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Updating data inputs, assessing trends, and evaluating a method to estimate probable high groundwater levels in selected areas of Massachusetts

A method to estimate the probable high groundwater level in Massachusetts, excluding Cape Cod and the islands, was developed in 1981. The method uses a groundwater measurement from a test site, groundwater measurements from an index well, and a distribution of high groundwater levels from wells in similar geologic and topographic settings. The U.S. Geological Survey, in cooperation with the Massachusetts Department of Environmental Protection, conducted an update to the Frimpter method for estimating the probable high groundwater levels in Massachusetts. The study evaluated the potential changes to the method resulting from four decades of additional groundwater-level data and the expansion of the network of wells for monitoring groundwater levels. The differences and potential benefits of daily, as opposed to monthly, measurements in the application of the method were examined because of the increased availability of high-frequency (subdaily) groundwater-level data. The study also considered long-term trends in groundwater levels that may alter the accuracy of the method. Finally, the accuracy of the estimated high groundwater levels was evaluated, and improved implementation guidance was prepared. For this study, groundwater levels in 153 wells in Massachusetts and surrounding States with records with lengths of 16 to 78 years were analyzed. The highest recorded groundwater levels ranged from 1.2 feet (ft) above land surface (flooded conditions) to 45.8 ft below land surface, with a median of 4.6 ft below land surface. The maximum annual groundwater-level range was 1.4 to 17.9 ft, with a median of 5.5 ft. The within-month variation, maximum annual groundwater-level range, and highest recorded groundwater level were computed using daily mean groundwater-level values from 28 wells with continuous records. The use of daily data resulted in larger maximum annual groundwater-level ranges (0.02 to 2.94 ft larger, with a median of 0.58 ft larger) and shallower highest-recorded groundwater levels (0.0 to 1.60 ft shallower, with a median of 0.18 ft shallower) than computations based on monthly measurements in the same wells. Statistical tests showed moderate to strong evidence of trends in measurements of both high and low groundwater levels within most of the periods during which water levels were analyzed. High groundwater levels rose beneath the land surface at most sites during four of the six periods used for analysis (1966–2015, 1986–2015, 1991–2010, and 1981–2010). Low groundwater levels also increased at many sites during most of the periods evaluated, but this trend was less widespread than the similar trends in high groundwater levels, and the trend was to deeper low groundwater levels at more sites than the trend to deeper high groundwater levels. There was no clear trend in annual groundwater-level ranges at most sites during the six periods analyzed. In general, the Frimpter method predicted shallower (higher) high groundwater levels than were observed but correctly classified sites according to their suitabilities for unmounded septic systems. The mean error of the predictions (difference between the estimated and observed groundwater levels) ranged from −3.23 ft to −1.40 ft for various approaches to estimating the groundwater-level range and selecting an index well. The method correctly classified 83 to 86 percent of monitoring-well sites according to their suitability for an unmounded septic system for many approaches to estimating the annual groundwater-level range and selecting an index well. The approach selected for estimating the annual groundwater-level range and selecting an index well will depend upon the importance of an accurate estimate of the high groundwater level as compared to the importance of an estimated high groundwater level that is less likely to be exceeded.

Connecticut, Massachusetts, New Hampshire, Rhode I↗

Double loop learning in adaptive management: the need, the challenge, and the opportunity

Adaptive management addresses uncertainty about the processes influencing resource dynamics, as well as the elements of decision making itself. The use of management to reduce both kinds of uncertainty is known as double-loop learning. Though much work has been done on the theory and procedures to address structural uncertainty, there has been less progress in developing an explicit approach for institutional learning about decision elements. Our objective is to describe evidence-based learning about the decision elements, as a complement to the formal “learning by doing” framework for reducing structural uncertainties. Adaptive management is described as a multi-phase approach to management and learning, with a set-up phase of identifying stakeholders, objectives, and other decision elements; an iterative phase that uses these elements in an ongoing cycle of technical learning about system structure and management impacts; and an institutional learning phase involving the periodic reconsideration of the decision elements. We describe a framework for institutional learning that is complementary to that of technical learning, including uncertainty metrics, propagation of change, and mechanisms and consequences of change over time. Operational issues include ways to recognize when the decision elements should be revisited, which elements should be adjusted, and how alternatives can be identified and incorporated based on experience and management performance. We discuss the application of this framework in decision making for renewable natural resources. As important as it is to learn about the processes driving resource dynamics, learning about the elements of the decision architecture is equally, if not more, important.

Environmental Management↗

Identifying transportation data and system needs for a Federal lands transportation data platform

Executive Summary Modern transportation and land-use planning efforts include information from many sources to address topics such as safety, efficiency, commercial, and social needs. This wide breadth of topics provides opportunities for collaboration and development of common tools for diverse users. In many cases, different information systems provide the spatial data and geographic content necessary for transportation and land-use planners to consider multiple lines of evidence. The Federal Highway Administration Office of Federal Lands Highway (FLH) and Federal Land Management Agency partners use detailed spatial and quantitative data to inform transportation decisions. However, logistic challenges to data sharing exist because data are often managed by separate agencies; data-exchange frameworks and interagency data agreements are insufficient; and consistency from aggregated data requires maintenance, coordination, and supporting infrastructure. The FLH and U.S. Geological Survey collaboratively examined (1) use and availability of spatial data for transportation planning and (2) a possible mechanism to use more shared and consistent data in a common planning environment. The goals of this collaborative effort were to describe data needs from the perspective of planners and to identify opportunities for shared data resources. Results presented here focus on two workshops and a subsequent investigation of data and tools available from partner agencies. The objectives of this report are to (1) describe information used in transportation planning with geographic data; (2) identify spatially explicit data that inform transportation plans and could be shared among all partners; and (3) describe current platforms, planning and administrative opportunities, and potential barriers to developing an integrated planning tool. Key information and data needs were identified in three major classes: system, user, and influential factors. System data are parts of the transportation network and information about the condition of individual segments and the network. User data provide details about the function of the system and insights into potential needs; for example, user trips between source and destinations inform road and network demands that can lead to congestion and safety issues (in the future, user data might also include scenarios and projections based on land-use plans). Influential data represent social and environmental factors that influence transit demands and network conditions. These factors could be popular locations or seasonal events that influence demand and congestion; wildlife habitat or migration intersections that affect safety and management priorities; or geologic features that influence hazards, maintenance, and safety. Responses described here provide specific information for web-tool design and give a framework for interagency communication and cooperation to address specific information needs for integrated planning. Existing web-mapping and web-services, and the data that inform them, are also described. Commonly, these data are created and published by one agency, and the core users are outside of that agency; for example, threatened species distributions are published by the U.S. Fish and Wildlife Service for consideration by planners in advance of National Environmental Policy Act (42 U.S.C. 4321 et seq.) evaluation. This report is provided to inform FLH leaders and Federal Land Management Agency partners by articulating user needs and requirements for integrated planning tool(s). Programmers creating a secure web-based data-sharing platform (with data-viewing, -analysis and -download functions) can use the information presented here to organize data and user interfaces. This integrated perspective can help FLH and Federal Land Management Agency partners develop transportation networks that better serve the needs of people in local communities and across States and the Nation.

