Ninety-one of these sites were selected for sampling using a methodology that distributed the samples evenly over the population and the spatial extent of the study area. Each site, and its potential susceptibility to microbiological contamination, was evaluated with regard to hole depth, casing interval, and open interval. Each site was evaluated using characteristics such as on-site geology and on-site land use.Samples were collected by pumping between 200 and 400 gallons of untreated well water through an electropositive cartridge filter. Water concentrates were subjected to cell-culture assay for the detection of culturable viruses and reverse-transcription polymerase chain reaction/gene probe assays to detect viral ribonucleic acid; grab samples were analyzed for somatic and male-specific coliphages, Bacteroides fragilis, Clostridium perfringens, enterococci, Escherichia coli, total coliforms, total oxidized nitrogen, nitrite, organic nitrogen, total phosphate, ortho-phosphate, calcium, magnesium, sodium, potas-sium, chloride, sulfate, iron, acid-neutralizing capacity, pH, specific conductance, temperature, and dissolved oxygen.One sample tested positive for the presence of the ribonucleic acid of rotavirus through poly-merase chain-reaction analysis. Twenty-nine per-cent of the samples (26 of 90) had bacterial con-tamination. About 7 percent of the samples (6 of 90) were contaminated with either male-specific coliphage, somatic coliphage, or bacteriophages of Bacteroides fragilis. About 3 percent of the sam-ples (3 of 87) had oxidized nitrogen concentra-tions that exceeded the U.S. Environmental Protection Agency?s Maximum Contaminant Level of 10.0 milligrams per liter. A statistical analysis showed that no significant relation exists between the presence of bacteria or coliphage and all variables, except the mean temperature of the water sample as measured in the field. Additionally, the concentration of total coliform bacteria had a statistically significant, moderately strong cor-relation with the concentration of sulfate and sample pH as measured at the U.S. Geological Survey National Water-Quality Laboratory in Denver, Colorado.

Water-Resources Investigations Report↗