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Potential for Small Unmanned Aircraft Systems applications for identifying groundwater-surface water exchange in a meandering river reach

The exchange of groundwater and surface water (GW-SW), including dissolved constituents and energy, represents a critical yet challenging characterization problem for hydrogeologists and stream ecologists. Here, we describe the use of a suite of high spatial-resolution remote-sensing techniques, collected using a small unmanned aircraft system (sUAS), to provide novel and complementary data to analyze GW-SW exchange. sUAS provided centimeter-scale resolution topography and water surface elevations, which are often drivers of exchange along the river corridor. Additionally, sUAS-based vegetation imagery, vegetation-top elevation, and normalized difference vegetation index (NDVI) mapping indicated GW-SW exchange patterns that are difficult to characterize from the land surface and may not be resolved from coarser satellite-based imagery. We combined these data with estimates of sediment hydraulic conductivity to provide a direct estimate of GW “shortcutting” through meander necks, which was corroborated by temperature data at the riverbed interface.

Geophysical Research Letters↗

A Bayesian-based system to assess wave-driven flooding hazards on coral reef-lined coasts

Many low-elevation, coral reef-lined, tropical coasts are vulnerable to the effects of climate change, sea level rise, and wave-induced flooding. The considerable morphological diversity of these coasts and the variability of the hydrodynamic forcing that they are exposed to make predicting wave-induced flooding a challenge. A process-based wave-resolving hydrodynamic model (XBeach Non-Hydrostatic, “XBNH”) was used to create a large synthetic database for use in a “Bayesian Estimator for Wave Attack in Reef Environments” (BEWARE), relating incident hydrodynamics and coral reef geomorphology to coastal flooding hazards on reef-lined coasts. Building on previous work, BEWARE improves system understanding of reef hydrodynamics by examining the intrinsic reef and extrinsic forcing factors controlling runup and flooding on reef-lined coasts. The Bayesian estimator has high predictive skill for the XBNH model outputs that are flooding indicators, and was validated for a number of available field cases. It was found that, in order to accurately predict flooding hazards, water depth over the reef flat, incident wave conditions, and reef flat width are the most essential factors, whereas other factors such as beach slope and bed friction due to the presence or absence of corals are less important. BEWARE is a potentially powerful tool for use in early warning systems or risk assessment studies, and can be used to make projections about how wave-induced flooding on coral reef-lined coasts may change due to climate change.

Journal of Geophysical Research C: Oceans↗

Probabilistic tsunami hazard analysis: Multiple sources and global applications

Applying probabilistic methods to infrequent but devastating natural events is intrinsically challenging. For tsunami analyses, a suite of geophysical assessments should be in principle evaluated because of the different causes generating tsunamis (earthquakes, landslides, volcanic activity, meteorological events, and asteroid impacts) with varying mean recurrence rates. Probabilistic Tsunami Hazard Analyses (PTHAs) are conducted in different areas of the world at global, regional, and local scales with the aim of understanding tsunami hazard to inform tsunami risk reduction activities. PTHAs enhance knowledge of the potential tsunamigenic threat by estimating the probability of exceeding specific levels of tsunami intensity metrics (e.g., run-up or maximum inundation heights) within a certain period of time (exposure time) at given locations (target sites); these estimates can be summarized in hazard maps or hazard curves. This discussion presents a broad overview of PTHA, including (i) sources and mechanisms of tsunami generation, emphasizing the variety and complexity of the tsunami sources and their generation mechanisms, (ii) developments in modeling the propagation and impact of tsunami waves, and (iii) statistical procedures for tsunami hazard estimates that include the associated epistemic and aleatoric uncertainties. Key elements in understanding the potential tsunami hazard are discussed, in light of the rapid development of PTHA methods during the last decade and the globally distributed applications, including the importance of considering multiple sources, their relative intensities, probabilities of occurrence, and uncertainties in an integrated and consistent probabilistic framework.

