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Demographic consequences of conservation reserve program grasslands for lesser prairie‐chickens

Knowledge of landscape and regional circumstances where conservation programs are successful on working lands in agricultural production are needed. Converting marginal croplands to grasslands using conservation programs such as the United States Department of Agriculture Conservation Reserve Program (CRP) should be beneficial for many grassland‐obligate wildlife species; however, addition of CRP grasslands may result in different population effects based on regional climate, characteristics of the surrounding landscape, or species planted or established. Within landscapes occupied by lesser prairie‐chickens (Tympanuchus pallidicinctus), CRP may provide habitat only for specific life stages and habitat selection for CRP may vary between wet and dry years. Among all study sites, we captured and fitted 280 female lesser prairie‐chickens with very high frequency (VHF)‐ and global positioning system (GPS) transmitters during the spring lekking seasons of 2013–2015 to monitor habitat selection for CRP in regions of varying climate. We also estimated vital rates and habitat selection for 148 individuals, using sites in northwest Kansas, USA. The greatest ecological services of CRP became apparent when examining habitat selection and densities. Nest densities were approximately 3 times greater in CRP grasslands than native working grasslands (i.e., grazed), demonstrating a population‐level benefit (CRP = 6.0 nests/10 km2 ± 1.29 [SE], native working grassland = 1.7 nests/10 km2 ± 0.62). However, CRP supporting high nest density did not provide brood habitat; 85% of females with broods surviving to 7 days moved their young to other cover types. Regression analyses indicated lesser prairie‐chickens were approximately 8 times more likely to use CRP when 5,000‐ha landscapes were 70% rather than 20% grassland, indicating variation in the level of ecological services provided by CRP was dependent upon composition of the larger landscape. Further, CRP grasslands were 1.7 times more likely to be used by lesser prairie‐chickens in regions receiving 40 cm compared to 70 cm of average annual precipitation and during years of greater drought intensity. Demographic and resource selection analyses revealed that establishing CRP grasslands in northwest Kansas can increase the amount nesting habitat in a region where it may have previously been limited, thereby providing refugia to sustain populations through periods of extreme drought. Nest survival, adult survival during breeding, and nonbreeding season survival did not vary between lesser prairie‐chickens that used and did not use CRP grasslands. The finite rate of population growth was also similar for birds using CRP and using only native working grasslands, suggesting that CRP provides habitat similar to that of native working grassland in this region. Overall, lesser prairie‐chickens may thrive in landscapes that are a mosaic of native working grassland, CRP grassland, with a minimal amount of cropland, particularly when nesting and brood habitat are in close proximity.

Journal of Wildlife Management↗

Changes in the timing of high river flows in New England over the 20th Century

The annual timing of river flows is a good indicator of climate-related changes, or lack of changes, for rivers with long-term data that drain unregulated basins with stable land use. Changes in the timing of annual winter/spring (January 1 to May 31) and fall (October 1 to December 31) center of volume dates were analyzed for 27 rural, unregulated river gaging stations in New England, USA with an average of 68 years of record. The center of volume date is the date by which half of the total volume of water for a given period of time flows past a river gaging station, and is a measure of the timing of the bulk of flow within the time period. Winter/spring center of volume (WSCV) dates have become significantly earlier (p < 0.1) at all 11 river gaging stations in areas of New England where snowmelt runoff has the most effect on spring river flows. Most of this change has occurred in the last 30 years with dates advancing by 1-2 weeks. WSCV dates were correlated with March through April air temperatures (r = -0.72) and with January precipitation (r = -0.37). Three of 16 river gaging stations in the remainder of New England had significantly earlier WSCV dates. Four out of 27 river gaging stations had significantly earlier fall center of volume dates in New England. Changes in the timing of winter/spring and fall peak flow dates were consistent with the changes in the respective center of volume dates, given the greater variability in the peak flow dates. Changes in the WSCV dates over the last 30 years are consistent with previous studies of New England last-frost dates, lilac bloom dates, lake ice-out dates, and spring air temperatures. This suggests that these New England spring geophysical and biological changes all were caused by a common mechanism, temperature increases.

