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On-demand global Landsat evapotranspiration product: Development, evaluation, and dissemination

Global actual evapotranspiration (ET) is one of the essential climate variables needed to understand and manage the relationships among food, energy, and water resources. The U.S. Geological Survey Earth Resources Observation and Science (EROS) Center launched a provisional ET product in 2020, offering on-demand, field-scale global coverage derived from Landsat data through the EROS Science Processing Architecture (ESPA) platform. The ESPA interface provides ET data for cloud-free Landsat overpasses starting in 1982 with Landsat 4 through the current Landsat 9. The ET data are delivered as a Provisional Level-3 Science product created using the Operational Simplified Surface Energy Balance (SSEBop) model. Landsat surface temperature and reference ET are the main model drivers along with vegetation index and net radiation for model parameterization. A large volume of Landsat-based ET orders (e.g., over 1,200,000 images from June 2020 through December 2025) around the world indicate increasing awareness and application of the ET data. The ESPA platform enables land and water resource managers and researchers to access a first-order ET product without requiring advanced knowledge of remote sensing technology or evapotranspiration modeling. We present the methodology and workflow of the on-demand Landsat ET product and its performance evaluations over diverse hydro-climatic settings. The product can help estimate field-scale consumptive water use and thus quickly and consistently assess historical water use, allocation, and budget to inform water management under changing environments. Future ET data aggregated to monthly and seasonal time scales are expected to enhance integration with decision-making tools and procedures.

Remote Sensing of Environment

Hydrologic connectivity in floodplain systems: A multiscale review of concepts, metrics and management

Hydrologic connectivity (HC), particularly in floodplain systems, is pivotal in regulating ecosystem services by facilitating the movement of nutrients, sediments, chemicals, and biota. However, human interventions such as dam construction, levee installation, water management practices, and alterations in vegetation have significantly disrupted natural HC patterns globally. To provide a structured entry into the growing body of HC research, we conducted a systematic literature review of 1920 studies, analysing diverse definitions, influencing factors, quantification approaches, spatial and temporal scales, and management strategies. In addition to traditional review methods, our approach integrates keyword and cluster analysis to elucidate dominant research themes and trends across the literature. Our review reveals that the literature is heavily skewed towards research in North America and Europe (accounting for 72% of studies) and predominantly utilises field investigations, simulation modelling, and remote sensing integrated with geographic information systems. Although these methodologies have advanced our understanding, most studies focus on restricted spatial scales such as individual hillslopes, catchments, or stream networks and short temporal intervals, including single precipitation events or seasonal cycles. A narrow focus becomes a limitation when such studies do not contribute to broader efforts aimed at scaling insights across larger domains. These limitations highlight the potential benefits of innovative conceptual frameworks and quantification methods to better capture HC across broader environments and extended temporal scales. We conclude by discussing challenges in defining and quantifying floodplain HC and outlining potential future research directions to advance connectivity science and management, particularly in floodplain systems characterised by frequent hydrologic fluctuations, such as seasonal inundation and changing flow paths.

Hydrological Processes

Cheatgrass percent cover change: Comparing recent estimates to climate change − Driven predictions in the Northern Great Basin

Cheatgrass ( Bromus tectorum L.) is a highly invasive species in the Northern Great Basin that helps decrease fire return intervals. Fire fragments the shrub steppe and reduces its capacity to provide forage for livestock and wildlife and habitat critical to sagebrush obligates. Of particular interest is the greater sage grouse ( Centrocercus urophasianus ), an obligate whose populations have declined so severely due, in part, to increases in cheatgrass and fires that it was considered for inclusion as an endangered species. Remote sensing technologies and satellite archives help scientists monitor terrestrial vegetation globally, including cheatgrass in the Northern Great Basin. Along with geospatial analysis and advanced spatial modeling, these data and technologies can identify areas susceptible to increased cheatgrass cover and compare these with greater sage grouse priority areas for conservation (PAC). Future climate models forecast a warmer and wetter climate for the Northern Great Basin, which likely will force changing cheatgrass dynamics. Therefore, we examine potential climate-caused changes to cheatgrass. Our results indicate that future cheatgrass percent cover will remain stable over more than 80% of the study area when compared with recent estimates, and higher overall cheatgrass cover will occur with slightly more spatial variability. The land area projected to increase or decrease in cheatgrass cover equals 18% and 1%, respectively, making an increase in fire disturbances in greater sage grouse habitat likely. Relative susceptibility measures, created by integrating cheatgrass percent cover and temporal standard deviation datasets, show that potential increases in future cheatgrass cover match future projections. This discovery indicates that some greater sage grouse PACs for conservation could be at heightened risk of fire disturbance. Multiple factors will affect future cheatgrass cover including changes in precipitation timing and totals and increases in freeze-thaw cycles. Understanding these effects can help direct land management, guide scientific research, and influence policy.