Open-File Report↗

A comparison of four porewater sampling methods for metal mixtures and dissolved organic carbon and the implications for sediment toxicity evaluations

Evaluations of sediment quality conditions are commonly conducted using whole-sediment chemistry analyses but can be enhanced by evaluating multiple lines of evidence, including measures of the bioavailable forms of contaminants. In particular, porewater chemistry data provide information that is directly relevant for interpreting sediment toxicity data. Various methods for sampling porewater for trace metals and dissolved organic carbon (DOC), which is an important moderator of metal bioavailability, have been employed. The present study compares the peeper, push point, centrifugation, and diffusive gradients in thin films (DGT) methods for the quantification of 6 metals and DOC. The methods were evaluated at low and high concentrations of metals in 3 sediments having different concentrations of total organic carbon and acid volatile sulfide and different particle-size distributions. At low metal concentrations, centrifugation and push point sampling resulted in up to 100 times higher concentrations of metals and DOC in porewater compared with peepers and DGTs. At elevated metal levels, the measured concentrations were in better agreement among the 4 sampling techniques. The results indicate that there can be marked differences among operationally different porewater sampling methods, and it is unclear if there is a definitive best method for sampling metals and DOC in porewater.

Environmental Toxicology and Chemistry↗

Analysis of groundwater and surface water in areas of isoxaflutole application, Tuscola and Kalamazoo Counties, Michigan

The herbicide 5-cyclopropyl-4-(2-methylsulfonyl-4-trifluoromethylbenzoyl) isoxazole, also known as isoxaflutole (IXF), was conditionally approved for use on corn in Michigan in 2015. The fate of IXF and its degradates in different environmental settings and the processes by which these compounds move to groundwater or to surface-water bodies have been previously studied, but little information about possible persistence and buildup of this herbicide and its degradates in Michigan’s groundwater and surface water is available. Therefore, from 2015 to 2020, the U.S. Geological Survey, in cooperation with the Michigan Department of Agriculture and Rural Development, studied IXF and two of its degradates in two locations where IXF was applied. IXF and its degradates were rarely detected in shallow groundwater downgradient from IXF applications. In contrast, one or more of the three target IXF compounds were detected in 40 percent of surface-water samples. The degradates 1-(2-methylsulfonyl-4-trifluoromethylphenyl)-2-cyano-3-cyclopropyl propan-1-dione), also known as diketonitrile isoxaflutole (DKN), and 2-methylsulfonyl-4-(trifluoromethyl) benzoic acid (BAA), the benzoic acid analogue of IXF, were detected more frequently than the parent compound. At surface-water sites, DKN and BAA reached maximum concentrations within about the first 5 weeks after IXF application after rainfall-runoff events. Concentrations subsequent to post-application maxima decreased through time approximately following first-order, exponential loss kinetics. Carryover of DKN and BAA, from an application year to the following spring, occurred at several surface-water sites, and springtime concentrations were typically 1–5 percent of maximum, post-application concentrations. Virtually no detections were recorded later in the growing season during non-application years. Results indicate rapid loss of IXF and very few detections of the parent compound from the study areas. The degradates DKN and BAA were more frequently detected in surface runoff up to about 1 year after IXF application, but no evidence of longer-term accumulation was found.

Michigan↗

Osmium isotopes demonstrate distal transport of contaminated sediments in Chesapeake Bay

Because the isotopic composition of anthropogenic Os is normally distinctive in comparison to continental crust and is precisely measurable, this platinum-group element is attractive as a tracer of transport pathways for contaminated sediments in estuaries. Evidence herein and elsewhere suggest that biomedical research institutions are the chief source of anthropogenic Os. In the Chesapeake Bay region, uncontaminated sediments bear a crustal 187Os/188Os signature of 0.73 ?? 0.10. Slightly higher 187Os/188Os ratios occur in Re-rich Coastal Plain deposits due to post- Miocene 187Re decay. The upper Susquehanna Basin yields sediments also with higher 187Os/188Os. Beginning in the late 1970s, this signal was overprinted by a low 187Os/188Os (anthropogenic) source in the lower Susquehanna Basin. In the vicinity of Baltimore, which is a major center of heavy industry as well as biomedical research, anthropogenic Os has been found only in sediments impacted by the principal wastewater treatment plant. Surprisingly, a mid-Bay site distant from anthropogenic sources contains the strongest anthropogenic Os signal in the data set, having received anthropogenic Os sporadically since the mid-20th Century. Transport of particles to this site overrode the northward flowing bottom currents. Finding anthropogenic Os at this site cautions that other particle-borne substances, including hazardous ones, could be dispersed broadly in this estuary.Because the isotopic composition of anthropogenic Os is normally distinctive in comparison to continental crust and is precisely measurable, this platinum-group element is attractive as a tracer of transport pathways for contaminated sediments in estuaries. Evidence herein and elsewhere suggest that biomedical research institutions are the chief source of anthropogenic Os. In the Chesapeake Bay region, uncontaminated sediments bear a crustal 187Os/188Os signature of 0.73 ?? 0.10. Slightly higher 187Os/188Os ratios occur in Re-rich Coastal Plain deposits due to post-Miocene 187Re decay. The upper Susquehanna Basin yields sediments also with higher 187Os/188Os. Beginning in the late 1970s, this signal was overprinted by a low 187Os/188Os (anthropogenic) source in the lower Susquehanna Basin. In the vicinity of Baltimore, which is a major center of heavy industry as well as biomedical research, anthropogenic Os has been found only in sediments impacted by the principal wastewater treatment plant. Surprisingly, a mid-Bay site distant from anthropogenic sources contains the strongest anthropogenic Os signal in the data set, having received anthropogenic Os sporadically since the mid-20th Century. Transport of particles to this site overrode the northward flowing bottom currents. Finding anthropogenic Os at this site cautions that other particle-borne substances, including hazardous ones, could be dispersed broadly in this estuary.

