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Hazus® estimated annualized earthquake losses for the United States

Large earthquakes can cause social and economic disruption that can be unprecedented to any given community, and the full recovery from these impacts may or may not always be achievable. In the United States (U.S.), the 1994 M6.7 Northridge earthquake in California remains the third costliest disaster in U.S. history; and it was one of the most expensive disasters for the federal government. Internationally, earthquakes in the last decade alone have claimed tens of thousands of lives and caused hundreds of billions of dollars of economic impact throughout the globe (~90 billion U.S. dollars (USD) from 2008 M7.9 Wenchuan China, ~20 billion USD from 2010 M8.8 Maule earthquake in Chile, ~220 billion USD from 2011 M9.0 Tohoku Japan earthquake, ~25 billion USD from 2011 M6.3 Christchurch New Zealand, and ~22 billion USD from 2016 M7.0 Kumamoto Japan). Recent earthquakes show a pattern of steadily increasing damages and losses that are primarily due to three key factors: (1) significant growth in earthquake-prone urban areas, (2) vulnerability of the older building stock, including poorly engineered non-ductile concrete buildings, and (3) an increased interdependency in terms of supply and demand for the businesses that operate among different parts of the world. In the United States, earthquake risk continues to grow with increased exposure of population and development even though the earthquake hazard has remained relatively stable except for the regions of induced seismic activity. Understanding the seismic hazard requires studying earthquake characteristics and locales in which they occur, while understanding the risk requires an assessment of the potential damage from earthquake shaking to the built environment and to the welfare of people—especially in high-risk areas. Estimating the varying degree of earthquake risk throughout the United States is critical for informed decision-making on mitigation policies, priorities, strategies, and funding levels in the public and private sectors. For example, potential losses to new buildings may be reduced by proper land-use planning, applying most current seismic design codes and using new technologies and specialized construction techniques. However, decisions to spend money on any of those solutions require benefit and cost comparison against the perceived risk. Previous versions of the FEMA 366 studies are the only nationally accepted criteria and methodology for comparing seismic risk across regions.

Report↗

A Science Plan for a Comprehensive Regional Assessment of the Atlantic Coastal Plain Aquifer System in Maryland

The Maryland Coastal Plain region is, at present, largely dependent upon ground water for its water supply. Decades of increasing pumpage have caused ground-water levels in parts of the Maryland Coastal Plain to decline by as much as 2 feet per year in some areas of southern Maryland. Continued declines at this rate could affect the long-term sustainability of ground-water resources in Maryland's heavily populated Coastal Plain communities and the agricultural industry of the Eastern Shore. In response to a recommendation in 2004 by the Advisory Committee on the Management and Protection of the State's Water Resources, the Maryland Geological Survey and the U.S. Geological Survey have developed a science plan for a comprehensive assessment that will provide new scientific information and new data management and analysis tools for the State to use in allocating ground water in the Coastal Plain. The comprehensive assessment has five goals aimed at improving the current information and tools used to understand the resource potential of the aquifer system: (1) document the geologic and hydrologic characteristics of the aquifer system in the Maryland Coastal Plain and appropriate areas of adjacent states; (2) conduct detailed studies of the regional ground-water-flow system and water budget for the aquifer system; (3) improve documentation of patterns of water quality in all Coastal Plain aquifers, including the distribution of saltwater; (4) enhance ground-water-level, streamflow, and water-quality-monitoring networks in the Maryland Coastal Plain; and (5) develop science-based tools to facilitate sound management of the ground-water resources in the Maryland Coastal Plain. The assessment, as designed, will be conducted in three phases and if fully implemented, is expected to take 7 to 8 years to complete. Phase I, which was initiated in January 2006, is an effort to assemble all the information and investigation tools needed to do a more comprehensive assessment of the aquifer system. The work will include updating the hydrogeologic framework, developing a Geographic Information System-based aquifer information system, refinement of water-use information, assessment of existing water-quality data, and development of detailed plans for ground-water-flow and management models. Phase II is an intensive study phase during which a regional ground-water-flow model will be developed and calibrated for the entire region of Maryland in the Atlantic Coastal Plain as well as appropriate areas of Delaware and Virginia. The model will be used to simulate flow and water levels in the aquifer system and to study the water budget of the system. The model analysis will be based on published information but will be supplemented with field investigations of recharge and leakage in the aquifer system. Localized and finely discretized ground-water-flow models that are embedded in the regional model will be developed for selected areas of heavy withdrawals. Other modeling studies will be conducted to better understand flow in the unconfined parts of the aquifer system and to support the recharge studies. Phase II will also include selected water-quality studies and a study to determine how hydrologic and water-quality-monitoring networks need to be enhanced to appropriately assess the sustainability of the Coastal Plain aquifer system. Phase III will be largely devoted to the development and application of a ground-water optimization model. This model will be linked to the ground-water-flow model to create a model package that can be used to test different water-management scenarios. The management criteria that will be used to develop these scenarios will be determined in consultation with a variety of state and local stakeholders and policy makers in Phases I and II of the assessment. The development of the aquifer information system is a key component of the assessment. The system will store all relevant aquifer data