Journal of Hydrology↗

Climatic impact of glacial cycle polar motion: Coupled oscillations of ice sheet mass and rotation pole position

Precessional motion of Earth's rotation axis relative to its orbit is a well-known source of long-period climatic variation. It is less well appreciated that growth and decay of polar ice sheets perturb the symmetry of the global mass distribution enough that the geographic location of the rotation axis will change by at least 15 km and possibly as much as 100 km during a single glacial cycle. This motion of the pole will change the seasonal and latitudinal pattern of temperatures. We present calculations, based on a diurnal average energy balance, which compare the summer and winter temperature anomalies due to a 1° decrease in obliquity with those due to a 1° motion of the rotation pole toward Hudson Bay. Both effects result in peak temperature perturbations of about 1° Celsius. The obliquity change primarily influences the amplitude of the seasonal cycle, while the polar motion primarily changes the annual mean temperatures. The polar motion induced temperature anomaly is such that it will act as a powerful negative feedback on ice sheet growth. We also explore the evolution of the coupled system composed of ice sheet mass and pole position. Oscillatory solutions result from the conflicting constraints of rotational and thermal stability. A positive mass anomaly on an otherwise featureless Earth is in rotational equilibrium only at the poles or the equator. The two polar equilibria are rotationally unstable, and the equatorial equilibrium, though rotationally stable, is thermally unstable. We find that with a plausible choice for the strength of coupling between the thermal and rotational systems, relatively modest external forcing can produce significant response at periods of 10 4 –10 6 years, but it strongly attenuates polar motion at longer periods. We suggest that these coupled oscillations may contribute to the observed dominance of 100 kyr glacial cycles since the mid-Pleistocene and will tend to stabilize geographic patterns that are suitable to glaciations.

Journal of Geophysical Research B: Solid Earth↗

Species-specific responses to landscape features shaped genomic structure within Alaska galliformes

Aim Connectivity is vital to the resiliency of populations to environmental change and stochastic events, especially for cold-adapted species as Arctic and alpine tundra habitats retract as the climate warms. We examined the influence of past and current landscapes on genomic connectivity in cold-adapted galliformes as a critical first step to assess the vulnerability of Alaska ptarmigan and grouse to environmental change. We hypothesize that the mosaic of physical features and habitat within Alaska promoted the formation of genetic structure across species. Location Alaska, United States of America. Taxa Ptarmigan and Grouse (Galliformes: Tetraoninae). Methods We collected double digest restriction-site-associated DNA sequence data from six ptarmigan and grouse species ( N = 13–145/species) sampled across multiple ecosystems up to ~10 degrees of latitude. Spatial genomic structure was analysed using methods that reflect different temporal scales: (1) principal components analysis to identify major trends in the distribution of genomic variation; (2) maximum likelihood clustering analyses to test for the presence of multiple genomic groupings; (3) shared co-ancestry analyses to assess contemporary relationships and (4) effective migration surfaces to identify regions that deviate from a null model of isolation by distance. Results Levels of genomic structure varied across species (Φ ST =0.009–0.042). Three general patterns of structure emerged: (1) east-west partition located near the Yukon-Tanana uplands; (2) north-south split coinciding with the Alaska Range and (3) northern group near the Brooks Range. Species-specific patterns were observed; not all landscape features were barriers to gene flow for all ptarmigan and grouse and temporal contrasts were detected at the Brooks Range. Main conclusions Within Alaska galliformes, patterns of genomic structure coincide with physiographic features and highlight the importance of physical and ecological barriers in shaping how genomic diversity is arrayed across the landscape. Lack of concordance in spatial patterns indicates that species behaviour and habitat affinities play key roles in driving the contrasting patterns of genomic structure.

Alaska↗

Using environmental DNA to assess the response of steelhead/Rainbow Trout and Coastrange Sculpin populations to postfire debris flows in coastal streams of Big Sur, California