Environmental Science & Technology↗

Hydrogeology and water quality in the Snake River alluvial aquifer at Jackson Hole Airport, Jackson, Wyoming, water years 2011 and 2012

The hydrogeology and water quality of the Snake River alluvial aquifer at the Jackson Hole Airport in northwest Wyoming was studied by the U.S. Geological Survey, in cooperation with the Jackson Hole Airport Board, during water years 2011 and 2012 as part of a followup to a previous baseline study during September 2008 through June 2009. Hydrogeologic conditions were characterized using data collected from 19 Jackson Hole Airport wells. Groundwater levels are summarized in this report and the direction of groundwater flow, hydraulic gradients, and estimated groundwater velocity rates in the Snake River alluvial aquifer underlying the study area are presented. Analytical results of groundwater samples collected from 10 wells during water years 2011 and 2012 are presented and summarized. The water table at Jackson Hole Airport was lowest in early spring and reached its peak in July or August, with an increase of 12.5 to 15.5 feet between April and July 2011. Groundwater flow was predominantly horizontal but generally had the hydraulic potential for downward flow. Groundwater flow within the Snake River alluvial aquifer at the airport was from the northeast to the west-southwest, with horizontal velocities estimated to be about 25 to 68 feet per day. This range of velocities slightly is broader than the range determined in the previous study and likely is due to variability in the local climate. The travel time from the farthest upgradient well to the farthest downgradient well was approximately 52 to 142 days. This estimate only describes the average movement of groundwater, and some solutes may move at a different rate than groundwater through the aquifer. The quality of the water in the alluvial aquifer generally was considered good. Water from the alluvial aquifer was fresh, hard to very hard, and dominated by calcium carbonate. No constituents were detected at concentrations exceeding U.S. Environmental Protection Agency maximum contaminant levels or health advisories; however, reduction and oxidation (redox) measurements indicate oxygen-poor water in many of the wells. Gasoline-range organics, three volatile organic compounds, and triazoles were detected in some groundwater samples. The quality of groundwater in the alluvial aquifer generally was suitable for domestic and other uses; however, dissolved iron and manganese were detected in samples from many of the monitor wells at concentrations exceeding U.S. Environmental Protection Agency secondary maximum contaminant levels. Iron and manganese likely are both natural components of the geologic materials in the area and may have become mobilized in the aquifer because of redox processes. Additionally, measurements of dissolved-oxygen concentrations and analyses of major ions and nutrients indicate reducing conditions exist at 7 of the 10 wells sampled. Measurements of dissolved-oxygen concentrations (less than 0.1 to 9 milligrams per liter) indicated some variability in the oxygen content of the aquifer. Dissolved-oxygen concentrations in samples from 3 of the 10 wells indicated oxic conditions in the aquifer, whereas low dissolved-oxygen concentrations (less than 1 milligram per liter) in samples from 7 wells indicated anoxic conditions. Nutrients were present in low concentrations in all samples collected. Nitrate plus nitrite was detected in samples from 6 of the 10 monitored wells, whereas dissolved ammonia was detected in small concentrations in 8 of the 10 monitored wells. Dissolved organic carbon concentrations generally were low. At least one dissolved organic carbon concentration was quantified by the laboratory in samples from all 10 wells; one of the concentrations was an order of magnitude higher than other detected dissolved organic carbon concentrations, and slightly exceeded the estimated range for natural groundwater. Samples were collected for analyses of dissolved gases, and field analyses of ferrous iron, hydrogen sulfide, and low-level dissolved oxygen were completed to better understand the redox conditions of the alluvial aquifer. Dissolved gas analyses confirmed low concentrations of dissolved oxygen in samples from wells where reducing conditions exist and indicated the presence of methane gas in samples from several wells. Redox processes in the alluvial aquifer were identified using a model designed to use a multiple-lines-of-evidence approach to distinguish reduction processes. Results of redox analyses indicate iron reduction was the dominant redox process; however, the model indicated manganese reduction and methanogenesis also were taking place in the aquifer. Each set of samples collected during this study included analysis of at least two, but often many anthropogenic compounds. During the previous 2008–09 study at Jackson Hole Airport, diesel-range organics were measured in small (estimated) concentrations in several samples. Samples collected from all 10 wells sampled during the 2011–12 study were analyzed for diesel-range organics, and there were no detections; however, several other anthropogenic compounds were detected in groundwater samples during water years 2011—12 that were not detected during the previous 2008–09 study. Gasoline-range organics, benzene, ethylbenzene, and total xylene were each detected (but reported as estimated concentrations) in at least one groundwater sample. These compounds were not detected during the previous study or consistently during this study. Several possible reasons these compounds were not detected consistently include (1) these compounds are present in the aquifer at concentrations near the analytical method detection limit and are difficult to detect, (2) these compounds were not from a persistent source during this study, and (3) these compounds were detected because of contamination introduced during sampling or analysis. During water years 2011–2012, groundwater samples were analyzed for triazoles, specifically benzotriazole, 4-methyl-1H-benzotriazole, and 5-methyl-1H-benzotriazole. Triazoles are anthropogenic compounds often used as an additive in deicing and anti-icing fluids as a corrosion inhibitor, and can be detected at lower laboratory reporting levels than glycols, which previously had not been detected. Two of the three triazoles measured, 4-methyl-1H-benzotriazole and 5-methyl-1H-benzotriazole, were detected at low concentrations in groundwater at 7 of the 10 wells sampled. The detection of triazole compounds in groundwater downgradient from airport operations makes it unlikely there is a natural cause for the high rates of reduction present in many airport monitor wells. It is more likely that aircraft deicers, anti-icers, or pavement deicers have seeped into the groundwater system and caused the reducing conditions.

Wyoming↗

Water use in Georgia by county for 2010 and water-use trends, 1985–2010

Water use and water withdrawals and returns in 2010 are estimated for each major river basin, principal aquifer, water-planning region, and county in Georgia using data obtained from various Federal and State agencies and local sources. Offstream water use in 2010 is estimated for the categories of public supply, domestic, commercial, industrial, mining, irrigation, livestock, aquaculture, and thermoelectric power. Water-use trends for 1985 to 2010 are also shown. The period between 2007 and 2010 was a challenging time economically and climatologically in Georgia. During that period, the United States was in the midst of a major recession, resulting in decreases in the manufacturing and construction industries and large increases in unemployment. During 2007, 2008, and the latter half of 2010, precipitation in Georgia was substantially below the 30-year norm. According to the 2010 Census of Population and Housing, nearly 9.7 million people lived in Georgia. The water for about 85 percent of that population was provided by public water suppliers. Estimated total water withdrawals from ground-water and surface-water sources were about 4,670 million gallons per day (Mgal/d) in 2010, about a 15-percent reduction from 2005 (5,471 Mgal/d). In 2010, thermoelectric-power facilities (2,046 Mgal/d) and public-supply uses (1,121 Mgal/d) accounted for 68 percent of all water withdrawn in Georgia. Surface-water withdrawals were greatest for thermoelectric-power generation (2,043 Mgal/d), whereas irrigation used the largest amount of groundwater (599 Mgal/d). Surface water provided 78 percent of the 1,121 Mgal/day withdrawn for public supply in 2010. Typically, counties in northern Georgia withdraw a larger percentage of water from surface water than groundwater sources; whereas, counties in the southern part of the State withdraw more water from groundwater sources. Historically, water withdrawals in Georgia were highest in 1980 (6,725 Mgal/d). By 1990, water use had decreased by 20 percent to 5,353 Mgal/d, but increased to 6,487 Mgal/d in 2000. By 2005, water use had decreased to an estimated 5,471 Mgal/d, and declined further to 4,670 Mgal/d in 2010—a 30-percent decrease since 1980. This decline was evident across all water-use categories, but was greatest for surface-water withdrawals by thermoelectric-power facilities. The estimated total water use per capita in 1985 (total withdrawals for all categories divided by total population) was about 850 gallons per day (gal/d), steadily decreasing to about 798 gal/d in 2000, and decreasing further to 460 gal/d in 2010. Although water use declined among all use categories during that 10-year period, most of the decline in per capita water use was caused by the large decrease in water used for thermoelectric-power generation. Throughout 1985–2010 water withdrawn for thermoelectric-power generation has constituted the largest volume of offstream water use in Georgia. Total withdrawals for thermoelectric-power generation declined about 37 percent between 2000 and 2010, mostly due to the decommissioning of power plants in the State. Also during this period, several power plants were shut down and re-tooled to use natural gas-powered generators; thus, water withdrawals for cooling were substantially reduced. The decline in water withdrawals and use between 2005 and 2010 can probably be attributed to several factors working together during this period: (1) water conservation laws and policies along with advances in water-conservation technology; (2) the onset of a major recession in 2007; and (3) below average rainfall in 2007, 2008, and the latter half of 2010. Because of these factors, water withdrawn by public suppliers decreased by 4.8 percent (despite a nearly 11-percent increase in population served) and per capita use decreased by 19 percent between 2005 and 2010. About 2,225 Mgal/d of water was returned to Georgia streams and lakes in 2010 under the National Pollutant Discharge Elimination System program administered by the Georgia Environmental Protection Division. This amount is about 48 percent of the total water withdrawn from all sources in 2010. Water returns declined 39 percent between 1995 and 2010, mirroring the decline in water withdrawals during that period. In addition, land applications of treated wastewater increased steadily between 1995 and 2010.