Open-File Report↗

Carpinteria Coastal Processes Study, 2005-2007: Final report

The United States Geological Survey (USGS), in collaboration with the University of California, Santa Cruz (UCSC), conducted a two-year study of the beach and nearshore coastal processes for the City of Carpinteria and adjacent beaches. The work was performed in response to and worked directly with the United States Army Corps of Engineers (USACE) Project Management Plan (PMP) for the City of Carpinteria: * Carpinteria Shoreline, Santa Barbara County, California PMP (June 2003) www.spl.usace.army.mil/cms/index.php?option=com_content&task=view&id=487&Itemid=31 The City of Carpinteria has experienced significant erosion and storm damage over the last decade (Figure 1.1). A USACE reconnaissance survey has shown shoreline retreat rates that approach 2 m/yr in some locations. The goals of this project are to analyze historical trends/changes in the beach and nearshore environment, document local wave and tidal currents, and assess current beach and nearshore conditions in terms of grain size, beach size and shape, seasonal changes, and nearshore bathymetry. In summary, this work serves to quantify sediment sources, transport and sinks throughout the study area to support USACE and the City of Carpinteria coastal management activities.

California↗

Method for estimating potential wetland extent by utilizing streamflow statistics and flood-inundation mapping techniques: Pilot study for land along the Wabash River near Terre Haute, Indiana

Potential wetland extents were estimated for a 14-mile reach of the Wabash River near Terre Haute, Indiana. This pilot study was completed by the U.S. Geological Survey in cooperation with the U.S. Department of Agriculture, Natural Resources Conservation Service (NRCS). The study showed that potential wetland extents can be estimated by analyzing streamflow statistics with the available streamgage data, calculating the approximate water-surface elevation along the river, and generating maps by use of flood-inundation mapping techniques. Planning successful restorations for Wetland Reserve Program (WRP) easements requires a determination of areas that show evidence of being in a zone prone to sustained or frequent flooding. Zone determinations of this type are used by WRP planners to define the actively inundated area and make decisions on restoration-practice installation. According to WRP planning guidelines, a site needs to show evidence of being in an "inundation zone" that is prone to sustained or frequent flooding for a period of 7 consecutive days at least once every 2 years on average in order to meet the planning criteria for determining a wetland for a restoration in agricultural land. By calculating the annual highest 7-consecutive-day mean discharge with a 2-year recurrence interval (7MQ2) at a streamgage on the basis of available streamflow data, one can determine the water-surface elevation corresponding to the calculated flow that defines the estimated inundation zone along the river. By using the estimated water-surface elevation ("inundation elevation") along the river, an approximate extent of potential wetland for a restoration in agricultural land can be mapped. As part of the pilot study, a set of maps representing the estimated potential wetland extents was generated in a geographic information system (GIS) application by combining (1) a digital water-surface plane representing the surface of inundation elevation that sloped in the downstream direction of flow and (2) land-surface elevation data. These map products from the pilot study will aid the NRCS and its partners with the onsite inundation-zone verification in agricultural land for a potential restoration and will assist in determining at what elevation to plant hardwood trees for increased survivability on ground above frequently flooded terraces.