Idaho, Montana, Nevada, Oregon, Utah, Washington,

Volcano and earthquake monitoring plan for the Yellowstone Caldera system, 2022–2032

Executive Summary The Yellowstone Volcano Observatory (YVO) is a consortium of nine Federal, State, and academic agencies that: (1) provides timely monitoring and hazards assessment of volcanic, hydrothermal, and earthquake activity in and around Yellowstone National Park, and (2) conducts research to develop new approaches to volcano monitoring and better understand volcanic activity in the Yellowstone region and elsewhere. The U.S. Geological Survey (USGS) arm of YVO is also responsible for monitoring and reporting on volcanic activity in the Intermountain West of the United States. The previous YVO monitoring plan for the Yellowstone region spanned 2006–2015 and focused on strengthening the region-wide coverage, or backbone, of monitoring systems (Yellowstone Volcano Observatory, 2006). The goals of that plan have largely been achieved thanks to significant investments in instrumentation and infrastructure, especially by the National Science Foundation EarthScope Plate Boundary Observatory (now known as the Network Of The Americas, or NOTA) and the American Reinvestment and Recovery Act. This revision of the monitoring plan, covering 2022–2032, builds upon these improvements to monitoring systems in the Yellowstone region while also accounting for new insights into the dynamics of the area’s seismic, volcanic, and hydrothermal activity. These additional improvements are designed to fill gaps in the monitoring network and to better understand and track hazards associated with hydrothermal processes. These improvements include: Conversion of remaining analog seismic stations to digital, Addition of Global Positioning System (GPS) stations in the vicinity of Norris Geyser Basin and other areas where changes in deformation rate and style have been observed, Implementation of continuous gas monitoring in several areas of Yellowstone National Park, and Improvements to lake, meteorological, and hydrological monitoring to better track hydrothermal activity, including that occurring on lake bottoms, and to aid in understanding of whether such activity might be influenced by external forces, like environmental conditions. The 2022–2032 monitoring plan for the Yellowstone volcanic system also proposes to improve monitoring of hydrothermal areas to better understand these dynamic systems and their associated hazards. To date, only a single seismometer has been placed within one of Yellowstone National Park’s geyser basins because seismic noise associated with boiling water can hinder interpretation of overall seismic and magmatic activity, but this concern has been mitigated by improvements to backbone monitoring. Deployment of geophysical, geochemical, hydrological, and geological monitoring instruments in geyser basins will be accompanied by campaigns to measure gas and water chemistry and flux, as well as aerial and satellite surveys of gas and thermal emissions. Close collaboration between YVO member institutions and other research agencies is needed to achieve these monitoring goals and to use the derived data to advance understanding of how Yellowstone Caldera and similar volcanic systems work. At the same time, attention must be paid to minimize the impact of monitoring efforts and infrastructure on the environment. YVO thus commits to serving as stewards of the natural, cultural, and historical resources in and around Yellowstone National Park while maximizing scientific gain for the betterment of society.

