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At least 1,261 records · Page 70Linked to original sources

Influence of riparian and watershed alterations on sandbars in a Great Plains river

Anthropogenic alterations have caused sandbar habitats in rivers and the biota dependent on them to decline. Restoring large river sandbars may be needed as these habitats are important components of river ecosystems and provide essential habitat to terrestrial and aquatic organisms. We quantified factors within the riparian zone of the Kansas River, USA, and within its tributaries that influenced sandbar size and density using aerial photographs and land use/land cover (LULC) data. We developed, a priori , 16 linear regression models focused on LULC at the local, adjacent upstream river bend, and the segment (18–44 km upstream) scales and used an information theoretic approach to determine what alterations best predicted the size and density of sandbars. Variation in sandbar density was best explained by the LULC within contributing tributaries at the segment scale, which indicated reduced sandbar density with increased forest cover within tributary watersheds. Similarly, LULC within contributing tributary watersheds at the segment scale best explained variation in sandbar size. These models indicated that sandbar size increased with agriculture and forest and decreased with urban cover within tributary watersheds. Our findings suggest that sediment supply and delivery from upstream tributary watersheds may be influential on sandbars within the Kansas River and that preserving natural grassland and reducing woody encroachment within tributary watersheds in Great Plains rivers may help improve sediment delivery to help restore natural river function.

River Research and Applications↗

A numerical model investigation of the impacts of Hurricane Sandy on water level variability in Great South Bay, New York

Hurricane Sandy was a large and intense storm with high winds that caused total water levels from combined tides and storm surge to reach 4.0 m in the Atlantic Ocean and 2.5 m in Great South Bay (GSB), a back-barrier bay between Fire Island and Long Island, New York. In this study the impact of the hurricane winds and waves are examined in order to understand the flow of ocean water into the back-barrier bay and water level variations within the bay. To accomplish this goal, a high resolution hurricane wind field is used to drive the coupled Delft3D-SWAN hydrodynamic and wave models over a series of grids with the finest resolution in GSB. The processes that control water levels in the back-barrier bay are investigated by comparing the results of four cases that include: (i) tides only; (ii) tides, winds and waves with no overwash over Fire Island allowed; (iii) tides, winds, waves and limited overwash at the east end of the island; (iv) tides, winds, waves and extensive overwash along the island. The results indicate that strong local wind-driven storm surge along the bay axis had the largest influence on the total water level fluctuations during the hurricane. However, the simulations allowing for overwash have higher correlation with water level observations in GSB and suggest that island overwash provided a significant contribution of ocean water to eastern GSB during the storm. The computations indicate that overwash of 7500–10,000 m 3 s −1 was approximately the same as the inflow from the ocean through the major existing inlet. Overall, the model results indicate the complex variability in total water levels driven by tides, ocean storm surge, surge from local winds, and overwash that had a significant impact on the circulation in Great South Bay during Hurricane Sandy.

New York↗

The mechanics and three-dimensional internal structure of active magmatic systems: Kilauea volcano, Hawaii