Reviews of Geophysics↗

Disturbance hydrology: Preparing for an increasingly disturbed future

This special issue is the result of several fruitful conference sessions on disturbance hydrology, which started at the 2013 AGU Fall Meeting in San Francisco and have continued every year since. The stimulating presentations and discussions surrounding those sessions have focused on understanding both the disruption of hydrologic functioning following discrete disturbances, as well as the subsequent recovery or change within the affected watershed system. Whereas some hydrologic disturbances are directly linked to anthropogenic activities, such as resource extraction, the contributions to this special issue focus primarily on those with indirect or less pronounced human involvement, such as bark-beetle infestation, wildfire, and other natural hazards. However, human activities are enhancing the severity and frequency of these seemingly natural disturbances, thereby contributing to acute hydrologic problems and hazards. Major research challenges for our increasingly disturbed planet include the lack of continuous pre- and post-disturbance monitoring, hydrologic impacts that vary spatially and temporally based on environmental and hydroclimatic conditions, and the preponderance of overlapping or compounding disturbance sequences. In addition, a conceptual framework for characterizing commonalities and differences among hydrologic disturbances is still in its infancy. In this introduction to the special issue, we advance the fusion of concepts and terminology from ecology and hydrology to begin filling this gap. We briefly explore some preliminary approaches for comparing different disturbances and their hydrologic impacts, which provides a starting point for further dialogue and research progress.

Water Resources Research↗

Regional variability of nitrate fluxes in the unsaturated zone and groundwater, Wisconsin, USA

Process-based modeling of regional NO3− fluxes to groundwater is critical for understanding and managing water quality, but the complexity of NO3− reactive transport processes make implementation a challenge. This study introduces a regional vertical flux method (VFM) for efficient estimation of reactive transport of NO3− in the vadose zone and groundwater. The regional VFM was applied to 443 well samples in central-eastern Wisconsin. Chemical measurements included O2, NO3−, N2 from denitrification, and atmospheric tracers of groundwater age including carbon-14, chlorofluorocarbons, tritium, and tritiogenic helium. VFM results were consistent with observed chemistry, and calibrated parameters were in-line with estimates from previous studies. Results indicated that (1) unsaturated zone travel times were a substantial portion of the transit time to wells and streams (2) since 1945 fractions of applied N leached to groundwater have increased for manure-N, possibly due to increased injection of liquid manure, and decreased for fertilizer-N, and (3) under current practices and conditions, approximately 60% of the shallow aquifer will eventually be affected by downward migration of NO3−, with denitrification protecting the remaining 40%. Recharge variability strongly affected the unsaturated zone lag times and the eventual depth of the NO3− front. Principal components regression demonstrated that VFM parameters and predictions were significantly correlated with hydrogeochemical landscape features. The diverse and sometimes conflicting aspects of N management (e.g. limiting N volatilization versus limiting N losses to groundwater) warrant continued development of large-scale holistic strategies to manage water quality and quantity.

Wisconsin↗

Knowledge sharing for shared success in the decade on ecosystem restoration

The Decade on Ecosystem Restoration aims to provide the means and incentives for upscaling restoration efforts worldwide. Although ecosystem restoration is a broad, interdisciplinary concept, effective ecological restoration requires sound ecological knowledge to successfully restore biodiversity and ecosystem services in degraded landscapes. We emphasize the critical role of knowledge and data sharing to inform synthesis for the most robust restoration science possible. Such synthesis is critical for helping restoration ecologists better understand how context affects restoration outcomes, and to increase predictive capacity of restoration actions. This predictive capacity can help to provide better information for evidence-based decision-making, and scale-up approaches to meet ambitious targets for restoration. We advocate for a concerted effort to collate species-level, fine-scale, ecological community data from restoration studies across a wide range of environmental and ecological gradients. Well-articulated associated metadata relevant to experience and social or landscape contexts can further be used to explain outcomes. These data could be carefully curated and made openly available to the restoration community to help to maximize evidence-based knowledge sharing, enable flexible re-use of existing data and support predictive capacity in ecological community responses to restoration actions. We detail how integrated data, analysis and knowledge sharing via synthesis can support shared success in restoration ecology by identifying successful and unsuccessful outcomes across diverse systems and scales. We also discuss potential interdisciplinary solutions and approaches to overcome challenges associated with bringing together subfields of restoration practice. Sharing this knowledge and data openly can directly inform actions and help to improve outcomes for the Decade on Ecosystem Restoration.