Wyoming

Integration of coral reef ecosystem process studies and remote sensing

Worldwide, local-scale anthropogenic stress combined with global climate change is driving shifts in the state of reef benthic communities from coral-rich to micro- or macroalgal-dominated (Knowlton, 1992; Done, 1999). Such phase shifts in reef benthic communities may be either abrupt or gradual, and case studies from diverse ocean basins demonstrate that recovery, while uncertain (Hughes, 1994), typically involves progression through successional stages (Done, 1992). These transitions in benthic community structure involve changes in community metabolism, and accordingly, the holistic evaluation of associated biogeochemical variables is of great intrinsic value (Done, 1992). Effective reef management requires advance prediction of coral reef alteration in the face of anthropogenic stress and change in the global environment (Hatcher, 1997a). In practice, this goal requires techniques that can rapidly discern, at an early stage, sublethal effects that may cause long-term increases in mortality (brown, 1988; Grigg and Dollar, 1990). Such methods would improve our understanding of the differences in the population, community, and ecosystem structure, as well as function, between pristine and degraded reefs. This knowledge base could then support scientifically based management strategies (Done, 1992). Brown (1988) noted the general lack of rigor in the assessment of stress on coral reefs and suggested that more quantitative approaches than currently exist are needed to allow objective understanding of coral reef dynamics. Sensitive techniques for the timely appraisal of pollution effects or generalized endemic stress in coral reefs are sorely lacking (Grigg and Dollar, 1990; Wilkinsin, 1992). Moreover, monitoring methods based on population inventories, sclerochronology, or reproductive biology tend to myopic and may give inconsistent results. Ideally, an improved means of evaluating reef stress would discriminate mortality due to natural causes from morality to anthropogenic causes (Brown, 1988). Models of coral reef ecosystems, parameterized by process measurements and scaled in time-space using remote sensing, have the potential to address pressing research questions that are central to devising valid management strategies (Grigg el al., 1984; Hatcher, 1997b). To attain this goal, ecosystem-level models that integrate studies of physical and chemical forcing with observed biological and geological responses are required. This interdisciplinary approach to understanding reef biogeochemical dynamics can allow investigations that integrate the scales of time and space (Hatcher, 1997a), thereby enabling prediction of coral reef change (Andréfouët and Payri, 2001). In turn, prediction of holistic ecosystem function within various environmental focusing scenarios has substantial promise in mitigating future disturbance. Indeed, management of coral reefs at the ecosystem level has been suggested as the only meaningful approach to preserving coral reefs (Bohnsack and Ault, 1996; Christensen et al., 1996).

Florida

Sociocultural and institutional drivers and constraints to mineral supply; the meaning of scarcity in the 21st century: drivers and constraints to the supply of minerals using regional, national and global perspectives

The sociocultural dimensions of mineral supply at the outset of the 21st century are making the supply process increasingly complex. The dimensions encompass legal, financial, environmental, cultural, and global implications of mining, and are driving unprecedented change in the way minerals supply will be accomplished in the future. Minerals scarcity on a global scale is subordinate to other societal issues about mineral resources and reserves estimated to meet society's demands for decades to centuries in the future. This report reviews historical and present-day sociocultural drivers of change, and reactions of the minerals industry to these drivers. It is reflective primarily of conditions in the United States, but also uses examples from other countries. It expresses viewpoints on sociocultural drivers as seen by constituents of the minerals industry and several other communities of interest including Aboriginal peoples, non-government organizations; labor; mining-dependent communities; mining-affected communities; researchers; and government (federal, state/provincial, and local). It provides overviews of the demand for minerals in the United States, and the status of land available for mining. The report uses a case study of a metals mining project in Wisconsin to illustrate specific sociocultural drivers and constraints to minerals supply, and how these influence the minerals industry. Over the past 150 years, a progression of sociocultural movements under the headings of conservationism, environmentalism, and sustainable development have nurtured societal values that have come to influence the mineral supply process in important ways. These movements reflect a continuing tension between the demand for minerals and other resources, and the simultaneous demand for aesthetic, spiritual, ecological, cultural, and other attributes of the land. The tension is an important element in current international debates about the meaning and future of sustainable development. This report focuses on some of the social challenges to the minerals industry to supply minerals, while at the same time providing environmental protection, economic growth, and sociocultural acceptance. All these issues fall under the rubric of sustainable development. It also describes current industry responses to sustainability, including the Global Mining Initiative (2001a), an attempt to introduce major changes in global industry practices to begin the 21st century. This report complements other documents in the series on physical supply, technological advancement, and economic and policy drivers (Wilburn and others, 2001).