Interpretation of abundant seismic data suggests that Kilauea's primary conduit within the upper mantle is concentrically zoned to about 34-km depth. This zoned structure is inferred to contain a central core region of relatively higher permeability, surrounded by numerous dikes that are in intermittent hydraulic communication with each other and with the central core. During periods of relatively high magma transport, the entire cross section of the conduit is utilized. During periods of relatively low to moderate transport, however, only the central core is active. As the conduit penetrates the oceanic crust and enters the volcanic shield, it simultaneously supplies the deeper sections of the rift zones (6-to 10-km depth) and the roots of the summit reservoir with picritic magma. The rift zones at depth are inferred to be almost wholly molten and to possess a high degree of fluid continuity from Heiheiahulu in the East Rift Zone, 45 km westward through the roots of the summit magma reservoir, and well into the Southwest Rift Zone. Higher in the shield, the subcaldera magma reservoir and the shallow rift zones occupy the 2-to 4-km depth interval. Summit-differentiated olivine tholeiite (ρ ≈ 2.62 g cm −3 ) is periodically injected laterally along a horizon of neutral buoyancy within the rift zones, where the density of the magma is just balanced by the in situ density of the shield (Ryan, 1987 a , b ). Deep rift zone intrusions push seaward the deep tectonic blocks of the volcano's south flank. Shallow rift intrusions build a sheeted dike complex, inferred to be in isostatic equilibrium with the higher-density deep rift cores below. General finite element analyses are presented for the deformation and stress fields surrounding such dikes in the horizontal and vertical planes. The dike tip in two and three dimensions is surrounded by a tubular core of tensile (σ 1 , σ 2 ) and shear stress (τ max ). The displacement field is characterized by counterrotating cells on either side of the dike tip which, in vertical orientation, produce the characteristic subsidence above the dike complex, with uplift on either side, forming a ridge-trough-ridge structure. A finite element model of Kilauea's shield computes the displacement fields and principal stress (σ 1 ) distributions resulting from intrusive activity on each or both of the rift zones. Within the summit region, tensile stress lobes produced by the three-dimensional upward extension of the intrusions superpose constructively to produce calderawide regimes of tensile stress, conducive to caldera development. Parametric studies of (1) intrusion in the East Rift Zone only, (2) intrusion in the Southwest Rift Zone only, and (3) intrusion in both rift zones demonstrate their unique kinematic contributions. For case 1, the caldera undergoes a counterclockwise rotation (torque up state) conducive to the development of rightstepping en echelon eruptive fissures, as exemplified by the August 14, 1971, eruption. For case 2, the caldera undergoes a clockwise rotation (torque down state) conducive to the development of left-stepping eruptive fissures, as occurred during the December 31, 1974, eruption. For case 3, the caldera substructure is driven due southward, producing the southward migration of the upper portions of the summit magma reservoir.

Journal of Geophysical Research Solid Earth↗

Comment on “Which earthquake accounts matter” by Susan E. Hough and Stacey S. Martin

In their analysis of the U.S. Geological Survey’s (USGS) “Did You Feel It?” (DYFI) data Hough and Martin (2021) claim, among other assertions, that the following: Socioeconomic and geopolitical factors can introduce biases in the USGS’ characterization of earthquakes and their effects, especially if online data collection systems are not designed to be broadly accessible; These biases can, in turn, potentially cascade in myriad ways, potentially shaping our understanding of an earthquake’s impact and the characterization of seismic hazard; and Caution should be urged when relying on data from the DYFI system to characterize the distribution of shaking from large earthquakes in India and other parts of the world (outside of the United States). Claims of inequity in access, systematic data biases, or urging caution in the usage of data from critical governmental earthquake information systems should not be made, nor taken, lightly. Several assertions made by Hough and Martin (hereafter, H&M) about the nature of DYFI contributors—and the data they provide—leave a false narrative concerning DYFI system accessibility and quality that H&M have not adequately substantiated. I describe several shortcomings of H&M’s demographic statistics and methodology, focusing on four main concerns. First, DYFI has revolutionized and greatly facilitated access to reporting intensities, in contrast to H&M claims to the contrary. Second, because DYFI does not directly collect demographic data other than the observer’s location, any demographic analyses require extraordinary inferences, well outside the normal bounds of sociodemographic analyses. Third, independent of accessibility and the geographic distribution of contributions from the public, the macroseismic data collected are nonetheless representative of the shaking and impact at each location, of quality, rapid, and thus extremely useful. Lastly, H&M fail to cite critical and pertinent prior, highly relevant scholarly studies, and as such, they misrepresent the novelty of their own work as well as miss key practical matters detailed in those prior studies. Prior to rebutting what H&M claim DYFI does not do, I will remind the reader the ways in which DYFI excels.