Indiana↗

Exposure of cultural resources to 21st-century climate change: Towards a risk management plan

Anthropogenic climate change during the 21st century presents a significant challenge to the protection of cultural resources (CRs) on federal lands that encompass ∼ 28% of the U.S. In particular, CRs on this land base may be adversely affected by a wide range of climate-change hazards, including damage by sea-level rise, enhanced deterioration by increasing temperature and precipitation, and destruction by more-frequent and severe wildfire. Most current measures to manage the impacts of hazards on CRs use vulnerability assessments, but because these require that all CRs be treated as having an equal chance of being affected by climate-change hazards (i.e., equal exposure) across large landscapes, the cost and resources required for such analyses are overwhelming to land management agencies. Projections of changes in many hazards, however, show that the probability of hazard occurrence will be unevenly distributed on the landscape. Incorporating this information into a risk assessment thus allows CR managers to prioritize their efforts on assessing impacts to CRs in those areas where the probability of the hazard is greatest, thus increasing efficiency. We provide several heuristic examples of implementing the first part of a CR risk assessment by using 21st-century projections of several hazards most likely to adversely affect CRs on nine National Forests (NFs) managed by the U.S. Forest Service in northern Idaho and Montana. Overlaying the projected distribution of hazards on these NFs with the distribution of CRs identifies CR exposure that, with information on their vulnerability, is required to determine risk. Additional policy and field studies will be needed to determine how to prioritize those CRs that are most at risk according to their significance as well as identify how impacts can be reduced and managed through adaptation planning and implementation. Adaptation will follow the iterative risk management process particularly by improving projection resolution. Finer scale, process-based modeling informed by the highest priority CRs would also provide a means to assess various adaptation options that might change the estimated risk and increase the odds of CRs being as little affected as possible.

Idaho, Montana↗

Hyperspectral narrowband data propel gigantic leap in the earth remote sensing

Hyperspectral narrowbands (HNBs) capture data as nearly continuous “spectral signatures” rather than a “few spectral data points” along the electromagnetic spectrum as with multispectral broadbands (MBBs). Almost all of satellite remote sensing of the Earth in the twentieth century was conducted using MBB data from sensors such as the Landsat-series, Advanced Very High-Resolution Radiometer (AVHRR), SPOT (Système Pour l’Observation de la Terre), and the Indian Remote Sensing (IRS) satellites. These systems typically provide 4 to 9 broad spectral wavebands spread from 400 to 2500 nm, often with one or two additional bands in the thermal range. Significant advances in the study of the Earth have been made based on these data [Thenkabail et al., 2018a,b,c,d; Thenkabail et al., 2015a,b,c]. Possibilities of great advances that can be made using HNB data over MBB data are well established based on studies conducted using hyperspectral sensors such as the hand-held spectroradiometers, the Airborne Visible/Infrared Imaging Spectrometer (AVIRIS), and spaceborne Earth Observing -1 (EO-1) Hyperion [Thenkabail 2018a,b,c,d]. The twenty-first century is already seeing the dawn of hyperspectral imaging data from sensors such as the German Aerospace Center’s (DLR’s) DESIS (DLR Earth Sensing Imaging Spectrometer) onboard the MUSES (Multi-User System for Earth Sensing) platform on the International Space Station (ISS), the polar-orbiting Italian Space Agency’s (ASI) PRISMA (PRecursore IperSpettrale della Missione Applicativa), and many other upcoming sensors such as the NASA Surface Biology and Geology (SBG) [Thenkabail et al., 2018a,b,c,d]. These satellites acquire data in hundreds of narrow spectral bands of 1 to 10 nm width, typically between 400 to 2500 nm; also future planned missions will be extending HNBs to the thermal (9,000 to 14,000 nm) electromagnetic spectrum. This expansion creates a quantum leap in new data, new information, and myriad possible new applications in the study of the Earth in addition to great advances in existing applications. Given the above, the objective of this article is to provide insights on the gigantic leap in our understanding, modeling, mapping, and monitoring of the Earth that can be made using HNB relative to MBB by focusing on agricultural and vegetation applications. We will address this in four aspects: 1. Comparison between HNB and MBB data; 2. Spectral libraries of agricultural crops; 3. HNB data analysis in general; and 4. HNB analysis using machine learning (ML) and cloud computing.