Ecological Solutions and Evidence↗

A field test of R package GPSeqClus: For establishing animal location clusters

The ability to track animals with Global Positioning System (GPS) collars opened an enormous potential for studying animal movements and behaviour in their natural environment. One such endeavour is to identify clusters of GPS locations as a way to estimate predator kill rate. Clapp et al. (2021) developed an R package ( GPSeqClus ) to assess a location dataset based on user-defined parameters to identify clusters and their characteristics. These characteristics can then help to distinguish resting-site clusters from kill sites of their large (>50 kg) prey. We identified location clusters of an adult male wolf Canis lupus on Ellesmere Island, Nunavut, Canada in July 2009 and tracked him until he died in April 2010. Identifying location clusters was challenging because the collar only obtained two GPS locations per day (12 h apart). In July 2010, we searched 30 of 52 location-clusters we identified as kill/scavenge sites and found 17 of them as such, given they had muskox Ovibos moschatus or caribou Rangifer tarandus pearyi remains nearby. We also documented five wolf rendezvous sites, two den sites, and the wolf's death site to total 60 location-clusters in all. We used a two-step process in testing the R Package GPSeqClus (hereafter GPSeqClus ): (1) compare the number of clusters our method discerned with the number identified by the new algorithm, and (2) compare the number of biologically significant clusters (e.g. den sites, kill/feeding sites) we found with the number the new algorithm located. We made these tests with GPSeqClus by varying the search radius, number of days at a site, and minimum number of locations required for a cluster. GPSeqClus compared well to our technique, with the best sub-algorithm among the 25 we tested only missing three of our identified clusters and yielding six additional clusters. GPSeqClus identified 16 of the 17 confirmed sites of remains, all wolf home sites, and the wolf's carcass site. Identifying clusters using a 500-m search radius, a 1.5-day window, and a minimum of two GPS locations per cluster was suitable for a coarse GPS acquisition rate of two locations per day when prey are large, such as muskox or caribou. Given that GPSeqClus performed well with our coarse location dataset, we expect it will also perform even better with a collar acquiring more than two locations per day. Having a field-tested utility such as GPSeqClus will enhance carnivore predation studies elsewhere.

Ecological Solutions and Evidence↗

Elevation, canopy cover and grass cover structure patterns of seedling establishment in a subtropical post-fire restoration

Ecological restoration is beneficial to ecological communities in this era of large-scale landscape change and ecological disruption. However, restoration outcomes are notoriously variable, which makes fine-scale decision-making challenging. This is true for restoration efforts that follow large fires, which are increasingly common as the climate changes. Post-fire restoration efforts, like tree planting and seeding have shown mixed success, though the causes of the variation in restoration outcomes remain unclear. Abiotic factors such as elevation and fire severity, as well as biotic factors, such as residual canopy cover and abundance of competitive understorey grasses, can vary across a burned area and may all influence the success of restoration efforts to re-establish trees following forest fires. We examined the effect of these factors on the early seedling establishment of a tree species—māmane ( Sophora chrysophylla )—in a subtropical montane woodland in Hawaiʻi. Following a human-caused wildfire, we sowed seeds of māmane as part of a restoration effort. We co-designed a project to examine māmane seedling establishment. We found that elevation was of overriding importance, structuring total levels of plant establishment, with fewer seedlings establishing at higher elevations. Residual canopy cover was positively correlated with seedling establishment, while cover by invasive, competitive understorey grasses very weakly positively correlated with increased seedling establishment. Our results point to specific factors structuring plant establishment following a large fire and suggest additional targeted restoration actions within this subtropical system. For example, if greater native woody recruitment is a management goal, then actions could include targeted seed placement at lower elevations where establishment is more likely, increased seeding densities at high elevation where recruitment rates are lower, and/or invasive grass removal prior to seeding. Such actions may result in faster native ecosystem recovery, which is a goal of local land managers.

