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A synthesis of living shoreline perspectives

The main goal of this summary chapter is to synthesize author perspectives across the contributed chapters, make recommendations on the correct usage of the term living shorelines, and offer guidance for planning in the future. Nature-based approaches are being applied globally, as signified by the breadth of geographic coverage in this book. The author’s institutions and locations of study span the East, Gulf, and West Coasts of the United States, including the states of Massachusetts, New York, New Jersey, Maryland, Virginia, North Carolina, Florida, Alabama, Mississippi, Louisiana, Texas, California, Washington, and several national perspectives, including Hawaii; British Columbia in Canada; the Netherlands, as well as perspectives across Europe also including Belgium, Denmark, France, Germany, Spain, and the United Kingdom; Sydney Harbor in Australia; and Belize. Living shoreline techniques are very diverse and practices can vary by region, salinity and tidal regime, and degrees of natural and artificial components. Techniques covered in this book include restoring oyster reefs, eelgrass, and mangroves, planting marshes with and without supportive sills (e.g., stone, oyster shell bags, coir logs), incorporating structures such as logs and reef balls, nourishing beaches and dunes with sediment, engineering habitat features into seawalls, and managed realignment. All of these can have a variety of components, such as permitting, land acquisition, design, and monitoring. However, given the diverse representation, there are some shared commonalities that can help inform and direct shoreline management moving forward.

Book chapter↗

Survey and monitoring of species at risk at Camp Blanding Training Site, northeastern Florida

We studied the presence and distribution of 19 species at risk in northeastern Florida at the Camp Blanding Training Site (CBTS) during 2000-2001, seven years after the first major baseline surveys of CBTS were conducted. Much of the training conducted at CBTS deals with light infantry exercises, but the site is also used for mining, silviculture, hunting, fishing, emergency logistical support, and entertainment purposes. CBTS contains more than 2000 species of plants and animals in 14 natural communities, each impacted to various degrees by past and current land management. Adaptive management plans for species may be ineffective without continual feedback and the flexibility for change. Here we summarize and discuss the results of our surveys, compare these results with those of past surveys, identify differences between the surveys, and discuss the importance of systematic protocols and study design for CBTS environmental managers.

Southeastern Naturalist↗

Multiple methods for multiple futures: Integrating qualitative scenario planning and quantitative simulation modeling for natural resource decision making

Scenario planning helps managers incorporate climate change into their natural resource decision making through a structured “what-if” process of identifying key uncertainties and potential impacts and responses. Although qualitative scenarios, in which ecosystem responses to climate change are derived via expert opinion, often suffice for managers to begin addressing climate change in their planning, this approach may face limits in resolving the responses of complex systems to altered climate conditions. In addition, this approach may fall short of the scientific credibility managers often require to take actions that differ from current practice. Quantitative simulation modeling of ecosystem response to climate conditions and management actions can provide this credibility, but its utility is limited unless the modeling addresses the most impactful and management-relevant uncertainties and incorporates realistic management actions. We use a case study to compare and contrast management implications derived from qualitative scenario narratives and from scenarios supported by quantitative simulations. We then describe an analytical framework that refines the case study’s integrated approach in order to improve applicability of results to management decisions. The case study illustrates the value of an integrated approach for identifying counterintuitive system dynamics, refining understanding of complex relationships, clarifying the magnitude and timing of changes, identifying and checking the validity of assumptions about resource responses to climate, and refining management directions. Our proposed analytical framework retains qualitative scenario planning as a core element because its participatory approach builds understanding for both managers and scientists, lays the groundwork to focus quantitative simulations on key system dynamics, and clarifies the challenges that subsequent decision making must address.