Open-File Report

Influence of offshore oil and gas structures on seascape ecological connectivity

Offshore platforms, subsea pipelines, wells and related fixed structures supporting the oil and gas (O&G) industry are prevalent in oceans across the globe, with many approaching the end of their operational life and requiring decommissioning. Although structures can possess high ecological diversity and productivity, information on how they interact with broader ecological processes remains unclear. Here, we review the current state of knowledge on the role of O&G infrastructure in maintaining, altering or enhancing ecological connectivity with natural marine habitats. There is a paucity of studies on the subject with only 33 papers specifically targeting connectivity and O&G structures, although other studies provide important related information. Evidence for O&G structures facilitating vertical and horizontal seascape connectivity exists for larvae and mobile adult invertebrates, fish and megafauna; including threatened and commercially important species. The degree to which these structures represent a beneficial or detrimental net impact remains unclear, is complex and ultimately needs more research to determine the extent to which natural connectivity networks are conserved, enhanced or disrupted. We discuss the potential impacts of different decommissioning approaches on seascape connectivity and identify, through expert elicitation, critical knowledge gaps that, if addressed, may further inform decision making for the life cycle of O&G infrastructure, with relevance for other industries (e.g. renewables). The most highly ranked critical knowledge gap was a need to understand how O&G structures modify and influence the movement patterns of mobile species and dispersal stages of sessile marine species. Understanding how different decommissioning options affect species survival and movement was also highly ranked, as was understanding the extent to which O&G structures contribute to extending species distributions by providing rest stops, foraging habitat, and stepping stones. These questions could be addressed with further dedicated studies of animal movement in relation to structures using telemetry, molecular techniques and movement models. Our review and these priority questions provide a roadmap for advancing research needed to support evidence-based decision making for decommissioning O&G infrastructure.

Global Change Biology

A review and synthesis of post-wildfire shifts in hydrologic processes and streamflow generation mechanisms

Critical water supply watersheds in the western United States (WUS) are impacted by wildfires, with potential negative effects on water quality and quantity. Scientific understanding is currently insufficient to deliver estimates of wildfire consequences for water quantity that are regionally accurate. Regional variability in the directionality and magnitude of post-wildfire shifts in streamflow generation fuels uncertainty in estimates of wildfire effects on water supply. In this work we provide a narrative review of wildfire effects on hydrologic processes and the resulting changes in streamflow generation mechanisms with a focus on the WUS, incorporating other global regions when pertinent. A conceptual model summary of wildfire effects on streamflow generation emphasizes: (1) precipitation seasonality, (2) synchrony of precipitation and potential evapotranspiration, (3) net shifts in interception, evaporation, and transpiration relative to total annual precipitation, (4) vegetation changes, including compensatory uptake and type conversion, (5) degree of overlap in rainfall rates and infiltration, (6) fire extent and severity, (7) burn scar positioning (e.g. in headwaters or proximal to watershed outlet), (8) scale-dependent groundwater leakage, (9) near-surface water storage reduction, and (10) soil to groundwater connectivity. Ongoing gaps and challenges include separating the influences of precipitation variability, water withdrawals, and post-fire land management; compound and overlapping disturbances; and lack of pre-fire data. Notable future opportunities include: harnessing ever-improving gridded and remotely sensed precipitation and fire-effects data; linking geophysical, isotopic tracer, and geochemical signatures to diagnose hydrologic changes; leveraging physically based and data-driven model advancements; and analyzing streamflow generation recovery trajectories across diverse watersheds.

western United States

A synthesis of patterns of environmental mercury inputs, exposure and effects in New York State

