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Organic contaminants, trace and major elements, and nutrients in water and sediment sampled in response to the Deepwater Horizon oil spill

Beach water and sediment samples were collected along the Gulf of Mexico coast to assess differences in contaminant concentrations before and after landfall of Macondo-1 well oil released into the Gulf of Mexico from the sinking of the British Petroleum Corporation's Deepwater Horizon drilling platform. Samples were collected at 70 coastal sites on the Gulf of Mexico between May 7 and July 7, 2010, to document baseline, "pre-landfall" conditions. A subset of these sites was resampled during October 4 to 14, 2010, after oil had made landfall on the Gulf of Mexico coast ("post-landfall") to determine if actionable concentrations of oil were present along shorelines. Few organic contaminants were detected in water; their detection frequencies were generally low and similar in pre-landfall and post-landfall samples. Only one organic contaminant, toluene, had significantly higher concentrations in post-landfall than pre-landfall water samples. No samples exceeded any human-health benchmarks, and only one sample exceeded an aquatic-life benchmark-the toxic-unit benchmark for polycyclic aromatic hydrocarbons (PAH) mixtures was exceeded in one post-landfall water sample from Louisiana. No exceedance was observed in the corresponding pre-landfall water sample at this site. In sediment, several PAHs were detected at over 20 percent of sites. Concentrations of 3 parent PAHs and 17 alkylated PAH groups were significantly higher in post-landfall samples than pre-landfall samples. One pre-landfall sample from Texas exceeded the sediment toxic-unit benchmark for PAH mixtures; this site was not sampled during the post-landfall period, so no comparison between sampling periods could be made. Twenty-seven percent of sediment samples exceeded empirical sediment-quality benchmarks (upper screening values) for PAHs, indicating these samples are in the probable-effect range. A higher percentage of post-landfall samples exceeded upper screening-value benchmarks (37 percent) than did pre-landfall samples (22 percent), but there was no significant difference in the proportion of samples exceeding one or more benchmarks between paired pre-landfall and post-landfall samples. Seven sites had the largest concentration differences between post-landfall and pre-landfall samples for fifteen alkylated PAHs. Five of these seven sites (1 site in Louisiana, 1 in Mississippi, and 3 in Alabama) were identified on the basis of diagnostic geochemical biomarkers as containing Macondo-1 oil in post-landfall sediments and tarballs, as described in a companion report by Rosenbauer and others (2010). For trace and major elements in water, analytical reporting levels for several elements were highly variable; after censoring to a common reporting threshold, concentrations were significantly different between pre-landfall and post-landfall samples for a few elements, all of which are elements in seawater. No human-health benchmarks were exceeded, although these were available for only two elements. Aquatic-life benchmarks for trace elements were exceeded in almost 50 percent of water samples. Post-landfall samples exceeded one or more acute benchmarks in 21 percent, and chronic benchmarks in 93 percent of samples, compared to 1 percent (acute) and 39 percent (chronic) for pre-landfall samples. The elements responsible for the most exceedances in post-landfall samples were boron (48 samples), copper (22), and manganese (12). Nickel and vanadium, which U.S. Environmental Protection Agency specifically identified as relevant to the oil spill, were responsible for exceedances in only one of the fifty-two post-landfall samples with exceedances. These results represent the minimum number of exceedances for several trace elements because a substantial number of samples could not be compared with benchmarks because the element was determined during only one sampling period (boron and vanadium) or the reporting level for the sample was higher than the applicable benchmark value (for example, cobalt, copper, lead, and nickel). The high and variable reporting levels for trace elements in water also precluded the statistical comparison between sampling periods of the proportion of samples exceeding benchmarks. For trace elements in whole (unsieved) sediment, 47 percent of samples exceeded empirical upper screening-value benchmarks, indicating these samples are in the probable-effect range. However, there was no significant difference in the proportion of samples exceeding one or more benchmarks between paired pre-landfall post-landfall samples. Benchmark exceedance frequencies could be conservatively high, because they are based on measurements of total trace-element concentrations, including the sediment matrix. In fine sediment (the less than 63-micrometer sediment fraction), one or more trace or major elements were anthropogenically enriched relative to national baseline values for U.S. streams for almost all sediment samples (123 of 124). Sixteen percent of sediment samples exceeded upper screening-value benchmarks for, and were enriched in, one or more of the element(s) barium (in 14 samples), vanadium (5), aluminum (3), manganese (3), arsenic (2), chromium (2), and cobalt (1). These samples, collected from Louisiana and Texas, were evenly divided between the pre-landfall (9 samples) and post-landfall (10 samples) periods. Considering all the information evaluated in this report, there were significant differences between pre-landfall and post-landfall samples for PAH concentrations in sediment. Pre-landfall and post-landfall samples did not differ significantly in concentrations or benchmark exceedances for most organics in water or trace elements in sediment. For trace elements in water, aquatic-life benchmarks were exceeded in almost 50 percent of samples, but the high and variable analytical reporting levels precluded statistical comparison of benchmark exceedances between sampling periods. Concentrations of several PAH compounds in sediment were significantly higher in post-landfall samples than pre-landfall samples, and five of seven sites with the largest differences in PAH concentrations also had diagnostic geochemical evidence of Deepwater Horizon Macondo-1 oil from Rosenbauer and others (2010).