Photogrammetric Engineering and Remote Sensing.↗

Preliminary geologic framework developed for a proposed environmental monitoring study of a deep, unconventional Marcellus Shale drill site, Washington County, Pennsylvania

Background In the fall of 2011, the U.S. Geological Survey (USGS) was afforded an opportunity to participate in an environmental monitoring study of the potential impacts of a deep, unconventional Marcellus Shale hydraulic fracturing site. The drill site of the prospective case study is the “Range Resources MCC Partners L.P. Units 1-5H” location (also referred to as the “RR–MCC” drill site), located in Washington County, southwestern Pennsylvania. Specifically, the USGS was approached to provide a geologic framework that would (1) provide geologic parameters for the proposed area of a localized groundwater circulation model, and (2) provide potential information for the siting of both shallow and deep groundwater monitoring wells located near the drill pad and the deviated drill legs. The lead organization of the prospective case study of the RR–MCC drill site was the Groundwater and Ecosystems Restoration Division (GWERD) of the U.S. Environmental Protection Agency. Aside from the USGS, additional partners/participants were to include the Department of Energy, the Pennsylvania Geological Survey, the Pennsylvania Department of Environmental Protection, and the developer Range Resources LLC. During the initial cooperative phase, GWERD, with input from the participating agencies, drafted a Quality Assurance Project Plan (QAPP) that proposed much of the objectives, tasks, sampling and analytical procedures, and documentation of results. Later in 2012, the proposed cooperative agreement between the aforementioned partners and the associated land owners for a monitoring program at the drill site was not executed. Therefore, the prospective case study of the RR–MCC site was terminated and no installation of groundwater monitoring wells nor the collection of nearby soil, stream sediment, and surface-water samples were made. Prior to the completion of the QAPP and termination of the perspective case study the geologic framework was rapidly conducted and nearly completed. This was done for three principal reasons. First, there was an immediate need to know the distribution of the relatively undisturbed surface to near-surface bedrock geology and unconsolidated materials for the collection of baseline surface data prior to drill site development (drill pad access road, drill pad leveling) and later during monitoring associated with well drilling, well development, and well production. Second, it was necessary to know the bedrock geology to support the siting of: (1) multiple shallow groundwater monitoring wells (possibly as many as four) surrounding and located immediately adjacent to the drill pad, and (2) deep groundwater monitoring wells (possibly two) located at distance from the drill pad with one possibly being sited along one of the deviated production drill legs. Lastly, the framework geology would provide the lateral extent, thickness, lithology, and expected discontinuities of geologic units (to be parsed or grouped as hydrostratigraphic units) and regional structure trends as inputs into the groundwater model. This report provides the methodology of geologic data accumulation and aggregation, and its integration into a geographic information system (GIS) based program. The GIS program will allow multiple data to be exported in various formats (shapefiles [.shp], database files [.dbf], and Keyhole Markup Language files [.KML]) for use in surface and subsurface geologic site characterization, for sampling strategies, and for inputs for groundwater modeling.

Pennsylvania↗

The influence of regional hydrology on nesting behavior and nest fate of the American alligator

Hydrologic conditions are critical to the nesting behavior and reproductive success of crocodilians. In South Florida, USA, growing human settlement has led to extensive surface water management and modification of historical water flows in the wetlands, which have affected regional nesting of the American alligator (Alligator mississippiensis). Although both natural and anthropogenic factors are considered to determine hydrologic conditions, the aspects of hydrological patterns that affect alligator nest effort, flooding (partial and complete), and failure (no hatchling) are unclear. We deconstructed annual hydrological patterns using harmonic models that estimated hydrological matrices including mean, amplitude, timing of peak, and periodicity of surface water depth and discharge and examined their effects on alligator nesting using survey data from Shark Slough, Everglades National Park, from 1985 to 2005. Nest effort increased in years with higher mean and lesser periodicity of water depth. A greater proportion of nests were flooded and failed when peak discharge occurred earlier in the year. Also, nest flooding rates were greater in years with greater periodicity of water depth, and nest failure rate was greater when mean discharge was higher. This study guides future water management decisions to mitigate negative impacts on reproduction of alligators and provides wildlife managers with a tool for assessing and modifying annual water management plans to conserve crocodilians and other wetland species.