Hawaii↗

Balancing ecology and practicality to rank waterbodies for preventative invasive species management

‘Early detection and rapid response’ (EDRR) is the most successful framework for preventative invasive species management, but prioritizing localized EDRR actions with limited resources is challenging. An approach that ranks individual locations, such as waterbodies, for EDRR by combining an invasive species' establishment risk with the practicality of managing it could help set reasonable priorities. Here, we worked with regional practitioners in Arkansas, USA, and the broader Southeastern USA to co-produce a workflow for preventative aquatic invasive species management that (1) estimates establishment risk under current and future climates with a species distribution model, (2) scores waterbodies according to difficulty of eradicating an aquatic invasive species if it were introduced and (3) combines establishment risk and eradication difficulty scores to rank waterbodies according to preventative management priority. As our focal species, we used giant salvinia ( Salvinia molesta ), a floating aquatic fern ranked among the worst weeds in the world due to its negative socio-ecological impacts and difficulty to eradicate once established. Current establishment risk is low for much of our study area, but under future climate scenarios (RCP 8.5), areas with >60% giant salvinia establishment risk increased from 546 km 2 to 30,219 km 2 between 2023 and 2040 in Arkansas. We found giant salvinia establishment risk and eradication difficulty are independent of each other ( r = 0.28), and it follows that, alone, early detection tools such as species distribution models are insufficient for managers to prioritize sites for EDRR. Practical implication : We envision our approach fitting into a potential EDRR workflow that cascades from broad- to local-scale. To illustrate, (1) horizon scanning and/or climate matching generates lists of high-risk invasive species; (2) species lists are narrowed according to eradication feasibility scores; (3) for all remaining species, all waterbodies across a geography of interest receive prioritization rankings based on establishment risk and eradication difficulty scores. Given that climate change makes predicting invasive species' distributions a moving target, combining co-produced eradication difficulty scoring with species distribution modelling will balance rigour with practicality when prioritizing locations for EDRR.

Arkansas, Louisiana, Mississippi, Missouri, Oklaho↗

A decade of curtailment studies demonstrates a consistent and effective strategy to reduce bat fatalities at wind turbines in North America

There is a rapid, global push for wind energy installation. However, large numbers of bats are killed by turbines each year, raising concerns about the impacts of wind energy expansion on bat populations. Preventing turbine blades from spinning at low wind speeds, referred to as curtailment, is a method to reduce bat fatalities, but drawing consistent inference across studies has been challenging. We compiled publicly available studies that evaluated curtailment at six wind energy facilities in North America across 10 years. We used meta-regression of 29 implemented treatments to determine fatality reduction efficacy as well as sources of variation influencing efficacy. We also estimated species-specific fatality reduction for three species that comprise most fatalities in North America: hoary bat ( Lasiurus cinereus ), eastern red bat ( Lasiurus borealis ) and silver-haired bat ( Lasionycteris noctivagans ). We found that curtailment reduced total bat fatalities by 33% with every 1.0 ms −1 increase in curtailment wind speed. Estimates of the efficacy for the three target species were similar (hoary bats: 28% per ms −1 , 95% CI: 0.4%–48%, eastern red bats: 32% per ms −1 , 95% CI: 13%–47% and silver-haired bats: 32% per ms −1 , 95% CI: 3%–53%). Across multiple facilities and years, a 5.0 ms −1 cut-in speed was estimated to reduce total bat fatalities by an average of 62% (95% CI: 54%–69%). Mortality reductions at individual facilities in any given year were estimated to fall between 33%–79% (95% prediction interval). Inter-annual differences rather than inter-site or turbine characteristics accounted for most of the variation in efficacy rates. Species-specific average mortality reduction at 5.0 ms −1 curtailment wind speed was 48% (95% CI: 24%–64%) for hoary bats, 61% (95% CI: 42%–74%) for eastern red bats and 52% (95% CI: 30%–66%) for silver-haired bats. Practical implication . curtailment reduced bat mortality at wind turbines in this North American study. Efficacy increased proportionally as curtailment speed is raised, and patterns and rates of efficacy were similar across species. This indicates that curtailment is an effective strategy to reduce bat fatalities at wind energy facilities, but exploration of further refinements could both minimize bat mortality and maximize energy production.