Open-File Report↗

Nutrient and triazine-herbicide concentrations in streams of the Chickies Creek Basin, south-central Pennsylvania, during low-flow conditions

Excessive nutrients and herbicides in surface and ground water can affect human health and the aquatic life in Chickies Creek. Potential sources of these contaminants are all around us—direct application of nutrients and herbicides on land, discharge from wastewater-treatment and septic systems, and even deposition from the atmosphere. However, by far the largest source in the Chickies Creek Basin is the application of nutrients and herbicides for agricultural purposes. Because the land use in Chickies Creek Basin is predominantly agricultural (83 percent), the potential for surfaceand ground-water contamination is great. In fact, the Pennsylvania Department of Environmental Protection (PaDEP) has listed the Chickies Creek Basin as 1 of 50 watersheds most susceptible to surface- and ground-water contamination in Pennsylvania (out of 478 surveyed).

Pennsylvannia↗

Escherichia coli at Ohio bathing beaches—Distribution, sources, wastewater indicators, and predictive modeling

Results of studies during the recreational seasons of 2000 and 2001 strengthen the science that supports monitoring of our Nation's beaches. Water and sediment samples were collected and analyzed for concentrations of Escherichia coli ( E. coli ). Ancillary water-quality and environmental data were collected or compiled to determine their relation to E. coli concentrations. Data were collected at three Lake Erie urban beaches (Edgewater, Villa Angela, and Huntington), two Lake Erie beaches in a less populated area (Mentor Headlands and Fairport Harbor), and one inland-lake beach (Mosquito Lake). The distribution of E. coli in water and sediments within the bathing area, outside the bathing area, and near the swash zone was investigated at the three Lake Erie urban beaches and at Mosquito Lake. (The swash zone is the zone that is alternately covered and exposed by waves.) Lake-bottom sediments from outside the bathing area were not significant deposition areas for E. coli . In contrast, interstitial water and subsurface sediments from near the swash zone were enriched with E. coli . For example, E. coli concentrations were as high as 100,000 colonies per 100 milliliters in some interstitial waters. Although there are no standards for E. coli in swash-zone materials, the high concentrations found at some locations warrant concern for public health. Studies were done at Mosquito Lake to identify sources of fecal contamination to the lake and bathing beach. Escherichia coli concentrations decreased with distance from a suspected source of fecal contamination that is north of the beach but increased at the bathing beach. This evidence indicated that elevated E. coli concentrations at the bathing beach are of local origin rather than from transport of bacteria from sites to the north. Samples collected from the three Lake Erie urban beaches and Mosquito Lake were analyzed to determine whether wastewater indicators could be used as surrogates for E. coli at bathing beaches. None of the concentrations of wastewater indicators of fecal contamination, including 3b-coprostanol and cholesterol, were significantly correlated (a=0.05) to concentrations of E. coli . Concentrations of the two compounds that were significantly correlated to E. coli were components of coal tar and asphalt, which are not necessarily indicative of fecal contamination. Data were collected to build on an earlier 1997 study to develop and test multiple-linear-regression models to predict E. coli concentrations using water-quality and environmental variables as explanatory variables. The probability of exceeding the single-sample bathing-water standard for E. coli (235 colonies per 100 milliliters) was used as the model output variable. Threshold probabilities for each model were established. Computed probabilities that are less than a threshold probability indicate that bacterial water quality is most likely acceptable. Computed probabilities equal to or above the threshold probability indicate that the water quality is most likely not acceptable and that a water-quality advisory may be needed. Models were developed at each beach, whenever possible, using combinations of 1997, 2000, and (or) 2001 data. The models developed and tested in this study were shown to be beach specific; that is, different explanatory variables were used to predict the probability of exceeding the standard at each beach. At Mentor Headlands and Fairport Harbor, models were not developed because water quality was generally good. At the three Lake Erie urban beaches, models were developed with variable lists that included the number of birds on the beach at the time of sampling, lake-current direction, wave height, turbidity, streamflow of a nearby river, and rainfall. The models for Huntington explained a larger percentage of the variability in E. coli concentrations than the models for Edgewater and Villa Angela. At Mosquito Lake, a model based on 2000 and 2001 data contained the explanatory variables rainfall, number of dry days preceding a rainfall, date, wind direction, wind speed, and turbidity. Additional research could include testing the threshold probabilities assigned for these models in subsequent years and comparing the models’ ability to predict recreational water quality to results from the current method—using antecedent E. coli concentrations. Each year the model is tested, new data can be added and model variables can be recalculated to determine whether the predictive ability improves with additional data.