Florida↗

An analysis of monthly home range size in the critically endangered California Condor Gymnogyps californianus

Condors and vultures comprise the only group of terrestrial vertebrates in the world that are obligate scavengers, and these species move widely to locate ephemeral, unpredictable, and patchily-distributed food resources. In this study, we used high-resolution GPS location data to quantify monthly home range size of the critically endangered California Condor Gymnogyps californianus throughout the annual cycle in California. We assessed whether individual-level characteristics (age, sex and breeding status) and factors related to endangered species recovery program efforts (rearing method, release site) were linked to variation in monthly home range size. We found that monthly home range size varied across the annual cycle, with the largest monthly home ranges observed during late summer and early fall (July–October), a pattern that may be linked to seasonal changes in thermals that facilitate movement. Monthly home ranges of adults were significantly larger than those of immatures, but males and females used monthly home ranges of similar size throughout the year and breeding adults did not differ from non-breeding adults in their average monthly home range size. Individuals from each of three release sites differed significantly in the size of their monthly home ranges, and no differences in monthly home range size were detected between condors reared under captive conditions relative to those reared in the wild. Our study provides an important foundation for understanding the movement ecology of the California Condor and it highlights the importance of seasonal variation in space use for effective conservation planning for this critically endangered species.

Bird Conservation International↗

Dietary segregation of pelagic and littoral fish assemblages in a highly modified tidal freshwater estuary

Estuarine food webs are highly variable and complex, making identification of their trophic pathways difficult. Energy for the food web of the San Francisco Estuary is thought to be based largely on in situ phytoplankton production, but little attention has been paid to littoral habitats, where other energy sources may be important. We analyzed the stomach contents of over 960 juvenile fishes and the stable carbon and nitrogen isotope ratios of these fishes and their potential food resources in pelagic and littoral habitats from the tidal freshwater area of the estuary. The mixing model IsoSource was used to examine energy sources important to consumers. Our results show evidence of two predominant food web pathways. Pelagic fishes and some littoral fishes showed strong dependence on a zooplankton–phytoplankton trophic pathway. However, the majority of fishes in littoral habitats had diets and carbon isotope ratios consistent with energy arising from submerged aquatic vegetation and epiphytic macroalgae. IsoSource revealed that the overall majority of nutrition of littoral fishes originated from consumption of grazer amphipods. Examining both stable isotopes and stomach contents allowed us to identify a food web with contributions to resident fishes that had been previously underestimated in the estuary. This study provides insight to how estuarine food webs have changed over the last few decades and highlights why the functions of habitats must be understood for effective restoration planning.

Marine and Coastal Fisheries: Dynamics, Management↗

Exposing extinction risk analysis to pathogens: Is disease just another form of density dependence?

In the United States and several other countries, the development of population viability analyses (PVA) is a legal requirement of any species survival plan developed for threatened and endangered species. Despite the importance of pathogens in natural populations, little attention has been given to host-pathogen dynamics in PVA. To study the effect of infectious pathogens on extinction risk estimates generated from PVA, we review and synthesize the relevance of host-pathogen dynamics in analyses of extinction risk. We then develop a stochastic, density-dependent host-parasite model to investigate the effects of disease on the persistence of endangered populations. We show that this model converges on a Ricker model of density dependence under a suite of limiting assumptions, including a high probability that epidemics will arrive and occur. Using this modeling framework, we then quantify: (1) dynamic differences between time series generated by disease and Ricker processes with the same parameters; (2) observed probabilities of quasi-extinction for populations exposed to disease or self-limitation; and (3) bias in probabilities of quasi-extinction estimated by density-independent PVAs when populations experience either form of density dependence. Our results suggest two generalities about the relationships among disease, PVA, and the management of endangered species. First, disease more strongly increases variability in host abundance and, thus, the probability of quasi-extinction, than does self-limitation. This result stems from the fact that the effects and the probability of occurrence of disease are both density dependent. Second, estimates of quasi-extinction are more often overly optimistic for populations experiencing disease than for those subject to self-limitation. Thus, although the results of density-independent PVAs may be relatively robust to some particular assumptions about density dependence, they are less robust when endangered populations are known to be susceptible to disease. If potential management actions involve manipulating pathogens, then it may be useful to model disease explicitly. ?? 2005 by the Ecological Society of America.