Climate Risk Management↗

Hydrologic investigations in the Araguaia-Tocantins River basin (Brazil)

The Araguaia-Tocantins River basin system of central and northern Brazil drains an area of about 770,000 square kilometers and has the potential for supporting large-scale developments. During a short visit to the headquarters of the Interstate Commission for the Araguaia-Tocantins Valley and to several stream-gaging stations in June 1964, the author reviewed the status of the streamflow and meteorological data-collection programs in relation to the streamflow and meteorological data-collection programs in relation to the pressing needs of development project studies. To provide data for areal and project-site studies and for main-stream sites, an initial network of 33 stream gaging stations was proposed, including the 7 stations then in operation. Suggestions were made in regard to operations, staffing and equipment. Organizational responsibilities for operations were found to be divided uncertainly. The Brazilian Meteorological Service had 15 synoptic stations in operation in and near the basin, some in need of reconditioning. Plans were at hand for the addition of 15 sites to the synoptic network and for limited data collection at 27 other sites. The author proposed collection of precipitation data at about 50 other locations to achieve a more representative areal distribution. Temperature, evaporation, and upper-air data sites were suggested to enhance the prospective hydrometeorological studies. (USGS)

Open-File Report↗

Migration ecology and stopover population size of Red Knots Calidris canutus rufa at Mingan Archipelago after exiting the breeding grounds

Populations of migratory birds present unique conservation challenges given the often vast distances separating critical resources throughout the annual cycle. Migration areas close to the breeding grounds represent a link between two key stages of the annual cycle, and understanding migration ecology as birds exit the breeding grounds may be particularly informative for successful conservation. We studied migration phenology and stopover ecology of an endangered subspecies of the Red Knot Calidris canutus rufa at a migration area relatively close to its breeding range. Using mark-recapture/resight data and a Jolly-Seber model for open populations, we described the arrival and departure schedules, stopover duration, and passage population size at the Mingan Archipelago, Quebec, Canada. Red Knots arrived at the study area in two distinct waves of birds separated by approximately 22 days. Nearly 30% of the passage population arrived in the first wave of arrivals during 15–18 July, and approximately 22% arrived in a second wave during 8–11 August. The sex-ratio in the stopover population at the time of the first wave was slightly skewed toward females, whereas the second wave was heavily skewed toward males. Because males remain on the breeding grounds to care for young, this may reflect successful breeding in the year of our study. The estimated stopover duration (population mean) was 11 days (95% credible interval: 10.3–11.7 days), but stopover persistence was variable throughout the season. We estimated a passage population size of 9,450 birds (8,355–10,710), a minimum estimate for reasons related to the duration of our sampling. Mingan Archipelago is thus an important migration area for this endangered subspecies and could be a priority in conservation planning. Our results also emphasize the advantages of mark-recapture/resight approaches for estimating migration phenology and stopover persistence.

Quebec↗

Long-range hazard assessment of volcanic ash dispersal for a Plinian eruptive scenario at Popocatépetl volcano (Mexico): implications for civil aviation safety

Popocatépetl is one of Mexico’s most active volcanoes threatening a densely populated area that includes Mexico City with more than 20 million inhabitants. The destructive potential of this volcano is demonstrated by its Late Pleistocene–Holocene eruptive activity, which has been characterized by recurrent Plinian eruptions of large magnitude, the last two of which destroyed human settlements in pre-Hispanic times. Popocatépetl’s reawakening in 1994 produced a crisis that culminated with the evacuation of two villages on the northeastern flank of the volcano. Shortly after, a monitoring system and a civil protection contingency plan based on a hazard zone map were implemented. The current volcanic hazards map considers the potential occurrence of different volcanic phenomena, including pyroclastic density currents and lahars. However, no quantitative assessment of the tephra hazard, especially related to atmospheric dispersal, has been performed. The presence of airborne volcanic ash at low and jet-cruise atmospheric levels compromises the safety of aircraft operations and forces re-routing of aircraft to prevent encounters with volcanic ash clouds. Given the high number of important airports in the surroundings of Popocatépetl volcano and considering the potential threat posed to civil aviation in Mexico and adjacent regions in case of a Plinian eruption, a hazard assessment for tephra dispersal is required. In this work, we present the first probabilistic tephra dispersal hazard assessment for Popocatépetl volcano. We compute probabilistic hazard maps for critical thresholds of airborne ash concentrations at different flight levels, corresponding to the situation defined in Europe during 2010, and still under discussion. Tephra dispersal mode is performed using the FALL3D numerical model. Probabilistic hazard maps are built for a Plinian eruptive scenario defined on the basis of geological field data for the “Ochre Pumice” Plinian eruption (4965 14 C yr BP). FALL3D model input eruptive parameters are constrained through an inversion method carried out with the semi-analytical HAZMAP model and are varied by sampling them using probability density functions. We analyze the influence of seasonal variations on ash dispersal and estimate the average persistence of critical ash concentrations at relevant locations and airports. This study assesses the impact that a Plinian eruption similar to the Ochre Pumice eruption would have on the main airports of Mexico and adjacent areas. The hazard maps presented here can support long-term planning that would help minimize the impacts of such an eruption on civil aviation.