Ohio↗

Assembling the right pieces: Developing an interdisciplinary team to study disease, decline, and recovery of a world-class Smallmouth Bass fishery

Managing and understanding fisheries dynamics are becoming more complex as new and seemingly more complicated environmental factors are identified. Often management requires resources beyond that of any one entity and calls for collaboration among partners with differing priorities and backgrounds to account for the complexity of factors influencing fisheries. We present a collaborative case study from the Susquehanna River basin, Pennsylvania, where Smallmouth Bass Micropterus dolomieu have faced population declines, mortality events, and notable signs of disease in recent years. Collaboration was required to study many facets of the fishery and the environment simultaneously to better understand risk factors and underlying relationships influencing Smallmouth Bass health. The outcomes from this interdisciplinary collaboration allowed for identification of contributing risk factors, led to the development of products and analytical techniques that were mutually beneficial to all partners involved, and provided knowledge that was integrated into fish health and fisheries management.

Maryland, New York, Pennsylvania↗

Feather lead concentrations and 207Pb/206Pb ratios reveal lead exposure history of California Condors (Gymnogyps californianus)

Lead poisoning is a primary factor impeding the survival and recovery of the critically endangered California Condor ( Gymnogyps californianus ). However, the frequency and magnitude of lead exposure in condors is not well-known in part because most blood lead monitoring occurs biannually, and biannual blood samples capture only ∼10% of a bird’s annual exposure history. We investigated the use of growing feathers from free-flying condors in California to establish a bird’s lead exposure history. We show that lead concentration and stable lead isotopic composition analyses of sequential feather sections and concurrently collected blood samples provided a comprehensive history of lead exposure over the 2−4 month period of feather growth. Feather analyses identified exposure events not evident from blood monitoring efforts, and by fitting an empirically derived timeline to actively growing feathers, we were able to estimate the time frame for specific lead exposure events. Our results demonstrate the utility of using sequentially sampled feathers to reconstruct lead exposure history. Since exposure risk in individuals is one determinant of population health, our findings should increase the understanding of population-level effects from lead poisoning in condors; this information may also be helpful for other avian species potentially impacted by lead poisoning.

California↗

Substitution of inland fisheries with aquaculture and chicken undermines human nutrition in the Peruvian Amazon

With declining capture fisheries production, maintaining nutrient supplies largely hinges on substituting wild fish with economically comparable farmed animals. Although such transitions are increasingly commonplace across global inland and coastal communities, their nutritional consequences are unknown. Here, using human demographic and health information, and fish nutrient composition data from the Peruvian Amazon, we show that substituting wild inland fisheries with chicken and aquaculture has the potential to exacerbate iron deficiencies and limit essential fatty acid supplies in a region already experiencing high prevalence of anaemia and malnutrition. Substituting wild fish with chicken, however, can increase zinc and protein supplies. Chicken and aquaculture production also increase greenhouse gas emissions, agricultural land use and eutrophication. Thus, policies that enable access to wild fisheries and their sustainable management while improving the quality, diversity and environmental impacts of farmed species will be instrumental in ensuring healthy and sustainable food systems.