Seismological Research Letters↗

Evaluation of an aerial survey to estimate abundance of wintering ducks in Mississippi

Researchers have successfully designed aerial surveys that provided precise estimates of wintering populations of ducks over large physiographic regions, yet few conservation agencies have adopted these probability-based sampling designs for their surveys. We designed and evaluated an aerial survey to estimate abundance of wintering mallards ( Anas platyrhynchos ), dabbling ducks (tribe Anatini) other than mallards, diving ducks (tribes Aythini, Mergini, and Oxyurini), and total ducks in western Mississippi, USA. We used design-based sampling of fixed width transects to estimate population indices ( Î ), and we used model-based methods to correct population indices for visibility bias and estimate population abundance ( N̂ ) for 14 surveys during winters 2002–2004. Correcting for bias increased estimates of mallards, other dabbling ducks, and diving ducks by an average of 40–48% among all surveys and contributed 48–61% of the estimated variance of N̂ . However, mean-squared errors were consistently less for N̂ than Î . Estimates of N̂ met our goals for precision (CV ≤ 15%) in 7 of 14 surveys for mallards, 5 surveys for other dabbling ducks, no surveys for diving ducks, and 10 surveys for total ducks. Generally, we estimated more mallards and other dabbling ducks in mid- and late winter (Jan–Feb) than early winter (Nov–Dec) and determined that population indices from the late 1980s were nearly 3 times greater than those from our study. We developed a method to display relative densities of ducks spatially as an additional application of survey data. Our study advanced methods of estimating abundance of wintering waterfowl, and we recommend this design for continued monitoring of wintering ducks in western Mississippi and similar physiographic regions.

Mississippi↗

Integrated carbon budget models for the Everglades terrestrial-coastal-oceanic gradient: Current status and needs for inter-site comparisons

Recent studies suggest that coastal ecosystems can bury significantly more C than tropical forests, indicating that continued coastal development and exposure to sea level rise and storms will have global biogeochemical consequences. The Florida Coastal Everglades Long Term Ecological Research (FCE LTER) site provides an excellent subtropical system for examining carbon (C) balance because of its exposure to historical changes in freshwater distribution and sea level rise and its history of significant long-term carbon-cycling studies. FCE LTER scientists used net ecosystem C balance and net ecosystem exchange data to estimate C budgets for riverine mangrove, freshwater marsh, and seagrass meadows, providing insights into the magnitude of C accumulation and lateral aquatic C transport. Rates of net C production in the riverine mangrove forest exceeded those reported for many tropical systems, including terrestrial forests, but there are considerable uncertainties around those estimates due to the high potential for gain and loss of C through aquatic fluxes. C production was approximately balanced between gain and loss in Everglades marshes; however, the contribution of periphyton increases uncertainty in these estimates. Moreover, while the approaches used for these initial estimates were informative, a resolved approach for addressing areas of uncertainty is critically needed for coastal wetland ecosystems. Once resolved, these C balance estimates, in conjunction with an understanding of drivers and key ecosystem feedbacks, can inform cross-system studies of ecosystem response to long-term changes in climate, hydrologic management, and other land use along coastlines

Florida↗

Quantifying uncertainty and tradeoffs in resilience assessments

Several frameworks have been developed to assess the resilience of social-ecological systems, but most require substantial data inputs, time, and technical expertise. Stakeholders and practitioners often lack the resources for such intensive efforts. Furthermore, most end with problem framing and fail to explicitly address trade-offs and uncertainty. To remedy this gap, we developed a rapid survey assessment that compares the relative resilience of social-ecological systems with respect to a number of resilience properties. This approach generates large amounts of information relative to stakeholder inputs. We targeted four stakeholder categories: government (policy, regulation, management), end users (farmers, ranchers, landowners, industry), agency/public science (research, university, extension), and NGOs (environmental, citizen, social justice) in four North American watersheds, to assess social-ecological resilience through surveys. Conceptually, social-ecological systems are comprised of components ranging from strictly human to strictly ecological, but that relate directly or indirectly to one another. They have soft boundaries and several important dimensions or axes that together describe the nature of social-ecological interactions, e.g., variability, diversity, modularity, slow variables, feedbacks, capital, innovation, redundancy, and ecosystem services. There is no absolute measure of resilience, so our design takes advantage of cross-watershed comparisons and therefore focuses on relative resilience. Our approach quantifies and compares the relative resilience across watershed systems and potential trade-offs among different aspects of the social-ecological system, e.g., between social, economic, and ecological contributions. This approach permits explicit assessment of several types of uncertainty (e.g., self-assigned uncertainty for stakeholders; uncertainty across respondents, watersheds, and subsystems), and subjectivity in perceptions of resilience among key actors and decision makers and provides an efficient way to develop the mental models that inform our stakeholders and stakeholder categories.