Popocatépetl Volcano↗

Snow conditions as an estimator of the breeding output in high-Arctic pink-footed geese Anser brachyrhynchus

The Svalbard-breeding population of pink-footed geese Anser brachyrhynchus has increased during the last decades and is giving rise to agricultural conflicts along their migration route, as well as causing grazing impacts on tundra vegetation. An adaptive flyway management plan has been implemented, which will be based on predictive population models including environmental variables expected to affect goose population development, such as weather conditions on the breeding grounds. A local study in Svalbard showed that snow cover prior to egg laying is a crucial factor for the reproductive output of pink-footed geese, and MODIS satellite images provided a useful estimator of snow cover. In this study, we up-scaled the analysis to the population level by examining various measures of snow conditions and compared them with the overall breeding success of the population as indexed by the proportion of juveniles in the autumn population. As explanatory variables, we explored MODIS images, satellite-based radar measures of onset of snow melt, winter NAO index, and the May temperature sum and May thaw days. To test for the presence of density dependence, we included the number of adults in the population. For 2000–2011, MODIS-derived snow cover (available since 2000) was the strongest indicator of breeding conditions. For 1981–2011, winter NAO and May thaw days had equal weight. Interestingly, there appears to have been a phase shift from density-dependent to density-independent reproduction, which is consistent with a hypothesis of released breeding potential due to the recent advancement of spring in Svalbard.

Svalbard↗

Conservation enhances resilience of the United States Duck Factory as environmental shifts may diminish landscape-scale waterfowl breeding capacity

Wetlands in the U.S. Prairie Pothole Region (USPPR) provide habitat for an estimated 5 million breeding ducks and remain a focal point for North American waterfowl conservation. After decades of investment, almost 20% of the USPPR is protected by some form of wetland or grassland conservation. We synthesized four decades of modeling studies aimed at understanding how environmental change may impact duck populations. We built upon past modeling efforts by applying an integrated scenario-based approach to inform wetland-waterfowl conservation planning. By century’s end, all scenarios projected declines (27%–53%) in breeding duck abundance in the USPPR. Despite these declines, areas in the USPPR with higher rates of protection and wetland density will likely continue to support the most breeding ducks, indicating resilient conservation planning. Our findings underscore the benefits of interdisciplinary efforts that can inform complex conservation decision-making in the face of environmental uncertainty.

Iowa, Minnesota, Montana, North Dakota, South Dako↗

Linking management planning for coastal wetlands to potential future wave attenuation under a range of relative sea-level rise scenarios

Understanding changes in wave attenuation by emergent vegetation as wetlands degrade or accrete over time is crucial for incorporation of wetlands into holistic coastal risk management. Linked SLAMM and XBeach models were used to investigate potential future changes in wave attenuation over a 50-year period in a degrading, subtropical wetland and a prograding, temperate wetland. These contrasting systems also have differing management contexts and were contrasted to demonstrate how the linked models can provide management-relevant insights. Morphological development of wetlands for different scenarios of sea-level rise and accretion was simulated with SLAMM and then coupled with different vegetation characteristics to predict the influence on future wave attenuation using XBeach. The geomorphological context, subsidence, and accretion resulted in large predicted reductions in the extent of vegetated land (e.g., wetland) and changes in wave height reduction potential across the wetland. These were exacerbated by increases in sea-level from +0.217 m to +0.386 m over a 50-year period, especially at the lowest accretion rates in the degrading wetland. Mangrove vegetation increased wave attenuation within the degrading, subtropical, saline wetland, while grazing reduced wave attenuation in the temperate, prograding wetland. Coastal management decisions and actions, related to coastal vegetation type and structure, have the potential to change future wave attenuation at a spatial scale relevant to coastal protection planning. Therefore, a coastal management approach that includes disaster risk reduction, biodiversity, and climate change, can be informed by coastal modeling tools, such as those demonstrated here for two contrasting case studies.