Peruvian Amazon↗

Assessing groundwater availability in the Northern Atlantic Coastal Plain aquifer system

The U.S. Geological Survey's Groundwater Resources Program is conducting an assessment of groundwater availability throughout the United States to gain a better understanding of the status of the Nation's groundwater resources and how changes in land use, water use, and climate may affect those resources. The goal of this National assessment is to improve our ability to forecast water availability for future economic and environmental uses. Assessments will be completed for the Nation's principal aquifer systems to help characterize how much water is currently available, how water availability is changing, and how much water we can expect to have in the future (Reilly and others, 2008). The concept of groundwater availability is more than just how much water can be pumped from any given aquifer. Groundwater availability is a function of many factors, including the quantity and quality of water and the laws, regulations, economics, and environmental factors that control its use. The primary objective of the North Atlantic Coastal Plain groundwater-availability study is to identify spatial and temporal changes in the overall water budget by more fully determining the natural and human processes that control how water enters, moves through, and leaves the groundwater system. Development of tools such as numerical models can help hydrologists gain an understanding of this groundwater system, allowing forecasts to be made about the response of this system to natural and human stresses, and water quality and ecosystem health to be analyzed, throughout the region.

Fact Sheet↗

Water budget and estimated suspended-sediment inflow for Reelfoot Lake, Obion and Lake Counties, Northwestern Tennessee, May 1984-April 1985

Reelfoot Lake in northwestern Tennessee, with a surface area of 15,500 acres at normal pool elevation, is the largest natural lake in Tennessee. Over the years, the lake has become an important economic, environmental, and recreational resource to the people in the area, and to the State of Tennessee. The natural eutrophic succession rate of the lake has apparently been accelerated by land use practices within the Reelfoot Lake drainage basin during the past several decades. The potential loss of Reelfoot Lake has prompted the State to make management and restoration of the lake and its resources a priority objective. The U.S. Geological Survey entered into a cooperative study in May 1984 with the Tennessee Wildlife Resources Agency and the Tennessee Department of Health and Environment, Division of Water Management, to collect and analyze hydrologic data and prepare an annual water budget for Reelfoot Lake. The purpose of the water budget is to provide an analysis of the surface-groundwater-lake-atmospheric water relation at Reelfoot Lake. Results of the analysis can be used by lake managers to evaluate the potential effects of proposed lake management strategies upon the lake and surrounding hydrologic system. The water budget for the 12-month study period (May 1, 1984 through April 30, 1985) is presented in this report. In addition, estimates of suspended-sediment discharge from tributary streams in the Reelfoot Lake basin and an analysis of concentrations of constituents in stream-bottom material at three inflow sites are also presented. (Lantz-PTT)