Ecological Applications↗

Mountain plover population responses to black-tailed prairie dogs in Montana

We studied a local population of mountain plovers (Charadrius montanus) in southern Phillips County, Montana, USA, from 1995 to 2000 to estimate annual rates of recruitment rate (f) and population change (??). We used Pradel models, and we modeled ?? as a constant across years, as a linear time trend, as year-specific, and with an additive effect of area occupied by prairie dogs (Cynomys ludovicianus). We modeled recruitment rate (f) as a function of area occupied by prairie dogs with the remaining model structure identical to the best model used to estimate ??. Our results indicated a strong negative effect of area occupied by prairie dogs on both ?? (slope coefficient on a log scale was -0.11; 95% CI was -0.17, -0.05) and f (slope coefficient on a logit scale was -0.23; 95% CI was -0.36, -0.10). We also found good evidence for a negative time trend on ??; this model had substantial weight (wi = 0.31), and the slope coefficient on the linear trend on a log scale was -0.10 (95% CI was -0.15, -0.05). Yearly estimates of ?? were >1 in all years except 1999, indicating that the population initially increased and then stabilized in the last year of the study. We found weak evidence for year-specific estimates of ??; the best model with year-specific estimates had a low weight (wi = 0.02), although the pattern of yearly estimates of ?? closely matched those estimated with a linear time trend. In southern Phillips County, the population trend of mountain plovers closely matched the trend in the area occupied by black-tailed prairie dogs. Black-tailed prairie dogs declined sharply in the mid-1990s in response to an outbreak of sylvatic plague, but their numbers have steadily increased since 1996 in concert with increases in plovers. The results of this study (1) increase our understanding of the dynamics of this population and how they relate to the area occupied by prairie dogs, and (2) will be useful for planning plover conservation in a prairie dog ecosystem.

Journal of Wildlife Management↗

Interaction assessment II: A tool for population and community management

To successfully preserve or manage a species, we must understand how the community of which it is a part functions. We must know how environmental alterations affect the fitness not only of the species of interest, but also that of its competitors, predators, and prey; and we must know the form and intensity of the pertinent inter-species interactions. Interaction Assessment (INTASS) is a non-manipulative approach to constructing quantitative expressions for fitness, written as functions of measured environmental variables including local population densities of conspecifics and other interacting species. We applied this approach to, and evaluated its consistency from, data on the European land snail (Cepaea nemoralis), American eel (Anguilla rostrata), longnosed and blacknosed dace (Rhinichthys cataractae and R. atratulus), and small-mouth bass (Micropterus dolomieu) until data sets can be compiled on more typically studied vertebrates. INTASS analyses on key species of a community can provide the tools for predicting community-wide ramifications of environmental disturbances. They also can permit the planned manipulation of relative species abundances through habitat alteration.

Journal of Wildlife Management↗

LANDFIRE 2001 and 2008 Refresh Geographic Area Report--Pacific Southwest

The LANDFIRE National project (LF_1.0.0) was successfully completed in 2009. The goal of LANDFIRE National was to generate consistent 2001 vintage 30 meter spatial data sets for all 50 states for fire and other natural resource applications. This report highlights results from the continuation of LANDFIRE as a program to update the spatial data layers through 2008. The focus of this phase of the program was to improve the data products and account for vegetation change across the landscape caused by wildland fire, fuel and vegetation treatments, and (or) management. In addition, changes caused by insects and disease, storms, invasive plants, and other natural or anthropogenic events were incorporated when appropriate data were available. This report describes the LANDFIRE 2001/2008 Refresh effort to update existing map layers to reflect more current conditions, focusing primarily on vegetation changes. The effort incorporated user feedback and new data, producing two comprehensive Refresh data product sets: 1. LANDFIRE 2001 Refresh (LF_1.0.5) enhanced LANDFIRE map layers by incorporating user feedback and additional data to provide a foundation to update data to 2008. It was also designed to provide users with a data set to help facilitate comparisons between 2001 and 2008 (i.e. Refresh LF_1.1.0) data sets. 2. LANDFIRE 2008 Refresh (LF_1.1.0) updated map layers to reflect vegetation changes and disturbances that occurred between 1999 and 2008. In this report, we (1) address the background and provide details pertaining to why there are two Refresh data sets, (2) explain the requirements, planning, and procedures behind the completion and delivery of the updated products for each of the data product sets, (3) show and describe results, and (4) provide case studies illustrating the performance of LANDFIRE National, LANDFIRE 2001 Refresh and LANDFIRE 2008 Refresh (LF_1.1.0) data products on some example wildland fires.