Ecological Solutions and Evidence↗

Exploring management options for moose at their southern range limits considering growing disease risk

1. Populations of cold-adapted species are increasingly vulnerable along their low-latitude range limits due to shifting environmental conditions, biotic interactions, and anthropogenic pressures. Managing these populations is particularly challenging because of complex ecological dynamics, conflicting stakeholder interests, and decision-making under uncertainty. 2. We explored population growth (λ) of moose ( Alces alces ) under different hypothetical management scenarios, simulating combinations of five hypothetical harvest levels with three levels of disease impact. 3. Facing current disease, the population could support multiple levels of conservative harvest. Under elevated levels of disease-caused mortality, projections indicated declines for all harvest scenarios. We projected increases across all harvest scenarios when overlap with white-tailed deer ( Odocoileus virginianus ) was hypothetically reduced and disease mortality in moose minimized. We investigated whether uncertainty in moose demographic parameters altered population trajectory, and found changes in adult fecundity and calf survival could alter harvest decisions when λ<1. 4. Practical implication . While moose population trajectories may remain stable under current conditions, management of white-tailed deer that reduces moose exposure to lethal parasites may provide the greatest utility in sustaining moose in New York given the potential for increased disease. Continued monitoring of population size, growth, and disease prevalence would inform sustainable moose harvest levels that balance social and ecological management considerations.

New York↗

Modeling flow, sediment transport and morphodynamics in rivers

Predicting the response of natural or man-made channels to imposed supplies of water and sediment is one of the difficult practical problems commonly addressed by fluvial geomorphologists. This problem typically arises in three situations. In the first situation, geomorphologists are attempting to understand why a channel or class of channels has a certain general form; in a sense, this is the central goal of fluvial geomorphology. In the second situation, geomorphologists are trying to understand and explain how and why a specific channel will evolve or has evolved in response to altered or unusual sediment and water supplies to that channel. For example, this would include explaining the short-term response of a channel to an unusually large flood or predicting the response of a channel to long-term changes in flow or sediment supply due to various human activities such as damming or diversions. Finally, geomorphologists may be called upon to design or assess the design of proposed man-made channels that must carry a certain range of flows and sediment loads in a stable or at least quasi-stable manner. In each of these three situations, the problem is really the same: geomorphologists must understand and predict the interaction of the flow field in the channel, the sediment movement in the channel and the geometry of the channel bed and banks. In general, the flow field, the movement of sediment making up the bed and the morphology of the bed are intricately linked; the flow moves the sediment, the bed is altered by erosion and deposition of sediment and the shape of the bed is critically important for predicting the flow. This complex linkage is precisely what makes understanding channel form and process such a difficult and interesting challenge.

Book chapter↗

Surficial geological tools in fluvial geomorphology: Chapter 2

Increasingly, environmental scientists are being asked to develop an understanding of how rivers and streams have been altered by environmental stresses, whether rivers are subject to physical or chemical hazards, how they can be restored, and how they will respond to future environmental change. These questions present substantive challenges to the discipline of fluvial geomorphology, especially since decades of geomorphologic research have demonstrated the general complexity of fluvial systems. It follows from the concept of complex response that synoptic and short-term historical views of rivers will often give misleading understanding of future behavior. Nevertheless, broadly trained geomorphologists can address questions involving complex natural systems by drawing from a tool box that commonly includes the principles and methods of geology, hydrology, hydraulics, engineering, and ecology.