Georgia↗

Effects of aquifer storage and recovery activities on water quality in the Little Arkansas River and Equus Beds Aquifer, south-central Kansas, 2011–14

The Equus Beds aquifer in south-central Kansas is aprimary water source for the city of Wichita. The Equus Beds aquifer storage and recovery (ASR) project was developed to help the city of Wichita meet increasing current (2016) and future water demands. The Equus Beds ASR project pumps water out of the Little Arkansas River during above-base flow conditions, treats it using drinking-water quality standards as a guideline, and recharges it into the Equus Beds aquifer for later use. Phase II of the Equus Beds ASR project currently (2016) includes a river intake facility and a surface-water treatment facility with a 30 million gallon per day capacity. Water diverted from the Little Arkansas River is delivered to an adjacent presedimentation basin for solids removal. Subsequently, waste from the surface-water treatment facility and the presedimentation basin is returned to the Little Arkansas River through a residuals return line. The U.S. Geological Survey, in cooperation with the city of Wichita, developed and implemented a hydrobiological monitoring program as part of the ASR project to characterize and quantify the effects of aquifer storage and recovery activities on the Little Arkansas River and Equus Beds aquifer water quality. Data were collected from 2 surface-water sites (one upstream and one downstream from the residuals return line), 1 residuals return line site, and 2 groundwater well sites (each having a shallow and deep part): the Little Arkansas River upstream from the ASR facility near Sedgwick, Kansas (upstream surface-water site 375350097262800), about 0.03 mile (mi) upstream from the residuals return line site; the Little Arkansas River near Sedgwick, Kans. (downstream surface-water site 07144100), about 1.68 mi downstream from the residuals return line site; discharge from the Little Arkansas River ASR facility near Sedgwick, Kansas (residuals return line site 375348097262800); 25S 01 W 07BCCC01 SMW–S11 near CW36 (MW–7 shallow groundwater well site 375327097285401); 25S01 W 07BCCC02 DMW–S10 near CW36 (MW–7 deep groundwater well site 375327097285402); 25S 01W 07BCCA01 SMW–S13 near CW36 (MW–8 shallow groundwater well site 375332097284801); and 25S 01W 07BCCA02 DMW–S14 near CW36 (MW–8 deep groundwater well site 375332097284802). The U.S. Geological Survey, in cooperation with the city of Wichita, assessed the effects of the ASR Phase II facility residuals return line discharges on stream quality of the Little Arkansas River by measuring continuous physicochemical properties and collecting discrete water-quality and sediment samples for about 2 years pre- (January 2011 through April 2013) and post-ASR (May 2013 through December 2014) Phase II facility operation upstream and downstream from the ASR Phase II facility. Additionally, habitat variables were quantified and macroinvertebrate and fish communities were sampled upstream and downstream from the ASR Phase II facility during the study period. To assess the effects of aquifer recharge on Equus Beds groundwater quality, continuous physicochemical properties were measured and discrete water-quality samples were collected before and during the onset of Phase II aquifer recharge in two (shallow and deep) groundwater wells. Little Arkansas River streamflow was about 10 times larger after the facility began operating because of greater rainfall. Residuals return line release volumes were a very minimal proportion (0.06 percent) of downstream streamflow volume during the months the ASR facility was operating. Upstream and downstream continuously measured water temperature and dissolved oxygen median differences were smaller post-ASR than pre-ASR. Turbidity generally was smaller at the downstream site throughout the study period and decreased at both sites after the ASR Phase II facility began discharging despite a median residuals return line turbidity that was about an order of magnitude larger than the median turbidity at the downstream site. Upstream and downstream continuously measured turbidity median differences were larger post-ASR than pre-ASR. Median post-ASR continuously measured nitrite plus nitrate and continuously computed total suspended solids and suspended-sediment concentrations were smaller than pre-ASR likely because of higher streamflows and dilution; whereas, median continuously computed dissolved and total organic carbon concentrations were larger likely because of higher streamflows and runoff conditions. None of the discretely measured water-quality constituents (dissolved and suspended solids, primary ions, suspended sediment, nutrients, carbon, trace elements, viral and bacterial indicators, and pesticides) in surface water were significantly different between the upstream and downstream sites after the ASR Phase II facility began discharging; however, pre-ASR calcium, sodium, hardness, manganese, and arsenate concentrations were significantly larger at the upstream site, which indicates that some water-quality conditions at the upstream and downstream sites were more similar post-ASR. Most of the primary constituents that make up dissolved solids decreased at both sites after the ASR Phase II facility began operation. Discretely collected total suspended solids concentrations were similar between the upstream and downstream sites before the facility began operating but were about 27 percent smaller at the downstream site after the facility began operating, despite the total suspended solids concentrations in the residuals return line being 15 times larger than the downstream site. Overall habitat scores were indicative of suboptimal conditions upstream and downstream from the ASR Phase II facility throughout the study period. Substrate fouling and sediment deposition mean scores indicated marginal conditions at the upstream and downstream sites during the study period, demonstrating that sediment deposition was evident pre- and post-ASR and no substantial changes in these habitat characteristics were noted after the ASR Phase II facility began discharging. Macroinvertebrate community composition (evaluated using functional feeding, behavioral, and tolerance metrics) generally was similar between sites during the study period. Fewer macroinvertebrate metrics were significant between the upstream and downstream sites post-ASR (6) than pre-ASR (14), which suggests that macroinvertebate communities were more similar after the ASR facility began discharging. Upstream-downstream comparisons in macroinvertebrate aquatic-life-support metrics had no significant differences for the post-ASR time period and neither site was fully supporting for any of the Kansas Department of Health and Environment aquatic-life-support metrics (Macroinvertebrate Biotic Index; Kansas Biotic Index with tolerances for nutrients and oxygen-demanding substances; Ephemeroptera, Plecoptera, and Trichoptera [EPT] richness; and percentage of EPT species). Overall, using macroinvertebrate aquatic life-support criteria from the Kansas Department of Health and Environment, upstream and downstream sites were classified as partially supporting before and after the onset of ASR facility operations. Fish community trophic status and tolerance groups generally were similar among sites during the study period. Fish community Little Arkansas River Basin Index of Biotic Integrity scores at the upstream and downstream sites were indicative of fair-to-good conditions before the facility began operating and decreased to fair conditions after the facility began operating. Groundwater physicochemical changes concurrent with the beginning of recharge operations at the Sedgwick basin were more pronounced in shallow groundwater. No constituent concentrations in the pre-recharge period in comparison to the post-recharge period increased to concentrations exceeding drinking water regulations; however, nitrate decreased significantly from a pre-recharge exceedance of the U.S. Environmental Protection Agency maximum contaminant level to a post recharge nonexceedance. Shallow groundwater chemical concentrations or rates of detection increased after artificial recharge began for the ions potassium, chloride, and fluoride; phosphorus and organic carbon species; trace elements barium, manganese, nickel, arsenate, arsenic, and boron; agricultural pesticides atrazine, metolachlor, metribuzin, and simazine; organic disinfection byproducts bromodichloromethane and trichloromethane; and gross beta levels. Additionally, water temperature, and pH were larger after recharge began; and total solids and slime-forming bacteria concentrations and densities were smaller. Total solids, nitrate, and selenium significantly decreased; and potassium, chloride, nickel, arsenic, fluoride, phosphorus and carbon species, and gross beta levels significantly increased in shallow groundwater after artificial recharge. Results of biological activity reaction tests indicated that water quality microbiology was different before and after artificial recharge began; at times, these differences may lead to changes in dominant bacterial populations that, in turn, may lead to formation and expansion in populations that may cause bioplugging and other unwanted effects. Calcite, iron (II) hydroxide, hydroxyapatite, and similar minerals, had shifts in saturation indices that generally were from undersaturation toward equilibrium and, in some cases, toward oversaturation. These shifts toward neutral saturation indices might suggest reduced weathering of the minerals present in the Equus Beds aquifer. Chemical weathering in the shallow parts of the aquifer may be accelerated because of the increased water temperatures and the system is more vulnerable to clogged pores and mineral dissolution as the equilibrium state is affected by recharge and withdrawal. When oversaturation is indicated for iron minerals, plugging of aquifer materials may happen.