Mercury (Hg) pollution is an environmental problem that adversely affects human and ecosystem health at local, regional, and global scales—including within New York State. More than two-thirds of the Hg currently released to the environment originates, either directly or indirectly, from human activities. Since the early 1800s, global atmospheric Hg concentrations have increased by three- to eight-fold over natural levels. In the U.S., atmospheric emissions and point-source releases to waterways increased following industrialization into the mid-1980s. Since then, water discharges have largely been curtailed. As a result, Hg emissions, atmospheric concentrations, and deposition over the past few decades have declined across the eastern U.S. Despite these decreases, Hg pollution persists. To inform policy efforts and to advance public understanding, the New York State Energy Research and Development Authority (NYSERDA) sponsored a scientific synthesis of information on Hg in New York State. This effort includes 23 papers focused on Hg in atmospheric deposition, water, fish, and wildlife published in Ecotoxicology . New York State experiences Hg contamination largely due to atmospheric deposition. Some landscapes are inherently sensitive to Hg inputs driven by the transport of inorganic Hg to zones of methylation, the conversion of inorganic Hg to methylmercury, and the bioaccumulation and biomagnification along food webs. Mercury concentrations exceed human and ecological risk thresholds in many areas of New York State, particularly the Adirondacks, Catskills, and parts of Long Island. Mercury concentrations in some biota have declined in the Eastern Great Lakes Lowlands and the Northeastern Highlands over the last four decades, concurrent with decreases in water releases and air emissions from regional and U.S. sources. However, widespread changes have not occurred in other ecoregions of New York State. While the timing and magnitude of the response of Hg levels in biota varies, policies expected to further diminish Hg emissions should continue to decrease Hg concentrations in food webs, yielding benefits to the fish, wildlife, and people of New York State. Anticipated improvements in the Hg status of aquatic ecosystems are likely to be greatest for inland surface waters and should be roughly proportional to declines in atmospheric Hg deposition. Efforts that advance recovery from Hg pollution in recent years have yielded significant progress, but Hg remains a pollutant of concern. Indeed, due to this extensive compilation of Hg observations in biota, it appears that the extent and intensity of the contamination on the New York landscape and waterscape is greater than previously recognized. Understanding the extent of Hg contamination and recovery following decreases in atmospheric Hg deposition will require further study, underscoring the need to continue existing monitoring efforts.

New York

Wetlands in intermittently closed estuaries can build elevations to keep pace with sea-level rise

Sea-level rise is a threat to coastal ecosystems, which have important conservation and economic value. While marsh response to sea-level rise has been well characterized for perennially open estuaries, bar-built intermittently-closed estuaries and their sea-level rise response are seldom addressed in the literature – despite being common globally. We seek to advance the conceptual understanding of sea-level rise response of marshes by incorporating the unique nature of intermittently-closed estuaries in a marsh model. We hypothesize that intermittently-closed-estuary marshes may be more resilient to sea-level rise than open-estuary marshes due to greater initial elevation capital and higher accretion rates due to closure events. Using California, USA as a case study, spatial analysis shows that marshes in intermittently-closed-estuaries had significantly greater elevations (x̄ = 1.93 m ± 0.2 standard error, n = 14) than marshes in permanently open estuaries (x̄ = 0.94 m ± 0.1 standard error, n = 8; P = 0.003). We then used a process-based model to determine marsh elevation change under 840 simulated responses to sea-level rise to 2100. Our modeling shows that regular annual mouth closure can promote accretion rates and increase marsh elevations fast enough to match even high rates of sea-level rise, as fluvial sediment pulses can be captured in the estuary. Modeled suspended sediment concentration had the strongest effect on accretion, followed by probability of annual mouth closure. Intermittently closed estuaries are critical environments where marshes may be sustained under high rates of sea-level rise, thus reducing the anticipated global loss of these important ecosystems. Our results begin to fill an important gap in the knowledge about marsh accretion and identify research needs to inform coastal management.