Ecology and Society↗

The contribution of evaporation from the Great Lakes to the continental atmosphere: estimate based on stable isotope data

The isotopic composition of precipitation and river runoff in the vicinity of the North American Great Lakes is characterized by a higher deuterium-excess value than observed in the advecting air masses. It is suggested that this indicates that evaporated moisture from the surface waters is mixed with the atmosphere waters. A preliminary estimate of the atmospheric water balance during summer and autumn indicates that between 4.6%–15.7% of the atmospheric water content downwind from the Great Lakes is derived from lake evaporation during summer.

Geophysical Research Letters↗

Multisensor earth observations to characterize wetlands and malaria epidemiology in Ethiopia

Malaria is a major global public health problem, particularly in Sub-Saharan Africa. The spatial heterogeneity of malaria can be affected by factors such as hydrological processes, physiography, and land cover patterns. Tropical wetlands, for example, are important hydrological features that can serve as mosquito breeding habitats. Mapping and monitoring of wetlands using satellite remote sensing can thus help to target interventions aimed at reducing malaria transmission. The objective of this study was to map wetlands and other major land cover types in the Amhara region of Ethiopia and to analyze district-level associations of malaria and wetlands across the region. We evaluated three random forests classification models using remotely sensed topographic and spectral data based on Shuttle Radar Topographic Mission (SRTM) and Landsat TM/ETM+ imagery, respectively. The model that integrated data from both sensors yielded more accurate land cover classification than single-sensor models. The resulting map of wetlands and other major land cover classes had an overall accuracy of 93.5%. Topographic indices and subpixel level fractional cover indices contributed most strongly to the land cover classification. Further, we found strong spatial associations of percent area of wetlands with malaria cases at the district level across the dry, wet, and fall seasons. Overall, our study provided the most extensive map of wetlands for the Amhara region and documented spatiotemporal associations of wetlands and malaria risk at a broad regional level. These findings can assist public health personnel in developing strategies to effectively control and eliminate malaria in the region.

Amhara region↗

Metadata squared: enhancing its usability for volunteered geographic information and the GeoWeb

The Internet has brought many changes to the way geographic information is created and shared. One aspect that has not changed is metadata. Static spatial data quality descriptions were standardized in the mid-1990s and cannot accommodate the current climate of data creation where nonexperts are using mobile phones and other location-based devices on a continuous basis to contribute data to Internet mapping platforms. The usability of standard geospatial metadata is being questioned by academics and neogeographers alike. This chapter analyzes current discussions of metadata to demonstrate how the media shift that is occurring has affected requirements for metadata. Two case studies of metadata use are presented—online sharing of environmental information through a regional spatial data infrastructure in the early 2000s, and new types of metadata that are being used today in OpenStreetMap, a map of the world created entirely by volunteers. Changes in metadata requirements are examined for usability, the ease with which metadata supports coproduction of data by communities of users, how metadata enhances findability, and how the relationship between metadata and data has changed. We argue that traditional metadata associated with spatial data infrastructures is inadequate and suggest several research avenues to make this type of metadata more interactive and effective in the GeoWeb.