Book chapter↗

Tectonic tremor observations across Alaska

Tectonic tremor is a semicontinuous, low-frequency seismic signal associated with stable fault motion at major plate boundaries worldwide. In subduction zones, tremor often coincides with geodetic transients that indicate discrete slow slip on the subducting plate interface. Because tremor epicenters offer better spatial and temporal resolution than geodetic inversions of slip, detecting tremor can provide important constraints on plate interface properties, coupling, and dynamics. But in Alaska, challenges abound. The geographic scale of the Alaska–Aleutian subduction zone, the limited land available for instruments in the Aleutian Islands, and the messy nature of the tremor signal itself inhibit efforts to uniformly catalog tremor. Here, I present an overview of such efforts and what can and cannot be inferred from where tremor has been observed. Reliable tremor observations are confined to south-central Alaska in conjunction with the subducting Yakutat microplate, and one section of the eastern Aleutian Islands near Unalaska, with scant evidence of tremor elsewhere. Unique fault interface conditions may explain why tremor is limited to these regions, but most null results are not robust, and the limited observations preclude any large-scale interpretations.

Alaska↗

Aspects and implications of bear reintroduction: Chapter 6

Bear reintroduction has been practiced worldwide with varying degrees of success. Homing is a significant issue for American black bears, Ursus americanus , and winter-release techniques of females with cubs have been successfully used to improve settling rates and survival. Reintroduction success for all bear species appears to be positively correlated with translocation distance, and success is greater for subadults and females. Animals bred or held in captivity are usually poor candidates for reintroduction, but that may be the only option for some rare species. Habitat analyses are routinely performed, but patch size and configuration may also be important considerations for choosing future reintroduction sites for these wide-ranging species. Biological realities aside, socio-political impediments are more difficult to overcome because of real and perceived threats to human safety and property. Poor public acceptance and understanding were the most important reasons for some bear reintroduction failures, and conservation biologists need to develop methods for identifying areas where co-habitation suitability is high. Citizen-led approaches to develop acceptable restoration strategies may be useful for gaining public acceptance of large-carnivore reintroduction efforts, and public acceptance is where the greatest challenge lies.

Book chapter↗

Susceptibility of Pallid Sturgeon to viral hemorrhagic septicemia virus genotype IVb

Objective Viral hemorrhagic septicemia virus (VHSV) is an aquatic rhabdovirus causing severe disease in freshwater and saltwater fish species. The susceptibility of endangered Pallid Sturgeon Scaphirhynchus albus to VHSV genotype IVb (VHSV-IVb) infection was investigated. Methods An in vitro assessment using two Pallid Sturgeon cell lines derived from skin and spleen tissue and in vivo evaluation of juvenile Pallid Sturgeon after exposure to VHSV-IVb were performed. Result Plaque assay and RT-PCR results confirmed VHSV-IVb replication in Pallid Sturgeon cell lines. Sturgeon were also susceptible to VHSV-IVb infection after immersion and injection exposures during laboratory experiments. However, after widespread mortality occurred in all treatment groups, including negative control fish, it was determined that the Pallid Sturgeon stock fish were infected with Missouri River sturgeon iridovirus (MRSIV) prior to experimental challenge. Nevertheless, mortalities were equal or higher among VHSV-exposed fish than among negative controls (MRSIV infected), and histopathological assessments indicated reduced hematopoietic cells in spleen and kidney tissues and hemorrhage in the gastrointestinal organs only in fish from the VHSV treatment. Conclusion These results indicate that Pallid Sturgeon is a susceptible host for VHSV-IVb, but the degree of pathogenicity was confounded by the underlying MRSIV infection. Research comparing susceptibility of specific pathogen-free and MRSIV-infected fish to VHSV-IVb is needed to accurately assess the vulnerability of Pallid Sturgeon to VHSV-IVb.