Tennessee↗

Northeast

The distinct seasonality of the Northeast’s climate supports a diverse natural landscape adapted to the extremes of cold, snowy winters and warm to hot, humid summers. This natural landscape provides the economic and cultural foundation for many rural communities, which are largely supported by a diverse range of agricultural, tourism, and natural resource-dependent industries (see Ch. 10: Ag & Rural, Key Message 4) . The recent dominant trend in precipitation throughout the Northeast has been towards increases in rainfall intensity, with increases in intensity exceeding those in other regions of the contiguous United States. Further increases in rainfall intensity are expected, with increases in total precipitation expected during the winter and spring but with little change in the summer. Monthly precipitation in the Northeast is projected to be about 1 inch greater for December through April by end of century (2070–2100) under the higher scenario (RCP8.5). Ocean and coastal ecosystems are being affected by large changes in a variety of climate-related environmental conditions. These ecosystems support fishing and aquaculture, tourism and recreation, and coastal communities. Observed and projected increases in temperature, acidification, storm frequency and intensity, and sea levels are of particular concern for coastal and ocean ecosystems, as well as local communities and their interconnected social and economic systems. Increasing temperatures and changing seasonality on the Northeast Continental Shelf have affected marine organisms and the ecosystem in various ways. The warming trend experienced in the Northeast Continental Shelf has been associated with many fish and invertebrate species moving northward and to greater depths. Because of the diversity of the Northeast’s coastal landscape, the impacts from storms and sea level rise will vary at different locations along the coast. Northeastern cities, with their abundance of concrete and asphalt and relative lack of vegetation, tend to have higher temperatures than surrounding regions due to the urban heat island effect. During extreme heat events, nighttime temperatures in the region’s big cities are generally several degrees higher than surrounding regions, leading to higher risk of heat-related death. Urban areas are at risk for large numbers of evacuated and displaced populations and damaged infrastructure due to both extreme precipitation events and recurrent flooding, potentially requiring significant emergency response efforts and consideration of a long-term commitment to rebuilding and adaptation, and/or support for relocation where needed. Much of the infrastructure in the Northeast, including drainage and sewer systems, flood and storm protection assets, transportation systems, and power supply, is nearing the end of its planned life expectancy. Climate-related disruptions will only exacerbate existing issues with aging infrastructure. Sea level rise has amplified storm impacts in the Northeast (Key Message 2), contributing to higher surges that extend farther inland, as demonstrated in New York City in the aftermath of Superstorm Sandy in 2012. Service and resource supply infrastructure in the Northeast is at increasing risk of disruption, resulting in lower quality of life, economic declines, and increased social inequality. Loss of public services affects the capacity of communities to function as administrative and economic centers and triggers disruptions of interconnected supply chains (Ch. 16: International, Key Message 1) . Increases in annual average temperatures across the Northeast range from less than 1°F (0.6°C) in West Virginia to about 3°F (1.7°C) or more in New England since 1901. Although the relative risk of death on very hot days is lower today than it was a few decades ago, heat-related illness and death remain significant public health problems in the Northeast. For example, a study in New York City estimated that in 2013 there were 133 excess deaths due to extreme heat. These projected increases in temperature are expected to lead to substantially more premature deaths, hospital admissions, and emergency department visits across the Northeast. For example, in the Northeast we can expect approximately 650 additional premature deaths per year from extreme heat by the year 2050 under either a lower (RCP4.5) or higher (RCP8.5) scenario and from 960 (under RCP4.5) to 2,300 (under RCP8.5) more premature deaths per year by 2090. Communities, towns, cities, counties, states, and tribes across the Northeast are engaged in efforts to build resilience to environmental challenges and adapt to a changing climate. Developing and implementing climate adaptation strategies in daily practice often occur in collaboration with state and federal agencies (e.g., New Jersey Climate Adaptation Alliance 2017, New York Climate Clearinghouse 2017, Rhode Island STORMTOOLS 2017, EPA 2017, CDC 2015 ). Advances in rural towns, cities, and suburban areas include low-cost adjustments of existing building codes and standards. In coastal areas, partnerships among local communities and federal and state agencies leverage federal adaptation tools and decision support frameworks (for example, NOAA’s Digital Coast, USGS’s Coastal Change Hazards Portal, and New Jersey’s Getting to Resilience). Increasingly, cities and towns across the Northeast are developing or implementing plans for adaptation and resilience in the face of changing climate (e.g., EPA 2017 ). The approaches are designed to maintain and enhance the everyday lives of residents and promote economic development. In some cities, adaptation planning has been used to respond to present and future challenges in the built environment. Regional efforts have recommended changes in design standards when building, replacing, or retrofitting infrastructure to account for a changing climate.

Report↗

Detection of Helicobacter pylori and fecal indicator bacteria in five North American rivers.

This study examines the use of fecal indicator bacteria (FIB) as a predictor of the presence of Helicobacter spp. A combination of standard culture and molecular techniques were used to detect and quantify FIB, Helicobacter spp. and H. pylori from five North American rivers of different size and with different land use characteristics. Primers designed to amplify genes specific to Helicobacter spp. and H. pylori were evaluated for their efficacy in detection and quantification in environmental samples. Helicobacter spp. were detected in 18/33 (55%) of river samples. H. pylori was detected in 11/33 (33%) of river samples. FIB were found in 32/33 (96%) of river samples. When FIB abundance exceeded USEPA water quality standards for single samples, Helicobacter or H. pylori were detected in 7/15 (47%) cases. No numerical correlation was found between the presence of FIB and either Helicobacter spp. or H. pylori . This suggests that the presence of FIB will be of limited use for detection of Helicobacter spp. or H. pylori by public health agencies.

Journal of Water and Health↗

Geochemical database of feed coal and coal combustion products (CCPs) from five power plants in the United States

The principal mission of the U.S. Geological Survey (USGS) Energy Resources Program (ERP) is to (1) understand the processes critical to the formation, accumulation, occurrence, and alteration of geologically based energy resources; (2) conduct scientifically robust assessments of those resources; and (3) study the impacts of energy resource occurrence and (or) their production and use on both the environment and human health. The ERP promotes and supports research resulting in original, geology-based, non-biased energy information products for policy and decision makers, land and resource managers, other Federal and State agencies, the domestic energy industry, foreign governments, non-governmental groups, and academia. Investigations include research on the geology of oil, gas, and coal, and the impacts associated with energy resource occurrence, production, quality, and utilization. The ERP's focus on coal is to support investigations into current issues pertaining to coal production, beneficiation and (or) conversion, and the environmental impact of the coal combustion process and coal combustion products (CCPs). To accomplish these studies, the USGS combines its activities with other organizations to address domestic and international issues that relate to the development and use of energy resources.