Book chapter↗

Rapid fluid disruption: A source for self-potential anomalies on volcanoes

Self-potential (SP) anomalies observed above suspected magma reservoirs, dikes, etc., on various volcanoes (Kilauea, Hawaii; Mount Unzen, Japan; Piton de la Fournaise, Reunion Island, Miyake Jima, Japan) result from transient surface electric fields of tens of millivolts per kilometer and generally have a positive polarity. These SP anomalies are usually attributed to electrokinetic effects where properties controlling this process are poorly constrained. We propose an alternate explanation that contributions to electric fields of correct polarity should be expected from charge generation by fluid vaporization/disruption. As liquids are vaporized or removed as droplets by gas transport away from hot dike intrusions, both charge generation and local increase in electrical resistivity by removal of fluids should occur. We report laboratory observations of electric fields in hot rock samples generated by pulses of fluid (water) through the rock at atmospheric pressure. These indicate the relative amplitudes of rapid fluid disruption (RFD) potentials and electrokinetic potentials to be dramatically different and the signals are opposite in sign. Above vaporization temperatures, RFD effects of positive sign in the direction of gas flow dominate, whereas below these temperatures, effects of negative sign dominate. This suggests that the primary contribution to observed self-potential anomalies arises from gas-related charge transport processes at temperatures high enough to produce vigorous boiling and vapor transport. At lower temperatures, the primary contribution is from electrokinetic effects modulated perhaps by changing electrical resistivity and RFD effects from high-pressure but low-temperature CO2 and SO2 gas flow ripping water molecules from saturated crustal rocks. If charge generation is continuous, as could well occur above a newly emplaced dike, positive static potentials will be set up that could be sustained for many years, and the simplest method for identifying these hot, active regions would be to identify the SP anomalies they generate.

Hawai'i↗

Origin of Bermuda's clay-rich Quaternary paleosols and their paleoclimatic significance

Red clayey paleosols that are chiefly the product of aerosolic dust deposition are interbedded in the Quaternary carbonate formations of the Bermuda oceanic island system. These paleosols provide a basis for reconstructing Quaternary atmospheric circulation patterns in the northwestern Atlantic. Geochemical analyses were performed on representative paleosol samples to identify their parent dust source. Fine-grained fractions were analyzed by energy-dispersive X ray fluorescence to determine trace element (Zr, Y, La, Ti, and Nb) concentrations and to derive geochemical signatures based on immobile element ratios. These ratios were compared with geochemical signatures determined for three possible sources of airborne dust: (1) Great Plains loess, (2) Mississippi River Valley loess, and (3) Saharan dust. The Zr/Y and Zr/La ratios provided the clearest distinction between the hypothesized dust sources. The low ratios in the paleosol B horizons most closely resemble Saharan dust in the <2-μm size class fraction. Contributions from the two North American loessial source areas could not be clearly detected. Thus Bermuda paleosols have a predominantly Saharan aerosolic dust signature. Saharan dust deposition on Bermuda during successive Quaternary glacial periods is consistent with patterns of general circulation models, which indicate that during glacial maxima the northeast summer trade winds were stronger than at present and reached latitudes higher than 30°N despite lower-than-present sea surface temperatures in the North Atlantic.

Journal of Geophysical Research D: Atmospheres↗

Effects of permafrost thaw on CO2 and CH4 exchange in a western Alaska peatland chronosequence

Permafrost soils store over half of global soil carbon (C), and northern frozen peatlands store about 10% of global permafrost C. With thaw, inundation of high latitude lowland peatlands typically increases the surface-atmosphere flux of methane (CH 4 ), a potent greenhouse gas. To examine the effects of lowland permafrost thaw over millennial timescales, we measured carbon dioxide (CO 2 ) and CH 4 exchange along sites that constitute a ~1000 yr thaw chronosequence of thermokarst collapse bogs and adjacent fen locations at Innoko Flats Wildlife Refuge in western Alaska. Peak CH 4 exchange in July (123 ± 71 mg CH 4 –C m −2 d −1 ) was observed in features that have been thawed for 30 to 70 (<100) yr, where soils were warmer than at more recently thawed sites (14 to 21 yr; emitting 1.37 ± 0.67 mg CH 4 –C m −2 d −1 in July) and had shallower water tables than at older sites (200 to 1400 yr; emitting 6.55 ± 2.23 mg CH 4 –C m −2 d −1 in July). Carbon lost via CH 4 efflux during the growing season at these intermediate age sites was 8% of uptake by net ecosystem exchange. Our results provide evidence that CH 4 emissions following lowland permafrost thaw are enhanced over decadal time scales, but limited over millennia. Over larger spatial scales, adjacent fen systems may contribute sustained CH 4 emission, CO 2 uptake, and DOC export. We argue that over timescales of decades to centuries, thaw features in high-latitude lowland peatlands, particularly those developed on poorly drained mineral substrates, are a key locus of elevated CH 4 emission to the atmosphere that must be considered for a complete understanding of high latitude CH 4 dynamics.