Report↗

LANDFIRE 2001 and 2008 refresh: geographic area report: Alaska

The LANDFIRE National Project (LF_1.0.0) was successfully completed in 2009. The goal of LANDFIRE National was to generate consistent 2001 vintage 30 meter spatial data sets for all 50 States for fire and other natural resource applications. This report highlights results from the continuation of LANDFIRE as a program to update the spatial data layers through 2008. The focus of this phase of the program was to improve the data products and account for vegetation change across the landscape caused by wildland fire, fuel and vegetation treatments, and management. In addition, changes caused by insects and disease, storms, invasive plants, and other natural or anthropogenic events were incorporated when data were available. This report describes the LANDFIRE 2001/2008 Refresh effort to update existing map layers to reflect more current conditions, focusing primarily on vegetation changes. The effort incorporated user feedback and new data, producing two comprehensive Refresh data product sets: 1. LANDFIRE 2001 Refresh (LF_1.0.5) enhanced LANDFIRE map layers by incorporating user feedback and additional data to provide a foundation to update data to 2008. It was also designed to provide users with a data set to help facilitate comparisons between 2001 and 2008 (i.e. Refresh LF_1.1.0) data sets. 2. LANDFIRE 2008 Refresh (LF_1.1.0) updated map layers to reflect vegetation changes and disturbances that occurred between 1999 and 2008. In this report, we (1) address the background and provide details pertaining to why there are two Refresh data sets, (2) explain the requirements, planning, and procedures behind the completion and delivery of the updated products for each of the data product sets, (3) show and describe results, and (4) provide case studies illustrating the performance of LANDFIRE National, LANDFIRE 2001 Refresh and LANDFIRE 2008 Refresh (LF_1.1.0) data products on some example wildland fires.

Report↗

Fort Collins Science Center: Ecosystem Dynamics

Many challenging natural resource management issues require consideration of a web of interactions among ecosystem components. The spatial and temporal complexity of these ecosystem problems demands an interdisciplinary approach integrating biotic and abiotic processes. The goals of the Ecosystem Dynamics Branch are to provide sound science to aid federal resource managers and use long-term, place-focused research and monitoring on federal lands to advance ecosystem science. Current studies fall into five general areas. Herbivore-Ecosystem Interactions examines the efficacy of multiple controls on selected herbivore populations and cascading effects through predator-herbivore-plant-soil linkages. Riparian Ecology is concerned with interactions among streamflow, fluvial geomorphology, and riparian vegetation. Integrated Fire Science focuses on the effects of fire on plant and animal communities at multiple scales, and on the interactions between post-fire plant, runoff, and erosion processes. Reference Ecosystems comprises long-term, place-based studies of ecosystem biogeochemistry. Finally, Integrated Assessments is investigating how to synthesize multiple ecosystem stressors and responses over complex landscapes in ways that are useful for management and planning.

Fact Sheet↗

Mineral resource potential map of the Pecos Wilderness, Santa Fe, San Miguel, Mora, Rio Arriba, and Taos Counties, New Mexico

The Pecos Wilderness covers approximately 348 sq mi in the Santa Fe and Carson National Forests, north-central New Mexico. The area investigated includes the wilderness and approximately 150 sq mi of adjacent territory. The additional area covers several RARE II Road less Areas that were classified by the U.S. Forest Service in 1979 as Proposed Wilderness and Further Planning Areas, but were not incorporated in the Pecos Wilderness by the New Mexico Wilderness Bill. For the purpose of this report the entire area is called the study area. The study area is at the southern end of the Sangre de Cristo Range. It is characterized by an axial line of alpine peaks that rise to more than 13,000 ft, flanked on the west and north by heavily wooded ridges and canyons that drain to the Rio Grande Valley, and on the southeast by a high dissected plateau of meadows and forest. The plateau is dissected by deep canyons of the Pecos River and its tributaries, and is bounded on the east by a scarp of about 3,000 ft. Partly forested ranch land lies below the base of the scarp to the east, and beyond that is prai-rie of the Great Plains. This map is based on geologic and geochemical studies and mine and prospect investigations that were done principally in 1977 and 1979-80 (U.S. Geological Survey, U.S. Bureau of Mines, and New Mexico Bureau of Mines and Mineral Resources, 1980; Lane, 1980; Moench and Robertson, 1980; Moench, Robertson, and Sutley, 1980; Moench and Erickson, 1980; Moench, Grambling, and Robertson, 1988; Moench, Sutley, and Erickson, 1988; Erickson, Sutley, and Moench, 1986). An aeromagnetic survey covering almost all of the Pecos Wilderness was flown in 1970. The resulting aeromagnetic map was published by Moench and others (1980) and interpreted in that report by Lindreth Cordell. Cordell found no correlation between magnetic features and geologic terraines having mineral resource potential.