Objective Debris flows are among the most extreme disturbances to streams and are predicted to become more frequent under climate change. We assessed the response of steelhead Oncorhynchus mykiss (anadromous Rainbow Trout)/Rainbow Trout (hereafter, collectively referred to as O. mykiss ) and Coastrange Sculpin Cottus aleuticus populations to major postfire debris flows in two small coastal basins of California using noninvasive environmental DNA (eDNA) sampling. Methods We analyzed water samples from disturbed reaches for eDNA in the first two summers after debris flows. In Big Creek, all Coastrange Sculpin habitat was disturbed by debris flows, but a major tributary occupied by O. mykiss was not affected. In Mill Creek, all available habitat for both species was disturbed. We also sampled two unburned basins as undisturbed reference streams. Result In Big Creek, O. mykiss eDNA was detected in all water samples during both years, and concentrations in some samples approached the lowest concentrations in the reference streams. Coastrange Sculpin eDNA was detected only in a single water sample in the first year and was not detected in the second year. In Mill Creek, neither species was detected in the first year, but during the second year, O. mykiss eDNA was detected at very low concentrations in 40% of samples and Coastrange Sculpin eDNA was detected in a single sample. Conclusion Our results indicate that O. mykiss and Coastrange Sculpins either survived in or quickly reoccupied the disturbed reaches from within the basins. However, the detection rates for cases in which all habitat for a species in a basin was affected by debris flows indicate that abundances were very low, suggesting that persistence may be uncertain unless there is successful reproduction or immigration. Finally, eDNA appears to be effective for monitoring sensitive fish populations after a major disturbance; however, detection rates in individual samples may be low and require appropriate sampling designs to achieve the desired detection probability.

California↗

Hypoxia and anoxia tolerance in diploid and triploid eastern oysters at high temperature

Increasing reliance on the use of triploid oysters to support aquaculture production relies on their generally superior growth rate and meat quality over that of diploid oysters. Reports of elevated triploid mortality have generated questions about potential trade-offs between growth and tolerance to environmental stressors. These questions are particularly relevant as climate change, coastal activities, and river management impact water salinity, temperature, nutrients, pH, and oxygen levels within key estuarine oyster growing areas. In particular, the co-occurrence of warm water temperatures and low dissolved oxygen concentration (DO) events are increasingly reported in estuaries, with potentially lethal impacts on sessile, oyster resources. To investigate potential differences in DO tolerance, diploid and triploid market-sized or seed oysters were exposed to continuous normoxia (DO > 5.0 mg L –1 ), hypoxia (DO < 2.0 mg L –1 ), and anoxia (DO < 0.5 mg L –1 ) at 28°C and their mortalities were monitored. The hemolymph of the market-sized oysters was collected to measure cellular and biochemical changes in response to hypoxia and anoxia, whereas their valve movements were also measured. In general, about half of market-sized oysters died within about 1 wk under anoxia (LT 50 : 5.7–8.9 days) and within about 2 wk under hypoxia (LT 50 : 11.9–19.4 days) with diploid oysters tending to die faster than triploid oysters. Seed oysters took longer to die than market-sized oysters under both anoxia (LT 50 : 9.5–12.1 days) and hypoxia (LT 50 : 21.8–25.0 days) with diploid oysters (LT 50 : 9.5–11.8 days) dying slightly faster than triploid oysters (LT 50 : 11.8–12.1 days) under anoxia. Hemolymph pH decreased and plasma calcium and glutathione concentrations increased with decreasing DO, with values under anoxia being different than those under normoxia. Hemocyte density was also lower under anoxia than under either normoxia or hypoxia. Overall, few differences in physiological responses to hypoxia and anoxia were found between diploid and triploid oysters suggesting that ploidy (2N versus 3N) had limited effect on the tolerance and response of eastern oysters to low DO.

Journal of Shellfish Research↗

Ground and surface temperature variability for remote sensing of soil moisture in a heterogeneous landscape

At the Little River Watershed (LRW) heterogeneous landscape near Tifton Georgia US an in situ network of stations operated by the US Department of Agriculture-Agriculture Research Service-Southeast Watershed Research Lab (USDA-ARS-SEWRL) was established in 2003 for the long term study of climatic and soil biophysical processes. To develop an accurate interpolation of the in situ readings that can be used to produce distributed representations of soil moisture (SM) and energy balances at the landscape scale for remote sensing studies, we studied (1) the temporal and spatial variations of ground temperature (GT) and infra red temperature (IRT) within 30 by 30 m plots around selected network stations; (2) the relationship between the readings from the eight 30 by 30 m plots and the point reading of the network stations for the variables SM, GT and IRT; and (3) the spatial and temporal variation of GT and IRT within agriculture landuses: grass, orchard, peanuts, cotton and bare soil in the surrounding landscape. The results showed high correlations between the station readings and the adjacent 30 by 30 m plot average value for SM; high seasonal independent variation in the GT and IRT behavior among the eight 30 by 30 m plots; and site specific, in-field homogeneity in each 30 by 30 m plot. We found statistical differences in the GT and IRT between the different landuses as well as high correlations between GT and IRT regardless of the landuse. Greater standard deviations for IRT than for GT (in the range of 2-4) were found within the 30 by 30 m, suggesting that when a single point reading for this variable is selected for the validation of either remote sensing data or water-energy models, errors may occur. The results confirmed that in this landscape homogeneous 30 by 30 m plots can be used as landscape spatial units for soil moisture and ground temperature studies. Under this landscape conditions small plots can account for local expressions of environmental processes, decreasing the errors and uncertainties in remote sensing estimates caused by landscape heterogeneity.