Kansas↗

The ecological condition of estuaries in the Gulf of Mexico

The Gulf of Mexico is a vast natural resource encompassing the coastal areas of western Florida, Alabama, Mississippi, Louisiana, and Texas, as well as a portion of Mexico. Many estuaries flow into the Gulf of Mexico and serve as nursery grounds for fish, habitat for a wide variety of wildlife, shipping routes, and a source of recreation. Estuarine-dependent species constitute more than 95 percent of the commercial fishery harvests from the Gulf of Mexico, and many important recreational fishery species depend on estuaries during some part of their life cycle. Gulf estuaries are diverse and productive ecosystems that provide a variety of valuable resources, including fish and shellfish, recreation, transportation, and water supply. Assessing the overall condition of Gulf of Mexico estuaries required incorporating data from other federal, state, and local monitoring programs to augment the information on ecological indicators collected by the U.S. Environmental Protection Agency’s (USEPA) Environmental Monitoring and Assessment Program (EMAP). The resulting document would provide a synthesis of the available knowledge about the condition of Gulf of Mexico estuaries. This document is intended for use by scientists and other citizens concerned with the ecological condition of estuaries, as well as by managers and lawmakers interested in the sustained use of estuaries for commercial and recreational purposes. It also addresses public concerns about the aesthetic quality of coastal areas vital to tourism and recreation. By producing this report on the ecological condition of estuaries in the Gulf of Mexico, we have taken one step in assessing the health of this environmental resource. We have produced an environmental “report card” to be used as a guide in the evaluation of management decisions and research directions. This report is organized in three parts: (1) an introduction that gives background information on the Gulf of Mexico, estuarine ecology, and the factors that impact estuaries in the gulf, (2) the main section on priority ecological indicators used to measure the condition of estuaries in the gulf and (3) an ecological report card that summarizes the data on ecological indicators and provides a rating of the condition of estuaries in each gulf state and for gulf estuaries overall. Many of the ratings were based on the percent area of estuaries in each state exhibiting degraded or adverse levels of an indicator. Eutrophication, a condition of high nutrients often resulting in low oxygen levels and other adverse effects, is an important water quality concern for estuaries along the gulf coast. The National Oceanic and Atmospheric Administration (NOAA) has compared the Gulf of Mexico to other coastal regions like the middle Atlantic and has ranked the Gulf of Mexico as having the highest number of point sources of nutrients and the highest percentage of land use devoted to agriculture. We evaluated monitoring data for nitrogen, chlorophyll, and dissolved oxygen as indicators of eutrophication. Although most of the estuaries exhibited high nitrogen or chlorophyll or low dissolved oxygen concentrations at least once during a survey, many times these conditions were observed in small rivers or bayous rather than in the entire estuary. Often, the percent area affected was low. The gulf estuaries had moderate conditions overall for nutrients and dissolved oxygen. Definite nutrient problems were observed in >25% of the estuarine area in Louisiana and Texas and definite dissolved oxygen problems were observed in Alabama. Contaminants in estuarine sediments provide evidence of the accumulation of chemicals from anthropogenic sources. We compared the concentrations of sediment contaminants to established guideline values to determine the proportion of estuarine area that could have potential adverse effects on living organisms. Although detectable levels of contaminants were measured in almost every estuary in the Gulf of Mexico, <25% of the estuarine area in all states had contaminant concentrations that exceeded these guidelines. Wetlands are integral parts of estuarine systems. Declining acreage means habitat loss that may be the result of commercial and residential development, hydrologic alterations, or dredge and fill operations. The Gulf of Mexico region contains more than 50% of the coastal wetland acreage in the U.S. and yet it also has the highest rate of coastal wetland loss. Nine of the top ten estuarine drainage areas ranked by total wetland area are in the Gulf of Mexico region. The most current estimates of total wetland loss over the past 200 years range from 41% to 54% for the gulf states. Although coastal wetlands continue to be altered or destroyed, some estimates indicate that the rate of loss has slowed. All gulf states were rated as having severe problems with wetland loss. The condition of benthic (bottom-dwelling) invertebrates, fish and shellfish, birds, and threatened and endangered species was used to evaluate the health of estuarine fauna. Degraded benthic communities inhabited <25% of the estuarine area in all gulf states except for Texas. Commercial fish and shellfish landings may be used as an indicator of population stability while fish biomarkers are used to measure the health of individuals in the population. Commercial landings of the top four fisheries (shrimp, menhaden, blue crab, and oyster) are stable in the gulf states while fish biomarkers indicate fair to poor fish health in Alabama and Texas and good fish health elsewhere. Coastal and marine bird populations appear to be in good condition throughout the gulf. Four threatened or endangered species inhabit coastal areas in the Gulf of Mexico: brown pelican, Gulf sturgeon, manatee, and Kemp’s ridley sea turtle. In general, populations of these species are in good to fair condition in the gulf states. Public health indicators include shellfish bed closures and chemicals found in edible fish tissue. Harvest of shellfish (primarily oyster in the Gulf of Mexico) is restricted or prohibited when concentrations of bacteria or other pathogens reach levels that could impair human health. The gulf states contain the most acreage of shellfish-growing waters in the U.S. but also have the most acreage restricted for harvest. All gulf states except Mississippi have >25% of their shellfish-growing waters restricted for harvest, mostly due to pollution from wastewater treatment plants or other upstream sources. Advisories may be issued that limit consumption when the concentrations of chemicals in fish tissue exceed levels known to be harmful to humans. Although seafood consumption advisories have been issued in all gulf states, the percent of the fish population with high concentrations of contaminants is relatively low in the gulf overall.