Data Series↗

A chronicle of organochlorine contamination in Clear Creek, Galveston and Harris Counties, Texas, 1960-2002, as recorded in sediment cores

Clear Creek flows through the Texas Coastal Plain from its headwaters southeast of Houston, Texas, to Clear Lake, which empties into Galveston Bay. Segments of Clear Creek were on the State of Texas 303(d) list for 1998, 1999, and 2000 as a result of a fish consumption advisory issued by the Texas Department of Health. One of the contaminants for which the fish consumption advisory was issued is the organochlorine pesticide chlordane. Chlordane is a hydrophobic (“waterfearing”) contaminant; that is, it adsorbs to sediment at concentrations much greater than those found in water. The study described here sought to answer three questions: Does chlordane occur in Clear Creek sediments at present? Is there current loading of chlordane to Clear Creek? How has occurrence of chlordane in Clear Creek changed over time? To answer these questions, the U.S. Geological Survey (USGS), in cooperation with the U.S. Environmental Protection Agency (USEPA), collected and analyzed sediment cores from Clear Creek (fig. 1). Sediment cores sometimes can be used to reconstruct historical trends in concentrations of hydrophobic contaminants (Eisenreich and others, 1989; Van Metre and others, 1997). Cores were collected from five ponds connected to Clear Creek but out of the main channel (fig. 1). Cesium-137 ( 137 Cs) was analyzed in the cores to determine if the sediments in the cores were undisturbed and if the cores reached sediment predating 1964. The two cores that appeared most undisturbed on the basis of 137 Cs profiles (see sidebar, p. 2) were further subsampled and additional samples analyzed for 137 Cs, organic carbon, selected organochlorine pesticides (including chlordane), and total polychlorinated biphenyls (PCB).

Texas↗

Evaluation of extraction methods for hexavalent chromium determination in dusts, ashes, and soils

One of the difficulties in performing speciation analyses on solid samples is finding a suitable extraction method. Traditional methods for extraction of hexavalent chromium, Cr(VI), in soils, such as SW846 Method 3060A, can be tedious and are not always compatible with some determination methods. For example, the phosphate and high levels of carbonate and magnesium present in the U.S. Environmental Protection Agency (USEPA) Method 3060A digestion for Cr(VI) were found to be incompatible with the High Performance Liquid Chromatography-Inductively Coupled Plasma-Mass Spectrometry (HPLC-ICP-MS) detection method used by our laboratory. Modification of Method 3060A by eliminating the use of the phosphate buffer provided improved performance with the detection method, however dilutions are still necessary to achieve good chromatographic separation and detection of Cr(VI). An ultrasonic extraction method using a 1 mM Na2CO3 - 9 mM NaHCO3 buffer solution, adapted from Occupational Safety and Health Administration (OSHA) Method ID215, has been used with good results for the determination of Cr(VI) in air filters. The average recovery obtained for BCR-545 - Welding Dust Loaded on Filter (IRMM, Belgium) using this method was 99 percent (1.2 percent relative standard deviation) with no conversion of Cr(VI) to Cr(III) during the extraction process. This ultrasonic method has the potential for use with other sample matrices, such as ashes and soils. Preliminary investigations using NIST 2701 (Hexavalent Chromium in Contaminated Soil) loaded onto quartz filters showed promising results with approximately 90 percent recovery of the certified Cr(VI) value. Additional testing has been done using NIST 2701 and NIST 2700 using different presentation methods. Extraction efficiency of bulk presentation, where small portions of the sample are added to the bottom of the extraction vessel, will be compared with supported presentation, where small portions of the sample are loaded onto a quartz filter prior to extraction. In addition, results obtained from the standard grinding preparation of NIST 2701 and NIST 2700 will be compared with micronizing to reduce particle size before extraction.