PLoS ONE↗

Avian response to fire in pine–oak forests of Great Smoky Mountains National Park following decades of fire suppression

Fire suppression in southern Appalachian pine–oak forests during the past century dramatically altered the bird community. Fire return intervals decreased, resulting in local extirpation or population declines of many bird species adapted to post-fire plant communities. Within Great Smoky Mountains National Park, declines have been strongest for birds inhabiting xeric pine–oak forests that depend on frequent fire. The buildup of fuels after decades of fire suppression led to changes in the 1996 Great Smoky Mountains Fire Management Plan. Although fire return intervals remain well below historic levels, management changes have helped increase the amount of fire within the park over the past 20 years, providing an opportunity to study patterns of fire severity, time since burn, and bird occurrence. We combined avian point counts in burned and unburned areas with remote sensing indices of fire severity to infer temporal changes in bird occurrence for up to 28 years following fire. Using hierarchical linear models that account for the possibility of a species presence at a site when no individuals are detected, we developed occurrence models for 24 species: 13 occurred more frequently in burned areas, 2 occurred less frequently, and 9 showed no significant difference between burned and unburned areas. Within burned areas, the top models for each species included fire severity, time since burn, or both, suggesting that fire influenced patterns of species occurrence for all 24 species. Our findings suggest that no single fire management strategy will suit all species. To capture peak occupancy for the entire bird community within xeric pine–oak forests, at least 3 fire regimes may be necessary; one applying frequent low severity fire, another using infrequent low severity fire, and a third using infrequently applied high severity fire.

The Condor↗

Updated estimates of long-term average dissolved-solids loading in streams and rivers of the Upper Colorado River Basin

The Colorado River and its tributaries supply water to more than 35 million people in the United States and 3 million people in Mexico, irrigating over 4.5 million acres of farmland, and annually generating about 12 billion kilowatt hours of hydroelectric power. The Upper Colorado River Basin, part of the Colorado River Basin, encompasses more than 110,000 mi 2 and is the source of much of more than 9 million tons of dissolved solids that annually flows past the Hoover Dam. High dissolved-solids concentrations in the river are the cause of substantial economic damages to users, primarily in reduced agricultural crop yields and corrosion, with damages estimated to be greater than 300 million dollars annually. In 1974, the Colorado River Basin Salinity Control Act created the Colorado River Basin Salinity Control Program to investigate and implement a broad range of salinity control measures. A 2009 study by the U.S. Geological Survey, supported by the Salinity Control Program, used the Spatially Referenced Regressions on Watershed Attributes surface-water quality model to examine dissolved-solids supply and transport within the Upper Colorado River Basin. Dissolved-solids loads developed for 218 monitoring sites were used to calibrate the 2009 Upper Colorado River Basin Spatially Referenced Regressions on Watershed Attributes dissolved-solids model. This study updates and develops new dissolved-solids loading estimates for 323 Upper Colorado River Basin monitoring sites using streamflow and dissolved-solids concentration data through 2012, to support a planned Spatially Referenced Regressions on Watershed Attributes modeling effort that will investigate the contributions to dissolved-solids loads from irrigation and rangeland practices.