Journal of Hydrology↗

Erosional valleys in the Thaumasia region of Mars: Hydrothermal and seismic origins

Analysis of erosional valleys, geologic materials and features, and topography through time in the Thaumasia region of Mars using co-registered digital spatial data sets reveals significant associations that relate to valley origin. Valleys tend to originate (1) on Noachian to Early Hesperian (stages 1 and 2) large volcanoes, (2) within 50–100 km of stages 1 and 2 rift systems, and (3) within 100 km of Noachian (stage 1) impact craters >50 km in diameter. These geologic preferences explain observations of higher valley-source densities (VSDs) in areas of higher elevations and regional slopes (>1°) because the volcanoes, rifts, and craters form high, steep topography or occur in terrain of high relief. Other stage 1 and stage 2 high, steep terrains, however, do not show high VSDs. The tendency for valleys to concentrate near geologic features and the overall low drainage densities in Thaumasia compared to terrestrial surfaces rule out widespread precipitation as a major factor in valley formation (as is proposed in wann, wet climate scenarios) except perhaps during the Early Noachian, for which much of the geologic record has been obliterated. Instead, volcanoes and rifts may indicate the presence of shallow crustal intrusions that could lead to local hydrothermal circulation, melting of ground ice and snow, and groundwater sapping. However, impact-crater melt would provide a heat source at the surface that might drive away water, fonning valleys in the process. Post-stage 1 craters mostly have low nearby VSDs, which, for valleys incised in older rocks, suggests burial by ejecta and, for younger valleys, may indicate desiccation of near-surface water and deepening of the cryosphere. Later Hesperian and Amazonian (stages 3 and 4) valleys originate within 100–200 km of three young, large impact craters and near rifts systems at Warrego Valles and the southern part of Coprates rise. These valleys likely developed when the cryosphere was a couple kilometers or more thick, inhibiting valley development by hydrothermal circulation. However, eruption of groundwater may have occurred from impact-induced fracturing and lateral and perhaps minor upward transport of water due to seismic pumping. The two smaller craters formed along the plateau margin where the highest potential hydraulic head would occur in aquifers beneath the plateau. In the case of the larger crater (Lowell, 200 km in diameter), potential aquifers would likely be at depths of kilometers below the cryosphere. Seismic energy generated by the Lowell impactor would have been much greater, pumping both groundwater and perhaps fluidized slurry to the surface from beneath the cryosphere to form the young valleys and flow deposit. Along the margin of Thaumasia, tectonic pressurization of groundwater also may have contributed to valley formation. Dissection of rim materials of the Argyre impact may relate to tectonic activity and the unconsolidated state of basin ejecta.

Journal of Geophysical Research E: Planets↗

Developing and testing temperature models for regulated systems: a case study on the Upper Delaware River