Open-File Report↗

Risk assessment for bull trout introduction into Sullivan Lake and Harvey Creek, northeastern Washington

The Kalispel Tribe of Indians (KT), U. S. Fish and Wildlife Service, and Washington Department of Fish and Wildlife are engaged in conservation of bull trout ( Salvelinus confluentus ) in the Lake Pend Oreille (LPO) Core Area. The LPO is a complex habitat core area which falls within three states (Montana, Idaho, and Washington) and a tribal entity. As part of the conservation process, KT worked in cooperation with the U. S. Geological Survey (USGS) to complete a risk assessment for introduction of bull trout into Sullivan Lake/Harvey Creek, northeastern, Washington. The risk assessment was designed to evaluate potential risks to resident fish species, to bull trout introduced into Sullivan Lake, and to bull trout donor source populations. This risk assessment describes the potential risks associated with pathogens (introduction of pathogens and increased pathogen burden), genetics (such as risk to donor sources, straying and breeding with native bull trout, and introduction of bull-brook hybrids), and ecological interactions (such as predation and competition). Potential donor source populations were identified and evaluated using a qualitative approach based on expert opinion and a decision framework. Literature reviews were completed for fish species composition and abundance in Sullivan Lake basin to assess potential ecological interactions and risks to these populations and to the introduced bull trout. The USGS assessed pathogen risks through two major questions: (1) whether introduced bull trout might bring pathogens into the Sullivan Lake basin that were not previously present and (2) whether the health of introduced bull trout could be adversely affected by pathogens already present in the basin. Assessment of genetic risks included demographic risks to donor source populations, potential for hybridization with native bull trout, and the risk of introducing bull-brook hybrids. Literature reviews were used in conjunction with discussions among regional biologists to identify potential donor source populations and their population attributes. A decision framework was developed by USGS in collaboration with KT biologists that identified desirable population attributes (life history behavior, abundance, population viability, feasibility of collection, and environmental match) associated with donor source populations and established ranking criteria. The population attribute information was used with the (1) decision framework, (2) established ranking criteria, and (3) expert opinion of regional biologists, to assign scores for overall ranking of donor source populations. The LPO source population was the highest ranked and is considered a robust and stable population. The risk of introducing pathogens from LPO into Sullivan Lake via a bull trout introduction program seems low, and indirect pathogen burden risks to resident species can be mitigated using established pathogen surveillance methods. The likelihood that bull trout, introduced into Sullivan Lake, stray and spawn with native bull trout is low. Nearest-neighbor donor source populations, such as LPO, could minimize negative fitness impacts that might occur from straying and interbreeding of individuals that become entrained and help maintain natural patterns of genetic diversity in native populations. The ecological risk that a bull trout introduction presents to resident species seems to be low but with some uncertainty. Pygmy whitefish, a Washington State Sensitive species, is likely most vulnerable to extirpation with increased predation pressure with introduction of an additional piscivore into the ecosystem. The status of the pygmy whitefish in Sullivan Lake is unknown. The ecological risks most likely to reduce the viability of introduced bull trout are predation by burbot and an adequate forage base in Sullivan Lake. Prior fish surveys provided data on resident species abundance, provided an established baseline for effective monitoring, and identifying ecosystem changes post-bull trout introduction to inform future adaptive management decisions.

Washington↗

Development of an approach for integrating components of the U.S. Geological Survey Biomonitoring of Environmental Status and Trends (BEST) and National Stream Quantity Accounting Network (NASQAN) programs for large U.S. rivers

A national-scale framework for monitoring environmental contaminants in fish and effects of contaminant exposure on fish in large U.S. rivers has been proposed by the Biomonitoring of Environmental Status and Trends (BEST) Program of the U.S. Geological Survey (USGS). The framework shares many features and objectives with the USGS National Stream Quantity Accounting Network (NASQAN) Program, which monitors water quality in large U.S. river basins–those with drainage areas of 250,000 to 1,200,000 square miles at their most downstream stations. Because the two programs appear to be complementary, this study was initiated in 2001 to investigate alternative techniques for summarizing and integrating the water-quality data with the fish-contaminant and fish-health data, and to provide recommendations to the BEST program for future integrated studies.