Arizona, Colorado, New Mexico, Utah, Wyoming↗

Vulnerability of larval lamprey to Columbia River hydropower system operations—effects of dewatering on larval lamprey movements and survival

Numbers of adult and juvenile Pacific lamprey ( Entosphenus tridentatus ) in the upper Columbia River Basin of the interior Pacific Northwest have decreased from historical levels (Close and others, 2002), raising concerns f rom State and Federal agencies and Tribal entities. In 1994, the U.S. Fish and Wildlife Service designated Pacific lamprey as a Category 2 candidate species and in 2003, the species was petitioned for listing under the Endangered Species Act. Listing consideration and potential recovery planning are significantly hindered by a lack of information on the basic biology and ecology of lampreys, including limiting factors. To date (2015), several factors that may limit lamprey production require study, including dam passage issues, contaminants, and effects on habitat.

Open-File Report↗

Preliminary results from exploratory sampling of wells for the California oil, gas, and groundwater program, 2014–15

Introduction In 2014 and 2015, the U.S. Geological Survey (USGS) sampled water wells in the Los Angeles Basin and southern San Joaquin Valley, California, and oil wells in the San Joaquin Valley for analysis of multiple chemical, isotopic, and groundwater-age tracers. The purpose of this reconnaissance sampling was to evaluate the utility of tracers for assessing the effects of oil and gas production activities on groundwater quality in California. The study was done in cooperation with the California State Water Resources Control Board. Results of the study are intended to help design a regional groundwater-monitoring program to be implemented as part of California Senate Bill 4 (SB 4 statutes of 2013). The regional monitoring program plans to assess the effects of oil and gas production activities on groundwater quality and to provide a regional context for local monitoring of the groundwater-quality effects from well-stimulation treatments, which are techniques used to improve oil and gas production by increasing their rate of flow to the well. California SB 4 mandates that this local monitoring is to be done by oil-well operators in accordance with monitoring criteria established by the State Water Board. This report evaluates the utility of the chemical, isotopic, and groundwater-age tracers for assessing sources of salinity, methane, and petroleum hydrocarbons in groundwater overlying or near several California oil fields. Tracers of dissolved organic carbon in oil-field-formation water are also discussed. Tracer data for samples collected from 51 water wells and 4 oil wells are examined.

California↗

Evaluation of groundwater and surface-water interactions in the Caddo Nation Tribal Jurisdictional Area, Caddo County, Oklahoma, 2010-13