Journal of Aquatic Animal Health↗

Multispectral red-edge indices accurately estimate nitrogen content in winter cereal cover crops

Winter cover crops reduce erosion and nutrient runoff from agricultural systems. Although cereal cover crops can decrease field nitrate leaching by 50%–95%, the magnitude of this reduction varies within and between fields, making it challenging to monitor the impact of cover crops on nitrate leaching at large spatial extents. Satellite remote sensing using red-edge bands has been shown to effectively estimate crop nitrogen (N) content (kg ha −1 ) in later growth-stage crops with a closed canopy. In this study, we evaluated 15 spectral indices derived from Sentinel-2 imagery to estimate N concentration (%) and content (kg ha −1 ) of cereal cover crops, using 1627 destructive samples collected from 2018 to 2023 in Maryland. Observed N content ranged from 0.1 to 214.7 kg ha −1 , while N concentration ranged from 0.6% to 5.5%. The 15 indices considered were poor predictors of N concentration (adj. R 2 = 0.089, root mean squared error [RMSE] = 0.802%), but were more successful at measuring N content (biomass × N concentration). Delta red-edge (ΔRE) was the best predictor of N content (adj. R 2 = 0.748, RMSE = 13.10 kg ha −1 from cross-validation with 80% train and 20% test splits iterated 100 times) using samples with imagery collected within ±4 days of destructive sampling ( n = 1110). Our findings indicate that longer red-edge wavelengths (783 and 740 nm) are more suited for estimating N content in cereal cover crops compared to shorter red-edge wavelengths, which have been shown to be more sensitive to biomass. Leave-one-year-out cross-validation demonstrated that the relationship between ΔRE and N content was robust across all four cover crop sampling years included in the study (adj. R 2 = 0.700–0.769, RMSE = 10.70–15.40 kg ha −1 ). Regression model performance improved with the addition of multiple predictors, including biomass (estimated from Normalized Difference Vegetation Index), weather variables (adj. R 2 = 0.765, RMSE = 12.37 kg ha −1 ), management variables (species, season, adj. R 2 = 0.772, and RMSE = 12.13 kg ha −1 ), and biophysical variables (height, fractional ground cover, adj. R 2 = 0.818, and RMSE = 10.29 kg ha −1 ). These findings demonstrate the feasibility of quantifying N content in cereal cover crops using a red-edge-based spectral index across large geographic extents and indicate the inclusion of additional predictors, such as weather and management data, improves model accuracy. This work has implications for quantifying reductions in N leaching associated with cover crops, aiding in policymaking and evaluation of conservation programs that impact water bodies such as Chesapeake Bay.

Maryland↗

Subspecies differentiation in an enigmatic chaparral shrub species

Premise Delimiting biodiversity units is difficult in organisms in which differentiation is obscured by hybridization, plasticity, and other factors that blur phenotypic boundaries. Such work is more complicated when the focal units are subspecies, the definition of which has not been broadly explored in the era of modern genetic methods. Eastwood manzanita ( Arctostaphylos glandulosa Eastw.) is a widely distributed and morphologically complex chaparral shrub species with much subspecific variation, which has proven challenging to categorize. Currently 10 subspecies are recognized, however, many of them are not geographically segregated, and morphological intermediates are common. Subspecies delimitation is of particular importance in this species because two of the subspecies are rare. The goal of this study was to apply an evolutionary definition of “subspecies” to characterize structure within Eastwood manzanita. Methods We used publicly available geospatial environmental data and reduced‐representation genome sequencing to characterize environmental and genetic differentiation among subspecies. In addition, we tested whether subspecies could be differentiated by environmentally associated genetic variation. Results Our analyses do not show genetic differentiation among subspecies of Eastwood manzanita, with the exception of one of the two rare subspecies. In addition, our environmental analyses did not show ecological differentiation, though limitations of the analysis prevent strong conclusions. Conclusions Genetic structure within Eastwood manzanita does not correspond to current subspecies circumscriptions, but rather reflects geographic distribution. Our study suggests that subspecies concepts need to be reconsidered in long‐lived plant species, especially in the age of next‐generation sequencing.

American Journal of Botany↗