Alabama, Florida, Louisiana, Mississippi, Texas↗

Relationships between microbial communities and environmental parameters at sites impacted by mining of volcanogenic massive sulfide deposits, Prince William Sound, Alaska

The relations among geochemical parameters and sediment microbial communities were examined at three shoreline sites in the Prince William Sound, Alaska, which display varying degrees of impact by acid-rock drainage (ARD) associated with historic mining of volcanogenic massive sulfide deposits. Microbial communities were examined using total fatty acid methyl esters (FAMEs), a class of compounds derived from lipids produced by eukaryotes and prokaryotes (bacteria and Archaea); standard extraction techniques detect FAMEs from both living (viable) and dead (non-viable) biomass, but do not detect Archaeal FAMEs. Biomass and diversity (as estimated by FAMEs) varied strongly as a function of position in the tidal zone, not by study site; subtidal muds, Fe oxyhydroxide undergoing biogenic reductive dissolution, and peat-rich intertidal sediment had the highest values. These estimates were lowest in acid-generating, intertidal zone sediment; if valid, the estimates suggest that only one or two bacterial species predominate in these communities, and/or that Archeal species are important members of the microbial community in this sediment. All samples were dominated by bacterial FAMEs (median value >90%). Samples with the highest absolute abundance of eukaryotic FAMEs were biogenic Fe oxyhydroxides from shallow freshwater pools (fungi) and subtidal muds (diatoms). Eukaryotic FAMEs were practically absent from low-pH, sulfide-rich intertidal zone sediments. The relative abundance of general microbial functional groups such as aerobes/anaerobes and gram(+)/gram(-) was not estimated due to severe inconsistency among the results obtained using several metrics reported in the literature. Principal component analyses (PCAs) were performed to investigate the relationship among samples as separate functions of water, sediment, and FAMEs data. PCAs based on water chemistry and FAMEs data resulted in similar relations among samples, whereas the PCA based on sediment chemistry produced a very different sample arrangement. Specifically, the sediment parameter PCA grouped samples with high bulk trace metal concentration regardless of whether the metals were incorporated into secondary precipitates or primary sulfides. The water chemistry PCA and FAMEs PCA appear to be less prone to this type of artifact. Signature lipids in sulfide-rich sediments could indicate the presence of acid-tolerant and/or acidophilic members of the genus Thiobacillus or they could indicate the presence of SO4-reducing bacteria. The microbial community documented in subtidal and offshore sediments is rich in SRB and/or facultative anaerobes of the Cytophaga-Flavobacterium group; both could reasonably be expected in PWS coastal environments. The results of this study provide evidence for substantial feedback between local (meter to centimeter-scale) geochemical variations, and sediment microbial community composition, and show that microbial community signatures in the intertidal zone are significantly altered at sites where ARD drainage is present relative to sites where it is not, even if the sediment geochemistry indicates net accumulation of ARD-generated trace metals in the intertidal zone. ?? 2007 Elsevier Ltd. All rights reserved.

Applied Geochemistry↗

A field and statistical modeling study to estimate irrigation water use at Benchmark Farms study sites in southwestern Georgia, 1995-96

A benchmark irrigation monitoring network of farms located in a 32-county area in southwestern Georgia was established in 1995 to improve estimates of irrigation water use. A stratified random sample of 500 permitted irrigators was selected from a data base--maintained by the Georgia Department of Natural Resources, Georgia Environmental Protection Division, Water Resources Management Branch--to obtain 180 voluntary participants in the study area. Site-specific irrigation data were collected at each farm using running-time totalizers and noninvasive flowmeters. Data were collected and compiled for 50 farms for 1995 and 130 additional farms for the 1996 growing season--a total of 180 farms. Irrigation data collected during the 1996 growing season were compiled for 180 benchmark farms and used to develop a statistical model to estimate irrigation water use in 32 counties in southwestern Georgia. The estimates derived were developed from using a statistical approach know as "bootstrap analysis" that allows for the estimation of precision. Five model components--whether-to-irrigate, acres irrigated, crop selected, seasonal-irrigation scheduling, and the amount of irrigation applied--compose the irrigation model and were developed to reflect patterns in the data collected at Benchmark Farms Study area sites. The model estimated that peak irrigation for all counties in the study area occurred during July with significant irrigation also occurring during May, June, and August. Irwin and Tift were the most irrigated and Schley and Houston were the least irrigated counties in the study area. High irrigation intensity primarily was located along the eastern border of the study area; whereas, low irrigation intensity was located in the southwestern quadrant where ground water was the dominant irrigation source. Crop-level estimates showed sizable variations across crops and considerable uncertainty for all crops other than peanuts and pecans. Counties having the most irrigated acres showed higher variations in annual irrigation than counties having the least irrigated acres. The Benchmark Farms Study model estimates were higher than previous irrigation estimates, with 20 percent of the bias a result of underestimating irrigation acreage in earlier studies. Model estimates showed evidence of an upward bias of about 15 percent with the likely cause being a misrepresented inches-applied model. A better understanding of the causes of bias in the model could be determined with a larger irrigation sample size and increased substantially by automating the reporting of monthly totalizer amounts.