Streamflows, springs, and wetlands are important natural and cultural resources to the Caddo Nation. Consequently, the Caddo Nation is concerned about the vulnerability of the Rush Springs aquifer to overdrafting and whether the aquifer will continue to be a viable source of water to tribal members and other local residents in the future. Interest in the long-term viability of local water resources has resulted in ongoing development of a comprehensive water plan by the Caddo Nation. As part of a multiyear project with the Caddo Nation to provide information and tools to better manage and protect water resources, the U.S. Geological Survey studied the hydraulic connection between the Rush Springs aquifer and springs and streams overlying the aquifer. The Caddo Nation Tribal Jurisdictional Area is located in southwestern Oklahoma, primarily in Caddo County. Underlying the Caddo Nation Tribal Jurisdictional Area is the Permian-age Rush Springs aquifer. Water from the Rush Springs aquifer is used for irrigation, public, livestock and aquaculture, and other supply purposes. Groundwater from the Rush Springs aquifer also is withdrawn by domestic (self-supplied) wells, although domestic use was not included in the water-use summary in this report. Perennial streamflow in many streams and creeks overlying the Rush Springs aquifer, such as Cobb Creek, Lake Creek, and Willow Creek, originates from springs and seeps discharging from the aquifer. This report provides information on the evaluation of groundwater and surface-water resources in the Caddo Nation Jurisdictional Area, and in particular, information that describes the hydraulic connection between the Rush Springs aquifer and springs and streams overlying the aquifer. This report also includes data and analyses of base flow, evidence for groundwater and surface-water interactions, locations of springs and wetland areas, groundwater flows interpreted from potentiometric-surface maps, and hydrographs of water levels monitored in the Caddo Nation Tribal Jurisdictional Area from 2010 to 2013. Flow in streams overlying the Rush Springs aquifer, on average, were composed of 50 percent base flow in most years. Monthly mean base flow appeared to maintain streamflows throughout each year, but periods of zero flow were documented in daily hydrographs at each measured site, typically in the summer months. A pneumatic slug-test technique was used at 15 sites to determine the horizontal hydraulic conductivity of streambed sediments in streams overlying the Rush Springs aquifer. Converting horizontal hydraulic conductivities (Kh) from the slug-test analyses to vertical hydraulic conductivities (Kv) by using a ratio of Kv/Kh = 0.1 resulted in estimates of vertical streambed hydraulic conductivity ranging from 0.1 to 8.6 feet per day. Data obtained from a hydraulic potentiomanometer in streambed sediments and streams in August 2012 indicate that water flow was from the streambed sediments to the stream (gaining) at 6 of 15 sites, and that water flow was from the stream to the streambed sediments (losing) at 9 of 15 sites. The groundwater and surface-water interaction data collected at the Cobb Creek near Eakly, Okla., streamflow gaging station (07325800), indicate that the bedrock groundwater, alluvial groundwater, and surface-water resources are closely connected. Because of this hydrologic connection, large perennial streams in the study area may change from gaining to losing streams in the summer. The timing and severity of this change from a gaining to a losing condition probably is affected by the local or regional withdrawal of groundwater for irrigation in the summer growing season. Wells placed closer to streams have a greater and more immediate effect on alluvial groundwater levels and stream stages than wells placed farther from streams. Large-capacity irrigation wells, even those completed hundreds of feet below land surface in the bedrock aquifer, can induce surface-water flow from nearby streams by lowering alluvial groundwater levels below the stream altitude. Twenty-five new springs visible from public roads and paths were documented during a survey of springs in 2011. Most of the springs are in upland draws on the flanks of topographic ridges. Wetlands primarily were identified by using a combination of data sources including the National Wetlands Inventory, Soil Survey Geographic database frequently flooded soils maps, and aerial photographs. Regional flow directions were determined by analysis of water levels measured in 29 wells completed in the Rush 2 Springs aquifer in Caddo County and the Caddo Nation Tribal Jurisdictional Area. Water levels were monitored every 30 minutes in five wells by using a vented pressure transducer and a data-collection platform with real-time transmitting equipment in each well. Those five wells ranged in depth from 210 to 350 feet. Water levels in these five wells indicate that there was a decrease in water storage in the Rush Springs aquifer from October 2010 to June 2013.

Oklahoma↗

Methods for estimating flow-duration curve and low-flow frequency statistics for ungaged locations on small streams in Minnesota

Knowledge of the magnitude and frequency of low flows in streams, which are flows in a stream during prolonged dry weather, is fundamental for water-supply planning and design; waste-load allocation; reservoir storage design; and maintenance of water quality and quantity for irrigation, recreation, and wildlife conservation. This report presents the results of a statewide study for which regional regression equations were developed for estimating 13 flow-duration curve statistics and 10 low-flow frequency statistics at ungaged stream locations in Minnesota. The 13 flow-duration curve statistics estimated by regression equations include the 0.0001, 0.001, 0.02, 0.05, 0.1, 0.25, 0.50, 0.75, 0.9, 0.95, 0.99, 0.999, and 0.9999 exceedance-probability quantiles. The low-flow frequency statistics include annual and seasonal (spring, summer, fall, winter) 7-day mean low flows, seasonal 30-day mean low flows, and summer 122-day mean low flows for a recurrence interval of 10 years. Estimates of the 13 flow-duration curve statistics and the 10 low-flow frequency statistics are provided for 196 U.S. Geological Survey continuous-record streamgages using streamflow data collected through September 30, 2012. The study area includes 196 streamgages located within Minnesota and 50 miles beyond the State’s borders in North Dakota, South Dakota, Iowa, and Wisconsin. The study area was divided into five regions that were developed in a previous study using the concept of hydrologic landscape units. Geographic information system software was used to calculate 18 characteristics investigated as potential explanatory variables in regression analyses for each streamgage drainage basin. Trend analyses indicated statistically significant trends in summer 7-day low flows that were not related to precipitation patterns for 19 streamgages. For 16 of these streamgages, the streamflow record was subset using structural change analysis to identify the most recent period of record without a significant trend. The three remaining streamgages with significant trends were excluded from the final analysis because the effective period of record without a significant trend was less than 10 years. Because several streams in this study have zero flow as their minimum reported flow, weighted left-censored regression was used to analyze the flow data in an unbiased manner, with weights based on the number of years of record. A total of 115 regression equations were developed in this study to calculate flow-duration curve and low-flow frequency statistics for ungaged locations in the study area. In addition, data from 25 pairs of streamgages were used to develop drainage-area ratio equations that can be used to estimate streamflow statistics at ungaged locations on streams that have a streamgage in another location. Streamflow statistics estimated using regional regression and drainage-area ratio equations were compared among regions. For regions A, D, and E, drainagearea ratio equations were more accurate than regional regression equations for flows, but regional regression equations were more accurate for high flows. For region F, regional regression equations were consistently more accurate than drainage-area ratio equations. For region BC, the pattern in accuracies of regional regression and drainage-area ratio equations between low flows and high flows was not consistent. Equations developed in this study apply only to stream locations where flows are not substantially affected by regulation, diversion, or urbanization. All equations presented in this study will be incorporated into StreamStats, a web-based geographic information system tool developed by the U.S. Geological Survey. StreamStats allows users to obtain streamflow statistics, basin characteristics, and other information for user-selected locations on streams through an interactive map.