Estuarine, Coastal and Shelf Science

Annual flood sensitivities to El Niño-Southern Oscillation at the global scale

Floods are amongst the most dangerous natural hazards in terms of economic damage. Whilst a growing number of studies have examined how river floods are influenced by climate change, the role of natural modes of interannual climate variability remains poorly understood. We present the first global assessment of the influence of El Niño–Southern Oscillation (ENSO) on annual river floods, defined here as the peak daily discharge in a given year. The analysis was carried out by simulating daily gridded discharges using the WaterGAP model (Water – a Global Assessment and Prognosis), and examining statistical relationships between these discharges and ENSO indices. We found that, over the period 1958–2000, ENSO exerted a significant influence on annual floods in river basins covering over a third of the world's land surface, and that its influence on annual floods has been much greater than its influence on average flows. We show that there are more areas in which annual floods intensify with La Niña and decline with El Niño than vice versa. However, we also found that in many regions the strength of the relationships between ENSO and annual floods have been non-stationary, with either strengthening or weakening trends during the study period. We discuss the implications of these findings for science and management. Given the strong relationships between ENSO and annual floods, we suggest that more research is needed to assess relationships between ENSO and flood impacts (e.g. loss of lives or economic damage). Moreover, we suggest that in those regions where useful relationships exist, this information could be combined with ongoing advances in ENSO prediction research, in order to provide year-to-year probabilistic flood risk forecasts.

Hydrology and Earth System Sciences

Organizing environmental flow frameworks to meet hydropower mitigation needs

The global recognition of the importance of natural flow regimes to sustain the ecological integrity of river systems has led to increased societal pressure on the hydropower industry to change plant operations to improve downstream aquatic ecosystems. However, a complete reinstatement of natural flow regimes is often unrealistic when balancing water needs for ecosystems, energy production, and other human uses. Thus, stakeholders must identify a prioritized subset of flow prescriptions that meet ecological objectives in light of realistic constraints. Yet, isolating aspects of flow regimes to restore downstream of hydropower facilities is among the greatest challenges of environmental flow science due, in part, to the sheer volume of available environmental flow tools in conjunction with complex negotiation-based regulatory procedures. Herein, we propose an organizational framework that structures information and existing flow paradigms into a staged process that assists stakeholders in implementing environmental flows for hydropower facilities. The framework identifies areas where regulations fall short of the needed scientific process, and provide suggestions for stakeholders to ameliorate those situations through advanced preparation. We highlight the strengths of existing flow paradigms in their application to hydropower settings and suggest when and where tools are most applicable. Our suggested framework increases the effectiveness and efficiency of the e-flow implementation process by rapidly establishing a knowledge base and decreasing uncertainty so more time can be devoted to filling knowledge gaps. Lastly, the framework provides the structure for a coordinated research agenda to further the science of environmental flows related to hydropower environments.

Environmental Management

Is the extent of glaciation limited by marine gas-hydrates?

Methane may have been released to the atmosphere during the Quaternary from Arctic shelf gas-hydrates as a result of thermal decomposition caused by climatic warming and rising sea-level; this release of methane (a greenhouse gas) may represent a positive feedback on global warming [Revelle, 1983; Kvenvolden, 1988a; Nisbet, 1990]. We consider the response to sea-level changes by the immense amount of gas-hydrate that exists in continental rise sediments, and suggest that the reverse situation may apply—that release of methane trapped in the deep-sea sediments as gas-hydrates may provide a negative feedback to advancing glaciation. Methane is likely to be released from deep-sea gas-hydrates as sea-level falls because methane gas-hydrates decompose with pressure decrease. Methane would be released to sediment pore space at shallow sub-bottom depths (100's of meters beneath the seafloor, commonly at water depths of 500 to 4,000 m) producing zones of markedly decreased sediment strength, leading to slumping [Carpenter, 1981; Kayen, 1988] and abrupt release of the gas. Methane is likely to be released to the atmosphere in spikes that become larger and more frequent as glaciation progresses. Because addition of methane to the atmosphere warms the planet, this process provides a negative feedback to glaciation, and could trigger deglaciation.