Georgia↗

Vertical self-sorting behavior in juvenile Chinook salmon (Oncorhynchus tshawytscha): evidence for family differences and variation in growth and morphology

Life history variation is fundamental to the evolution of Pacific salmon and their persistence under variable conditions. We discovered that Chinook salmon sort themselves into surface- and bottom-oriented groups in tanks within days after exogenous feeding. We hypothesised that this behaviour is correlated with subsequent differences in body morphology and growth (as measured by final length and mass) observed later in life. We found consistent morphological differences between surface and bottom phenotypes. Furthermore, we found that surface and bottom orientation within each group is maintained for at least one year after the phenotypes were separated. These surface and bottom phenotypes are expressed across genetic stocks, brood years, and laboratories and we show that the proportion of surface- and bottom-oriented offspring also differed among families. Importantly, feed delivery location did not affect morphology or growth, and the surface fish were longer than bottom fish at the end of the rearing experiment. The body shape of the former correlates with wild individuals that rear in mainstem habitats and migrate in the fall as subyearlings and the latter resemble those that remain in the upper tributaries and migrate as yearling spring migrants. Our findings suggest that early self-sorting behaviour may have a genetic basis and be correlated with other phenotypic traits that are important indicators for juvenile migration timing.

Environmental Biology of Fishes↗

Drainage infrastructure and groundwater system response to changes in sea level and precipitation, Broward County, Florida

Executive Summary Southeast Florida is highly susceptible to flooding because of its low topography and porous, highly permeable Biscayne aquifer. Rising seas will likely result in increased groundwater levels in parts of Broward County, Florida, that will reduce available soil storage and therefore increase the likelihood of inundation and flooding from precipitation events. Moreover, rising seas may also reduce the capacity of the coastal water-control structures to discharge inland waters to tidal areas, thereby increasing surface-water stage and nearby groundwater levels. Increased rainfall intensity will likely further increase peak surface-water stages and groundwater levels, more quickly fill the reduced soil storage capacity, and increase the likelihood for inundation. Managers and planners in Broward County, Florida, face the challenge of understanding and preparing for the consequent risk to residents, businesses, and critical infrastructure posed by increased sea level and precipitation. The U.S. Geological Survey, in cooperation with the Broward County Environmental Planning and Resilience Division, has developed a groundwater/surface-water model to evaluate the response of the drainage infrastructure and groundwater system in Broward County to projected increases in sea level and potential changes in precipitation. The model was constructed using Modular Finite-Difference Groundwater Flow Model Newton formulation, with the surface-water system represented using the Surface-Water Routing process and the Urban Runoff process. The aquifer layering and flow parameters rely heavily on existing hydrologic flow models developed by the U.S. Geological Survey for the same model area. The surface-water drainage system within this newly developed model actively simulates the extensive canal network using level-pool routing and active structures representing gates, weirs, culverts, and pumps. Steady-state and transient simulation results represented historical conditions (2013–17). The simulated historical groundwater levels and upstream stage and flow at the primary structures generally captured the behavior of the actual hydrologic system. Simulation results incorporating increased sea level and precipitation were used to evaluate the effects of these projected changes on the surface-water drainage system and wet season groundwater levels. Four future sea-level scenarios were simulated by modifying the historical inputs for both steady-state and the transient versions of the model to represent mean sea levels of 0.5, 2.0, 2.5, and 3.0 feet (ft) above the North American Vertical Datum of 1988. These mean sea levels correspond to sea-level rises of 1.05, 2.55, 3.05, and 3.55 ft, respectively, above the 2013–17 mean measured tidal stage. Additional simulations represented a 15-percent increase in rainfall rates using the transient model and a 15-percent increase in rainfall recharge using the steady-state model. The simulated results indicated that (1) the effects of increased sea level were more evident in the easternmost, coastal areas of the county where increases in groundwater levels are nearly equivalent to sea-level rise; (2) groundwater levels west of the coastal water-control structures only changed slightly in response to increased sea level for most scenarios; (3) when the control elevations of the gravity-controlled coastal water-control structures were surpassed by sea-level rise, the resulting increases in upstream stage in the connected primary canal resulted in increased groundwater levels that can propagate into the western parts of the county; (4) the historical west-to-east downward gradient in groundwater levels decreased with increased sea level, and groundwater levels were lower in central parts of the county than areas west and east for the higher sea-level scenarios; (5) simulated upstream stage for most of the primary coastal water-control structures increased with increased sea level, with the largest increases occurring at gravity-controlled structures having the lowest control elevations; (6) total flow through the primary structures increased as sea level increased because of additional groundwater leakage into the surface-water network; (7) the 3.0-ft mean sea-level rise scenario resulted in an increase of 37.10 square miles in area having a wet season average depth to groundwater of less than 2 ft, and an increase of 22.84 square miles in newly inundated areas compared to historical simulation results; and (8) a 15-percent increase in rainfall rate for the entire simulation period produced little increase in upstream stages at the primary structures and an increase in total flow through the primary structures proportional to the increase in rainfall.

Florida↗

Determining the pattern of cementum annuli and relationship to reproduction in male sea otters

Since the early 1990s, the southwestern Alaskan sea otter (Enhydra lutris) population has declined dramatically and the cause has yet to be determined. Population trajectories of large mammals are determined by three factors: survival rate, reproduction rate, and age of first reproduction (AFR). Of these three, AFR should respond first to environmental change. Life history theory predicts that AFR will be older with bottom-up causes (ie, food limitation) and younger when the cause of the decline is top-down (ie, predation), as there is usually abundant resources in this scenario. Traditionally, determining AFR required lethal sampling, which may not always be possible. Work on many mammalian species suggests that the width of annual cementum layers in teeth may decline when breeding begins. If so, examining teeth annuli may provide a nonlethal alternative for determining AFR. Ongoing research has shown this relationship in female sea otters, but male sea otters have not been tested. Sea otter testes and premolar teeth slides were collected by subsistence hunters working with the US Fish and Wildlife Service and the Alaska Sea Otter and Steller Sea Lion Commission from Alaska (1994– 2005). We determined the pattern in cementum annuli thickness for male sea otters across age by measuring annuli at three sites on each of the two slide sections available. We found that cementum annuli layers decreased with age, but found no correlation between cementum annuli and sexual maturity in male sea otters. This lack of correlation may be due to sampling error or different energy expenditures during reproduction for each sex. Since females expend large amounts of energy through gestation and lactation, we hypothesize that the width of female cementum annuli decreases at a much sharper rate when they reach AFR. The southwest Alaskan sea otter population has plummeted up to 90% since the early 1990s and the reason is unknown.1 Declines may be due to a bottom-up source caused by lack of food and habitat that occurs when populations are dense, in which case we would expect reproduction rates to decrease and age of first reproduction (AFR) to increase. However, circumstantial evidence suggests that the decline may be due to a top-down source, ie, predation.2 In this case, we would expect reproduction rates to increase and AFR to decrease due to lowered densities that coincide with top-down declines.3 An ongoing study of female sea otters has shown that past reproduction can be determined by analysis of cementum annuli in the teeth, and used to calculate AFR.4 Cementum annuli are annual deposits of minerals that occur on the root of a tooth that correspond to the growth of the animal (Figure 1). During summer and spring, growth is fast which accounts for the white area, but during winter, growth slows down and the cementum is compressed which accounts for a darkened line. In females, the relationship between cementum width declines and reproduction likely reflects the large expenditure of energy that is required during gestation and lactation. However, male and female mammals expend energy for reproduction in very distinct ways,3 and the same pattern of cementum decline may not be present in males. Since shifts in the life history strategy of males are poorly understood, we are interested in testing the relationship between cementum declines and reproduction in male sea otters using cementum analysis.