New Mexico↗

Surface-Water Quantity and Quality of the Upper Milwaukee River, Cedar Creek, and Root River Basins, Wisconsin, 2004

The U.S. Geological Survey, in cooperation with the Southeastern Wisconsin Regional Planning Commission (SEWRPC), collected discharge and water-quality data at nine sites in previously monitored areas of the upper Milwaukee River, Cedar Creek, and Root River Basins, in Wisconsin from May 1 through November 15, 2004. The data were collected for calibration of hydrological models that will be used to simulate how various management strategies will affect the water quality of streams. The data also will support SEWRPC and Milwaukee Metropolitan Sewerage District (MMSD) managers in development of the SEWRPC Regional Water Quality Management Plan and the MMSD 2020 Facilities Plan. These management plans will provide a scientific basis for future management decisions regarding development and maintenance of public and private waste-disposal systems. In May 2004, parts of the study area received over 13 inches of precipitation (3.06 inches is normal). In June 2004, most of the study area received between 7 and 11 inches of rainfall (3.56 inches is normal). This excessive rainfall caused flooding throughout the study area and resultant high discharges were measured at all nine monitoring sites. For example, the mean daily discharge recorded at the Cedar Creek site on May 27, 2004, was 2,120 cubic feet per second. This discharge ranked ninth of the largest 10 mean daily discharges in the 75-year record, and was the highest discharge recorded since March 30, 1960. Discharge records from continuous monitoring on the Root River Canal near Franklin since October 1, 1963, indicated that the discharge recorded on May 23, 2004, ranked second highest on record, and was the highest discharge recorded since March 4, 1974. Water-quality samples were taken during two base-flow events and six storm events at each of the nine sites. Analysis of water-quality data indicated that most concentrations of dissolved oxygen, biological oxygen demand, fecal coliform bacteria, chloride, suspended solids, nitrate plus nitrite nitrogen, ammonia nitrogen, Kjeldahl nitrogen, total phosphorus, dissolved orthophosphorus, total copper, particulate mercury, dissolved mercury, particulate methylmercury, dissolved methylmercury, and total zinc were below U.S. Environmental Protection Agency (USEPA) and State of Wisconsin water-quality standards at all sites, with the exception of dissolved oxygen at the Kewaskum, Farmington, Root River Canal, Root River Racine, and Root River Mouth sites. Each of these sites had from several days to several weeks of daily average dissolved oxygen concentrations below the 5 milligrams per liter State of Wisconsin standard for aquatic life. The lowest dissolved oxygen concentrations were measured at the heavily urbanized Root River Mouth site in downtown Racine, Wisconsin, where elevated concentrations of ammonia may have contributed to oxygen consumption during oxidation of ammonia to nitrate. Additionally, the maximum concentrations of copper in several Root River samples exceeded draft USEPA Ambient Water-Quality Criteria (U.S. Environmental Protection Agency, 2003) for acute toxicity to several species of aquatic organisms. Substantial water-quality changes were not correlated with hydrologic changes at any of the nine sites. Base-flow water-quality was generally indistinguishable from that sampled during storm events. The sparsely developed upper Milwaukee River and Cedar Creek Basins had relatively low ranges of contamination for all laboratory-reported parameters. For all nine sites, the highest reported concentrations of chloride (216 mg/L), total phosphorus (0.627 mg/L), ortho-phosphorus (0.136 mg/L), nitrate plus nitrate (9.32 mg/L), and copper (38 ?g/L) were reported for samples collected at the Root River Canal site. The highest concentrations of fecal coliforms (3,600 colonies per 100 mL) and Escherichia coli (2,300 colonies per 100 mL) were reported in samples collected at Kewaskum. The highest concentrations of s

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