Iowa, Minnesota, North Dakota, South Dakota, Wisco↗

Final report: Initial ecosystem response of salt marshes to ditch plugging and pool creation: Experiments at Rachel Carson National Wildlife Refuge (Maine)

This study evaluates the response of three salt marshes, associated with the Rachel Carson National Wildlife Refuge (Maine), to the practice of ditch plugging. Drainage ditches, originally dug to drain the marsh for mosquito control or to facilitate salt hay farming, are plugged with marsh peat in an effort to impound water upstream of the plug, raise water table levels in the marsh, and increase surface water habitat. At two study sites, Moody Marsh and Granite Point Road Marsh, ditch plugs were installed in spring 2000. Monitoring of hydrology, vegetation, nekton and bird utilization, and marsh development processes was conducted in 1999, before ditch plugging, and then in 2000 and 2001 (all parameters except nekton), after ditch plugging. Each study site had a control marsh that was monitored simultaneously with the plugged marsh, and thus, we employed a BACI study design (before, after, control, impact). A third site, Marshall Point Road Marsh, was plugged in 1998. Monitoring of the plugged and control sites was conducted in 1999 and 2000, with limited monitoring in 2001, thus there was no ?before? plug monitoring. With ditch plugging, water table levels increased toward the marsh surface and the areal extent of standing water increased. Responding to a wetter substrate, a vegetation change from high marsh species (e.g., Spartina patens) to those more tolerant of flooded conditions (e.g., Spartina alterniflora) was noted at two of the three ditch plugged sites. Initial response of the nekton community (fishes and decapod crustaceans) was evaluated by monitoring utilization of salt marsh pools using a 1m2 enclosure trap. In general, nekton species richness, density, and community structure remained unchanged following ditch plugging at the Moody and Granite Point sites. At Marshall Point, species richness and density (number of individuals per m2) were significantly greater in the experimental plugged marsh than the control marsh (<2% of the control marsh was open water habitat vs. 11% of the plugged marsh). The response of birds, categorized as waterfowl & waterbirds, shorebirds & wading birds, gulls & terns, and miscellaneous (raptors, passerines, other), was variable. Following ditch plugging, bird species richness increased at the Granite Point site (1999 pre-plug = 15.4, 2000 post-plug = 26.2, 2001 post-plug = 38.7). Because of a low sample size at Moody Marsh, reliable statements on species richness cannot be made. Density of birds (no. of birds per ha) remained unchanged with ditch plugging at Granite Point Marsh, although there was a strong, but not statistically significant, trend toward increased density. This study only reports on initial responses of marsh functions to ditch plugging. Monitoring should continue at these sites, and perhaps at additional sites, for the next decade or so. A monitoring plan is recommended. Long-term monitoring will include evaluation of salt marsh development processes using SET (surface elevation table) methodology. There is concern, although not confirmed, that as ditch-plugged marshes become wetter and marsh grass production declines their ability to keep pace with sea level rise could be jeopardized. It is suggested that ditch plugging should be considered an experimental marsh management technique. Additional monitoring on the physical and habitat responses of ditch-plugged marshes is required, along with assessments of other techniques aimed at restoring open water habitat to the marsh surface.