Geophysical Research Letters

A haploid pseudo-chromosome genome assembly for a keystone sagebrush species of western North American rangelands

Increased ecological disturbances, species invasions, and climate change are creating severe conservation problems for several plant species that are widespread and foundational. Understanding the genetic diversity of these species and how it relates to adaptation to these stressors are necessary for guiding conservation and restoration efforts. This need is particularly acute for big sagebrush ( Artemisia tridentata ; Asteraceae), which was once the dominant shrub over 1,000,000 km 2 in western North America but has since retracted by half and thus has become the target of one of the largest restoration seeding efforts globally. Here, we present the first reference-quality genome assembly for an ecologically important subspecies of big sagebrush ( A. tridentata subsp. tridentata ) based on short and long reads, as well as chromatin proximity ligation data analyzed using the HiRise pipeline. The final 4.2-Gb assembly consists of 5,492 scaffolds, with nine pseudo-chromosomal scaffolds (nine scaffolds comprising at least 90% of the assembled genome; n = 9). The assembly contains an estimated 43,377 genes based on ab initio gene discovery and transcriptional data analyzed using the MAKER pipeline, with 91.37% of BUSCOs being completely assembled. The final assembly was highly repetitive, with repeat elements comprising 77.99% of the genome, making the Artemisia tridentata subsp. tridentata genome one of the most highly repetitive plant genomes to be sequenced and assembled. This genome assembly advances studies on plant adaptation to drought and heat stress and provides a valuable tool for future genomic research.

Arizona, California, Colorado, Idaho, Montana, Neb

Reconciling carbon-cycle concepts, terminology, and methods

Recent projections of climatic change have focused a great deal of scientific and public attention on patterns of carbon (C) cycling as well as its controls, particularly the factors that determine whether an ecosystem is a net source or sink of atmospheric carbon dioxide (CO 2 ). Net ecosystem production (NEP), a central concept in C-cycling research, has been used by scientists to represent two different concepts. We propose that NEP be restricted to just one of its two original definitions—the imbalance between gross primary production (GPP) and ecosystem respiration (ER). We further propose that a new term—net ecosystem carbon balance (NECB)—be applied to the net rate of C accumulation in (or loss from [negative sign]) ecosystems. Net ecosystem carbon balance differs from NEP when C fluxes other than C fixation and respiration occur, or when inorganic C enters or leaves in dissolved form. These fluxes include the leaching loss or lateral transfer of C from the ecosystem; the emission of volatile organic C, methane, and carbon monoxide; and the release of soot and CO 2 from fire. Carbon fluxes in addition to NEP are particularly important determinants of NECB over long time scales. However, even over short time scales, they are important in ecosystems such as streams, estuaries, wetlands, and cities. Recent technological advances have led to a diversity of approaches to the measurement of C fluxes at different temporal and spatial scales. These approaches frequently capture different components of NEP or NECB and can therefore be compared across scales only by carefully specifying the fluxes included in the measurements. By explicitly identifying the fluxes that comprise NECB and other components of the C cycle, such as net ecosystem exchange (NEE) and net biome production (NBP), we can provide a less ambiguous framework for understanding and communicating recent changes in the global C cycle.

Ecosystems

Biocrust ecology: Unifying micro- and macro-scales to confront global change

Biological soil crusts (biocrusts) are communities of microbes, lichens and bryophytes living at the soil surface in drylands (Fig. 1; Belnap et al ., 2016). Biocrusts occur on all continents and can comprise a majority of cover in some systems (Belnap et al ., 2016). While species diversity and distributions have long been a research focus, interest in controls on community composition and cover has expanded as biocrusts are increasingly recognized for their roles in ecosystem functioning (Deane-Coe and Stanton, 2017). For example, biocrust organisms can stabilize soils (Belnap et al ., 2016; Faist et al ., 2017), fix atmospheric carbon (C) (Sancho et al ., 2016), and serve as the foremost source of ‘new’ soil nitrogen (N) in drylands, via N 2 fixation (Barger et al ., 2016) These contributions to gross primary production and soil fertility could be quite large, as high-end estimates suggest biocrusts and similar communities of bryophytes and lichens might account for 10% of terrestrial C- and 50% of N-fixation globally (Elbert et al ., 2012). Yet verifying these and other biocrust roles in ecosystem functioning is complicated by limited knowledge of biocrust cover and composition across the vast dryland biome (Ferrenberg et al ., 2017). It was against this backdrop that ‘Biocrust3: the 3 rd International workshop on biological soil crusts’ was held in Moab, UT, USA, on 26-30 September 2016. The workshop brought together over 50 scientists from 21 countries and six continents, and included numerous biocrust science pioneers (Fig. 2). The meeting was notable for its cross-scale focus, discussion of novel molecular and imaging techniques, and sessions on mapping and restoring biocrusts in a changing world. Here, we synthesize a central theme that emerged from Biocrust3, namely the potential for combining cutting edge tools with studies focused on organismal traits, ecosystem functions, and global change biology to advance the frontier of biocrust ecology.