Scientific Investigations Report↗

Editorial: Contributions of behavior and physiology to conservation biology

Conservation biology is a rapidly evolving discipline, with its synthetic, multidisciplinary framework expanding extensively in recent years. Seemingly disparate disciplines, such as behavior and physiology, are being integrated into this discipline's growing portfolio, resulting in diverse tools that can help develop conservation solutions. Behavior and physiology have traditionally been considered separate fields, yet their integration can provide a more comprehensive approach to developing solutions to conservation and management problems. However, demonstrations are needed of how behavior and physiology—either separately or combined—have contributed to conservation success. Examining species' vulnerabilities to extinction through the lenses of behavior and physiology can provide insight into the mechanisms that drive population declines and extirpations. Our goal is to increase awareness of the benefit of combining behavioral and physiological tools to improve conservation management decisions. Such studies can also help strengthen the basis for evidence-based conservation which, in some cases, has been previously lacking. The diverse studies in our Research Topic illustrate key examples of ways that behavior and physiology can be incorporated into conservation biology. Three main themes emerged from the invited papers with respect to their relevance to conservation: (1) Stress physiology, (2) indicators of health and disease dynamics, (3) and movement ecology. But these themes were also intertwined, thus showing the importance of integrating multiple fields of research to successfully address questions about conservation biology. Two mini reviews discuss the importance of examining how stress physiology may affect individual fitness and capacity to cope with change which, ultimately, affects the resiliency of populations. Walls and Gabor, in their mini review, promoted combining studies of behavior and physiology to aid in developing conservation strategies for amphibians, which could provide conservation managers with workable solutions to global environmental change. Walls and Gabor also pointed out that studies of behavior are useful to understand how native amphibian species respond to invasive predators. This is supported by Roznik et al. who combined physiology and behavior for a more holistic understanding of the impacts of competition between native and invasive frogs. These authors found that invasive Cuban tree frogs outperformed two native species in jump length and speed, offsetting the costs of dehydration. This work also ties in well to a review by Joly, who indicated the importance of exploring movement ecology (on multiple spatial scales) of invasive species to provide insights for invasive species management. Walls and Gabor also emphasized that more studies on phenological shifts of species in response to recent climate change are needed, as explored by Bókony et al. with birds. These authors found that bird species varied their migratory behaviors in response to contemporary climate change which, in turn, influenced subsequent trends in population size.

Frontiers in Ecology and Evolution↗

Quantitative microbial risk assessment with microbial source tracking for mixed fecal sources contaminating recreational river waters, Iowa, USA

Fecal contamination of surface water can cause acute gastrointestinal illness (AGI) among recreators. AGI risk varies among human, livestock, and wildlife fecal sources, but the prevalence of individual sources is unknown for most recreational sites. We estimated AGI risk for six sites near Des Moines, Iowa, using quantitative microbial risk assessment combined with microbial source-tracking (MST). Water samples ( n = 147) collected over two years were tested for 36 qPCR assays quantifying waterborne pathogens and MST markers specific to avian, bovine, human, and porcine fecal sources. Average swimming risk across all sites was 5 (95% CI: 0.0030–142) to 67 (16–215) AGI cases per 1,000 recreators. Individual fecal sources were rarely associated with swimming exposures where risk was >36 AGI cases per 1,000 recreators; most high-risk exposures were associated with simultaneous occurrence of multiple fecal sources. Iowa’s beach action value for Escherichia coli (235 MPN/100 mL) identified >90% of high-risk exposures at five of six sites, so was generally protective of public health in this setting. For sites influenced by mixed fecal sources, results illustrate that identifying a single dominant source of risk is less important than recognizing the number of unique fecal sources that impact AGI risk.

Iowa↗

Effects of diet and environmental salinity on the growth, mortality, and tissue structure of juvenile striped bass

Juvenile striped bass Morone saxatilis (approximately 60 d old) were fed either a commercial trout feed or an open-formula salmon feed for 16 weeks and reared in 24°C fresh water or saline water prepared from sodium chloride or synthetic sea salt. Fish that were fed salmon feed were larger, contained higher levels of body lipid, and had livers with uniform glycogen vacuolation. Fish that were fed trout feed were smaller, contained less body lipid, and had necrotic liver tissue. More than 95% of the fish fed the trout feed and reared in water containing sodium chloride at 10‰ salinity died within the first 2 weeks. Mortality of fish fed the salmon feed under the same rearing conditions was 3% in 2 weeks. An osmoregulatory dysfunction from an imbalance of environmental calcium and sodium is suggested as the cause of the mortality. Although no definitive cause was established for the diet-related histological changes in the livers of fish that were fed the trout feed, type and level of dietary essential fatty acids are suspected

Journal of Aquatic Animal Health↗