Environmental Research Letters↗

Small-scale water deficits after wildfires create long-lasting ecological impacts

Ecological droughts are deficits in soil–water availability that induce threshold-like ecosystem responses, such as causing altered or degraded plant-community conditions, which can be exceedingly difficult to reverse. However, 'ecological drought' can be difficult to define, let alone to quantify, especially at spatial and temporal scales relevant to land managers. This is despite a growing need to integrate drought-related factors into management decisions as climate changes result in precipitation instability in many semi-arid ecosystems. We asked whether success in restoration seedings of the foundational species big sagebrush ( Artemisia tridentata ) was related to estimated water deficit, using the SoilWat2 model and data from >600 plots located in previously burned areas in the western United States. Water deficit was characterized by: (1) the standardized precipitation-evapotranspiration index (SPEI), a coarse-scale drought index, and (2) the number of days with wet and warm conditions in the near-surface soil, where seeds and seedlings germinate and emerge (i.e. days with 0–5 cm deep soil water potential >−2.5 MPa and temperature above 0 °C). SPEI, a widely used drought index, was not predictive of whether sagebrush had reestablished. In contrast, wet-warm days elicited a critical drought threshold response, with successfully reestablished sites having experienced seven more wet-warm days than unsuccessful sites during the first March following summer wildfire and restoration. Thus, seemingly small-scale and short-term changes in water availability and temperature can contribute to major ecosystem shifts, as many of these sites remained shrubless two decades later. These findings help clarify the definition of ecological drought for a foundational species and its imperiled semi-arid ecosystem. Drought is well known to affect the occurrence of wildfires, but drought in the year(s) after fire can determine whether fire causes long-lasting, negative impacts on ecosystems.

Oregon, Idaho, Nevada, Utah↗

Bee species richness through time in an urbanizing landscape of the southeastern United State

Compared to non-urban environments, cities host ecological communities with altered taxonomic diversity and functional trait composition. However, we know little about how these urban changes take shape over time. Using historical bee (Apoidea: Anthophila) museum specimens supplemented with online repositories and researcher collections, we investigated whether bee species richness tracked urban and human population growth over the past 118 years. We also determined which species were no longer collected, whether those species shared certain traits, and if collector behavior changed over time. We focused on Wake County, North Carolina, United States where human population size has increased over 16 times over the last century along with the urban area within its largest city, Raleigh, which has increased over four times. We estimated bee species richness with occupancy models, and rarefaction and extrapolation curves to account for imperfect detection and sample coverage. To determine if bee traits correlated with when species were collected, we compiled information on native status, nesting habits, diet breadth, and sociality. We used non-metric multidimensional scaling to determine if individual collectors contributed different bee assemblages over time. In total, there were 328 species collected in Wake County. We found that although bee species richness varied, there was no clear trend in bee species richness over time. However, recent collections (since 2003) were missing 195 species, and there was a shift in trait composition, particularly lost species were below-ground nesters. The top collectors in the dataset differed in how often they collected bee species, but this was not consistent between historic and contemporary time periods; some contemporary collectors grouped closer together than others, potentially due to focusing on urban habitats. Use of historical collections and complimentary analyses can fill knowledge gaps to help understand temporal patterns of species richness in taxonomic groups that may not have planned long-term data.

North Carolina↗

From crystals to crustal-scale seismic anisotropy: Bridging the gap between rocks and seismic studies with digital geologic map data in Colorado