New Phytologist

Thermal, deformation, and degassing remote sensing time-series (A.D. 2000-2017) at the 47 most active volcanoes in Latin America: Implications for volcanic systems

Volcanoes are hazardous to local and global populations, but only a fraction are continuously monitored by ground-based sensors. For example, in Latin America, more than 60% of Holocene volcanoes are unmonitored, meaning long-term multi-parameter datasets of volcanic activity are rare and sparse. We use satellite observations of degassing, thermal anomalies, and surface deformation spanning 17 years at 47 of the most active volcanoes in Latin America, and compare these datasets to ground-based observations archived by the Global Volcanism Program (GVP). This first comparison of multi-satellite time-series on a regional scale provides information regarding volcanic behavior during, non-, pre-, syn- and post-eruptive periods. For example, at Copahue volcano, deviations from background activity in all three types of satellite measurements were manifested months to years in advance of renewed eruptive activity in 2012. By quantifying the amount of degassing, thermal output, and deformation measured at each of these volcanoes, we test the classification of these volcanoes as open or closed volcanic systems. We find that ~28% of the volcanoes do not fall into either classification and the rest show elements of both, demonstrating a dynamic range of behavior that can change over time. Finally, we recommend how volcano monitoring could be improved through better coordination of available satellite-based capabilities and new instruments.

Journal of Geophysical Research

Strategic plan for the National Mapping Divison of the U.S. Geological Survey

The National Mapping Division (NMD) has developed this comprehensive strategic plan to chart its course over the next decade. To meet the challenge of the future, the NMD is changing its program emphasis, methods of responding to customer need and business practices. The NMD Strategic Plan identifies the new direction for the Division through a series of goals and actions for managers to use in formulating plans, establishing program emphasis, and determining resource needs and allocations into the next century. The Plan refines the NMD mission on the basis of several key issues that are expected to face the Division in the next decade. Th first of these is the continuing advances in technology and telecommunications. Related to this is the growth in the use of geographic information systems (GIS) and the demand for data to use in GIS's. Also, a trend exists toward decreasing cost of both the data and the systems, leading to even more demand for and use of data and technology by more users. Another is a changing customer base and increasing demand for NMD products and services. Finally, the financial resource available to the NMD are anticipated to remain relatively static. The Plan assumes that a much greater reliance on partnerships with other government agencies and the private sector for production activities will be permanent. It calls for significantly greater emphasis on the inherently governmental information management responsibilities and on geographic research to support the Division's mission. Multipartner consortia and shared funding agreements will constitute the basis for meeting most mapping needs in the future, with the NMD appropriation focused on map revision in areas of importance to the Federal Government. Mapping Centers will be encouraged to increase partnership agreements to meet mission requirements. The Division will continue to constrain employment, targeting new hiring to specific skills needed to support the revised mission in areas such as quality assurance, data standards development and maintenance, contract management, and information management. Retraining opportunities for current employees will be a high priority. The Bureau Strategic Plan was reviewed carefully to assure that the NMD Strategic Plan would be consistent with it. The Division planning team built on the conclusion of the Bureau Plan regarding the political, economic, societal, and global force that will affect our program in the future. The NMD Strategic Plan also embraces all of the core competencies and business activities.

Report