Water temperature is an important driver of many processes in riverine ecosystems. If reservoirs are present, their releases can greatly influence downstream water temperatures. Models are important tools in understanding the influence these releases may have on the thermal regimes of downstream rivers. In this study, we developed and tested a suite of models to predict river temperature at a location downstream of two reservoirs in the Upper Delaware River (USA), a section of river that is managed to support a world-class coldwater fishery. Three empirical models were tested, including a Generalized Least Squares Model with a cosine trend (GLScos), AutoRegressive Integrated Moving Average (ARIMA), and Artificial Neural Network (ANN). We also tested one mechanistic Heat Flux Model (HFM) that was based on energy gain and loss. Predictor variables used in model development included climate data (e.g., solar radiation, wind speed, etc.) collected from a nearby weather station and temperature and hydrologic data from upstream U.S. Geological Survey gages. Models were developed with a training dataset that consisted of data from 2008 to 2011; they were then independently validated with a test dataset from 2012. Model accuracy was evaluated using root mean square error (RMSE), Nash Sutcliffe efficiency (NSE), percent bias (PBIAS), and index of agreement (d) statistics. Model forecast success was evaluated using baseline-modified prime index of agreement (md) at the one, three, and five day predictions. All five models accurately predicted daily mean river temperature across the entire training dataset (RMSE = 0.58–1.311, NSE = 0.99–0.97, d = 0.98–0.99); ARIMA was most accurate (RMSE = 0.57, NSE = 0.99), but each model, other than ARIMA, showed short periods of under- or over-predicting observed warmer temperatures. For the training dataset, all models besides ARIMA had overestimation bias (PBIAS = −0.10 to −1.30). Validation analyses showed all models performed well; the HFM model was the most accurate compared other models (RMSE = 0.92, both NSE = 0.98, d = 0.99) and the ARIMA model was least accurate (RMSE = 2.06, NSE = 0.92, d = 0.98); however, all models had an overestimation bias (PBIAS = −4.1 to −10.20). Aside from the one day forecast ARIMA model (md = 0.53), all models forecasted fairly well at the one, three, and five day forecasts (md = 0.77–0.96). Overall, we were successful in developing models predicting daily mean temperature across a broad range of temperatures. These models, specifically the GLScos, ANN, and HFM, may serve as important tools for predicting conditions and managing thermal releases in regulated river systems such as the Delaware River. Further model development may be important in customizing predictions for particular biological or ecological needs, or for particular temporal or spatial scales.

Delaware, New York, Pennsylvania↗

Controls on stable methane isotope signatures in northern peatlands and potential shifts in signatures under permafrost thaw scenarios

Northern peatlands are a globally significant source of methane (CH 4 ), and emissions are projected to increase due to warming and permafrost loss. Understanding the microbial mechanisms behind patterns in CH 4 production in these systems will be key to predicting annual emissions changes, with stable carbon isotopes (δ 13 C-CH 4 ) being a powerful tool for characterizing these drivers. Given that δ 13 C signatures of CH 4 are used in top-down atmospheric inversion models to partition sources, our ability to model CH 4 production pathways and associated δ 13 C-CH 4 signatures in peatland types impacted by a changing climate is critical. We sought to characterize the role of environmental conditions, including both hydrologic and vegetation patterns associated with permafrost thaw, on δ 13 C-CH 4 signatures from a diverse set of high-latitude peatlands. We measured porewater and emitted CH 4 stable isotopes, pH, and vegetation composition from five boreal-Arctic peatlands. Porewater δ 13 C-CH 4 was strongly associated with peatland type, with δ 13 C enriched values obtained from more minerotrophic fens (-61.2 ± 9.1‰) compared to permafrost-free bogs (-74.1 ± 9.4‰) and raised permafrost bogs (-81.6 ± 11.5‰). Variation in porewater δ 13 C-CH 4 was best explained by sedge cover, CH 4 concentration, and the interactive effect of peatland type and pH ( r 2 = 0.50, p < 0.001). Emitted δ 13 C-CH 4 varied greatly but was positively correlated with porewater δ 13 C-CH 4 , suggesting that porewater data can be used to predict changing emissions signatures from these systems. We calculated a weighted mean mixed atmospheric CH 4 signature for northern peatlands of -65.3 ± 7‰ and show that this signature is more sensitive to landscape drying (4 to 10 % depletion in δ 13 C) than wetting (1.5 to 5% enrichment in δ 13 C) under permafrost thaw scenarios. Our results suggest northern peatland δ 13 C-CH 4 signatures are likely to shift in the future which has important implications for source partitioning in atmospheric inversion models.