Book↗

Management-driven science synthesis: An evaluation of Everglades restoration trajectories

The Synthesis of Everglades Restoration andEcosystem Services (SERES) Project was funded in 2010 by the U.S. Department of Interior (DOI) through the Critical Ecosystem Studies Initiative (CESI) and established to synthesize the ever-growing body of Everglades scientific information with the goal of addressing topics that have hampered restoration since the Comprehensive Everglades Restoration Plan (CERP) was passed in 2000. A distinguishing characteristic of this synthesis effort was that the target end-user was a management/ decision-maker audience. Specifically, the aim was to address the questions of the water managers and other decision leaders in a way that would illuminate and inform but not constrain or specify decisions. Since its inception, the SERES Project has been managed by the Everglades Foundation; however, a core group of scientifc experts from agencies, academic institutions, and the private sector have contributed to the project (see list on page 4). We began the project by interviewing key officials, including resource managers, decision-makers, and heads of agencies and environmental organizations. The objective of these interviews was to establish the Key Science Management Questions that needed to be addressed in order to advance restoration of the Everglades. The resulting questions led to the organization of project teams focused on Hydrology, Water Quality, Soils, Trophic Dynamics, and Landscape Pattern. In order to establish the technical basis for the project, we conducted in depth reviews of the recent scientifc literature, evaluation tools and models, and available data in each of these core areas. Finally, we developed a suite of restoration options that would aid us in addressing the Key Questions and evaluated their relative performance from hydrological, ecological, and economic perspectives. General fndings of the SERES Project are described in subsequent sections, and technical reviews and results of analyses supporting this document are available in reports on the project website.

Florida↗

Changes in nitrogen loading to the Northeast Creek Estuary, Bar Harbor, Maine, 2000 to 2010

Since 1999, the U.S. Geological Survey and the National Park Service have been monitoring land use and nitrogen loading in a 26.3-square-kilometer (10-square-mile) estuarine watershed at Acadia National Park, Mount Desert Island, Maine. The initial study linking land use and nitrogen loads entering the Northeast Creek estuary was completed in 2000, and findings were used to develop simulations of nitrogen loading to the estuary, thereby helping to inform local land-use planning decisions. At that time, the amount of nitrogen entering the Northeast Creek estuary was relatively small, and no evidence of nutrient-related degradation was observed in the Ruppia -dominated estuarine ecosystem. A new round of water-quality monitoring and streamflow measurements was conducted to determine nitrogen loading from 2008 to 2011 as a means to evaluate the effects of increased rural residential housing within the watershed since 2000. On the basis of a 2.6-percent increase in residential-housing land use in the watershed from 2000 to 2010, simulations of nitrogen export predicted a 7-percent increase in nitrogen loading to Northeast Creek. The measurement-based loads estimated for the Northeast Creek tributaries, however, increased much more than predicted, from 1.89 kilograms per hectare per year (kg/ha/yr) in 2000 to 3.12 kg/ha/yr in the time period centered on 2010—a 66-percent increase. This increase is likely primarily a result of the prevalence of much wetter conditions during the 2008–11 sampling period than during the earlier sampling period. In addition to increasing the physical transport of nitrogen in the watershed, wet climatic conditions have been shown in other studies to increase the rates of biotic and abiotic processes that control nitrogen export from northern-latitude forested watersheds. The new loading estimates, however, also support the possibility that some portion of the increase in nitrogen loading results from the observed land-use changes, and that the increase in residential housing has, in fact, contributed to the observed increase in nitrogen loading.

Maine↗