Deep continental crustal structures are enigmatic due to lack of direct exposures and limited tools to investigate them remotely. Seismic waves can sample these rocks, but most seismic methods focus on coarse crustal structures while laboratory measurements concentrate on crystal-scale rock properties, and little work has been conducted to bridge this interpretation gap. In some places, geologic maps of crystalline basement provide samples of the intermediate-scale fabrics and structures that may represent in situ deep crust. However, previous research has not considered natural geometric variations from map data, nor is this heterogeneity typically included in map-scale seismic property calculations. Here, we test how map-scale fabrics influence crustal seismic anisotropy in Colorado by analyzing structural data from geologic maps, combining those data with bulk rock elastic tensors to calculate map-scale seismic properties, and evaluating the resulting comparisons with observed receiver function A1 (360° periodic) arrivals. Crystalline fabrics, predicted seismic properties, and tectonic structures positively correlate with shallow and deep crustal A1 arrivals. Additionally, widespread correlations occur between mapped fault traces and regional foliations, implying that preexisting mechanical heterogeneity may have strongly influenced subsequent reactivation. We interpret that various mapped geologic contact types (e.g., lithologic and structural) generate A1 arrivals and that multiple parallel features (e.g., faults, foliations, and intrusions) contribute to a seismically visible tectonic grain. Therefore, Colorado's exhumed basement, as expressed in outcrops and maps, offers insight into modern deep crustal geological and geophysical structure.

Colorado↗

Enhancing and restoring habitat for the desert tortoise

Habitat has changed unfavorably during the past 150 y for the desert tortoise Gopherus agassizii , a federally threatened species with declining populations in the Mojave Desert and western Sonoran Desert. To support recovery efforts, we synthesized published information on relationships of desert tortoises with three habitat features (cover sites, forage, and soil) and candidate management practices for improving these features for tortoises. In addition to their role in soil health and facilitating recruitment of annual forage plants, shrubs are used by desert tortoises for cover and as sites for burrows. Outplanting greenhouse-grown seedlings, protected from herbivory, has successfully restored (>50% survival) a variety of shrubs on disturbed desert soils. Additionally, salvaging and reapplying topsoil using effective techniques is among the more ecologically beneficial ways to initiate plant recovery after severe disturbance. Through differences in biochemical composition and digestibility, some plant species provide better-quality forage than others. Desert tortoises selectively forage on particular annual and herbaceous perennial species (e.g., legumes), and forage selection shifts during the year as different plants grow or mature. Nonnative grasses provide low-quality forage and contribute fuel to spreading wildfires, which damage or kill shrubs that tortoises use for cover. Maintaining a diverse “menu” of native annual forbs and decreasing nonnative grasses are priorities for restoring most desert tortoise habitats. Reducing herbivory by nonnative animals, carefully timing herbicide applications, and strategically augmenting annual forage plants via seeding show promise for improving tortoise forage quality. Roads, another disturbance, negatively affect habitat in numerous ways (e.g., compacting soil, altering hydrology). Techniques such as recontouring road berms to reestablish drainage patterns, vertical mulching (“planting” dead plant material), and creating barriers to prevent trespasses can assist natural recovery on decommissioned backcountry roads. Most habitat enhancement efforts to date have focused on only one factor at a time (e.g., providing fencing) and have not included proactive restoration activities (e.g., planting native species on disturbed soils). A research and management priority in recovering desert tortoise habitats is implementing an integrated set of restorative habitat enhancements (e.g., reducing nonnative plants, improving forage quality, augmenting native perennial plants, and ameliorating altered hydrology) and monitoring short- and long-term indicators of habitat condition and the responses of desert tortoises to habitat restoration.

Mojave Desert↗

Science support for recovery of Southwestern Willow Flycatcher (Empidonax traillii extimus) on conserved lands in San Diego County

This document was developed based on the results of scientific research to support management and recovery of the endangered Southwestern Willow Flycatcher ( Empidonax traillii extimus ) and its habitat in San Diego County, California. A migratory species restricted to riparian habitat for breeding, the flycatcher is present in southern California from May to August. The flycatcher has declined over the last several decades primarily in response to habitat loss, and possibly Brown-headed Cowbird ( Molothrus ater ) parasitism. This document compiles and analyzes data collected by USGS scientists on population size, distribution, demography, and breeding habitat condition and uses this information to evaluate potential management options and locations relative to several variables including spatial proximity to currently occupied locations, historical occupation, and potential for restoration that would benefit the flycatcher and expand populations. Location-specific management options and habitat restoration opportunities are ranked based on the contribution of each location to promoting regional flycatcher persistence. The results of these analyses can be used by land and resource managers to develop their habitat management projects and priorities and promote flycatcher recovery.

California↗