Ethnicity and Disease↗

Trends in summer chemistry linked to productivity in lakes recovering from acid deposition in the Adirondack region of New York

The US Environmental Protection Agency established the Adirondack Effects Assessment Program (AEAP) to evaluate and monitor the status of biological communities in lakes in the Adirondack region of New York that have been adversely affected by acid deposition. This program includes chemical analysis of 30 lakes, sampled two to three times each summer. Results of trends analysis for lake chemistry and chlorophyll a (chlor a) are presented for 1994 to 2003, and a general comparison is made with recent results of the Adirondack Long-Term Monitoring (ALTM) Program, which included chemical analysis of all but two of these lakes (plus an additional 24 lakes) monthly, year-round for 1992-2004. Increases in pH were found in 25 of the 30 AEAP lakes (P < 0.05) and increases in acid-neutralizing capacity (ANC) were found in 12 of the 30 lakes (P < 0.05). Concentrations of both SO 42- and Mg 2+ decreased in 11 lakes (P < 0.05), whereas concentrations of NO 3- decreased in 20 lakes (P < 0.05). Concentrations of NH 4+ decreased in 10 lakes at a significance level of P < 0.05 and in three other lakes based on P < 0.1. Concentrations of inorganic and organic monomeric aluminum generally were below the reporting limit of 1.5 ??mol L-1, but decreases were detected in four and five lakes, respectively (P < 0.1). Concentrations of chlor a increased in seven lakes at a significance level of P < 0.05 and two lakes at a significance level of P < 0.1. A significant inverse correlation was also found between chlor a and NO 3- concentrations in nine lakes at a significance level of P < 0.05 and two lakes at a significance level of P < 0.1. Results of AEAP analysis of lake chemistry were similar to those of the ALTM Program, although decreases in SO 42- concentrations were more evident in the year-round ALTM record. Overall, the results suggest (a) a degree of chemical recovery from acidification during the summer, (b) an increase in phytoplankton productivity, and (c) a decreasing trend in NO 3- concentrations resulting from the increased productivity. ?? 2007 Springer Science+Business Media, Inc.

Ecosystems↗

Metallothionein-like multinuclear clusters of mercury(II) and sulfur in peat

Strong mercury(II)–sulfur (Hg-SR) bonds in natural organic matter, which influence mercury bioavailability, are difficult to characterize. We report evidence for two new Hg-SR structures using X-ray absorption spectroscopy in peats from the Florida Everglades with added Hg. The first, observed at a mole ratio of organic reduced S to Hg (S red /Hg) between 220 and 1140, is a Hg 4 S x type of cluster with each Hg atom bonded to two S atoms at 2.34 Å and one S at 2.53 Å, and all Hg atoms 4.12 Å apart. This model structure matches those of metal–thiolate clusters in metallothioneins, but not those of HgS minerals. The second, with one S atom at 2.34 Å and about six C atoms at 2.97 to 3.28 Å, occurred at S red /Hg between 0.80 and 4.3 and suggests Hg binding to a thiolated aromatic unit. The multinuclear Hg cluster indicates a strong binding environment to cysteinyl sulfur that might impede methylation. Along with a linear Hg(SR) 2 unit with Hg—S bond lengths of 2.34 Å at S red /Hg of about 10 to 20, the new structures support a continuum in Hg-SR binding strength in natural organic matter.

Environmental Science & Technology↗

Aquifer susceptibility in Virginia, 1998-2000

The U.S. Geological Survey (USGS), in cooperation with the Virginia Department of Health, sampled water from 171 wells and springs across the Commonwealth of Virginia between 1998 and 2000 as part of the Virginia Aquifer Susceptibility study. Most of the sites sampled are public water supplies that are part of the comprehensive Source Water Assessment Program for the Commonwealth. The fundamental premise of the study was that the identification of young waters (less than 50 years) by multiple environmental tracers could be used as a guide for classifying aquifers in terms of susceptibility to contamination from near-surface sources. Environmental tracers, including chlorofluorocarbons (CFCs), sulfur hexafluoride (SF6), tritium (3H), and tritium/helium-3 (3H/3He), and carbon isotopes (14C and d13C) were used to determine the age of water discharging from wells and springs. Concentrations of CFCs greater than 5 picograms per kilogram and 3H concentrations greater than 0.6 tritium unit were used as thresholds to indicate that parts of the aquifer sampled have a component of young water and are, therefore, susceptible to near-surface contamination. Concentrations of CFCs exceeded the susceptibility threshold in 22 percent of the wells and in one spring sampled in the Coastal Plain regional aquifer systems. About 74 percent of the samples from wells with the top of the first water zone less than 100 feet below land surface exceeded the threshold values, and water supplies developed in the upper 100 feet of the Coastal Plain are considered to be susceptible to contamination from near-surface sources. The maximum depth to the top of the screened interval for wells that contained CFCs was less than 150 feet. Wells completed in the deep confined aquifers in the Coastal Plain generally contain water older than 1,000 years, as indicated by carbon-14 dating, and are not considered to be susceptible to contamination under natural conditions. All of the water samples from wells and springs in the fractured-rock terrains (the Appalachian Plateaus, Valley and Ridge, Blue Ridge, and Piedmont regional aquifer systems) contained concentrations of CFCs and 3H greater than one or both of the thresholds. Because all of the water samples exceeded at least one of the threshold values, young water is present throughout most of these regional aquifer systems; therefore, water supplies developed in these systems are susceptible to contamination from near-surface sources. No relation between well depth and presence of CFCs is evident from samples in the fractured-rock terrains. More than 95 percent of the samples for which the dating methods were applicable contained waters with apparent ages less than 35 years. About 5 percent of these samples, most of which were from the Blue Ridge and Piedmont regional aquifer systems, contained young waters with apparent ages of less than 5 years. Most of the samples from the Valley and Ridge Carbonate, Blue Ridge, and Piedmont regional aquifer systems had young water fractions of more than 50 percent, whereas samples from the Coastal Plain Shallow and Appalachian Plateaus regional aquifer systems contained less than 40 percent young waters. Concentrations of CFCs in excess of air-water equilibrium, which can indicate that nonatmospheric sources (such as sewage effluent) have introduced CFCs into the ground-water system, were measured in 6 and 48 percent of the water samples from the Coastal Plain and fractured-rock regional aquifer systems, respectively. The nitrate (NO3) concentrations greater than the USGS detection level of 0.05 milligrams per liter generally increase as the apparent age of the young water fraction decreases, with the highest NO3 concentrations for samples in which one or more of the CFCs are above modern atmospheric mixing ratios (commonly referred to as 'contaminated' for ground-water dating purposes).

Virginia↗