Journal of Geophysical Research: Biogeosciences↗

Active tectonic and magmatic processes beneath Long Valley Caldera, eastern California: An overview

Geological, chronological, and structural studies of the Long Valley-Mono/Inyo Craters area document a long history of related volcanic eruptions and earthquakes controlled by regional extensional tectonics of the Basin and Range province. This activity has persisted for hundreds of thousands of years and is likely to continue. The Long Valley magma chamber had a volume approaching 3000 km 3 prior to its climatic caldera-forming eruption 0.7 m.y. ago but has been reduced to less than a third of this volume by cooling, eruption, and crystallization. Seismic evidence indicates that the main mass of the present Long Valley magma chamber is about 10 km in diameter and that its roof is 8–10 km deep with smaller cupolas as shallow as 4–5 km. Although a chamber of this size is probably capable of producing an eruption approaching 30 km 3 of lava, the record over the past 0.5 m.y. suggests that eruptions of 1 km 3 or less are far more likely. Models proposed for the current ground uplift and seismicity within the caldera require inflation of 0.1–0.2 km 3 by additional magma since mid-1979, and some models suggest that inflation was accompanied by injection of a thin dike or dikes (probably of silicic magma) into the ring fracture zone beneath the south moat. Several of the M 5.8–6.2 earthquakes that occurred in the region beginning in 1978 had non-double-couple focal mechanisms. Whether these unusual mechanisms indicate injection of mafic (low-viscosity) magma at midcrustal depths in the Sierra Nevada block south of the caldera remains debatable. Studies of calderas of various ages throughout the world indicate that episodes of unrest are relatively common and do not invariably culminate in eruptions. Although current unrest is concentrated in the south moat of Long Valley caldera, the Inyo/Mono Craters probably hold a greater potential for producing an eruption in the foreseeable future. The Inyo/Mono Craters have erupted at 500-year intervals over the past 2000–3000 years, whereas the Long Valley magma chamber has erupted at about 200,000-year intervals over the past 700,000 years. In either case, a major earthquake near the caldera could strongly influence the course of volcanic activity.

Journal of Geophysical Research Solid Earth↗

The transition from resistance to acceptance: Managing a marine invasive species in a changing world

Marine invasive species can transform coastal ecosystems, yet mitigating their effects can be difficult, and even impractical. Often, marine invasive species are managed at poorly matched spatial scales, and at the same time, rates of spread and establishment are increasing under climate change and can outpace resources available for population suppression. These circumstances challenge traditional conservation goals of maintaining a historic environmental state, especially for a species like the European green crab ( Carcinus maenas ), a formidable invader with few examples of successful long-term removal programs. A management paradigm where decision alternatives include resisting or accepting a new ecological trajectory may be needed. We apply mathematical concepts from decision theory to develop a quantitative framework for navigating management decisions in this new resist-accept paradigm. We develop a model of European green crab growth, removal and colonization, and we find optimal levels of removal effort that minimize both ecological change and removal cost. We establish a benchmark of colonization pressure at which green crab density becomes decoupled from a decision maker's actions, such that population control can no longer shape the invasion trajectory. For informing the decision boundary between resistance and acceptance, our results highlight that a decision maker's understanding of how removal cost scales with removal effort is more important than understanding the density-impact relationship. We show that assuming stationary system dynamics can result in sub-optimal levels of species removal effort, highlighting the importance of developing anticipatory management strategies by accounting for non-stationary dynamics. Policy implications . For marine invasive species that can disperse across long distances and recolonize rapidly after removal, the focus of conservation policy should shift away from understanding how to resist change to understanding when to stop resisting change. Navigating this decision problem involves trade-offs among competing objectives, highlighting the need for structured approaches to elicit objective weights that reflect the values of the decision maker. For natural resource managers facing possible ecosystem transformation, this decision framework can enable proactive and strategic decisions made under uncertainty in a changing world.

Journal of Applied Ecology↗

Quantitative controls on location and architecture of carbonate depositional sequences: upper miocene, cabo de gata region, se Spain

Sequence stratigraphy, pinning-point relative sea-level curves, and magnetostratigraphy provide the quantitative data necessary to understand how rates of sea-level change and different substrate paleoslopes are dominant controls on accumulation rate, carbonate depositional sequence location, and internal architecture. Five third-order (1-10 my) and fourth-order (0.1-1.0 my) upper Miocene carbonate depositional sequences (DS1A, DS1B, DS2, DS3, TCC) formed with superimposed higher-frequency sea-level cycles in an archipelago setting in SE Spain. Overall, our study indicates when areas of high substrate slope (>15 degrees ) are in shallow water, independent of climate, the location and internal architecture of carbonate deposits are not directly linked to sea-level position but, instead, are controlled by location of gently sloping substrates and processes of bypass. In contrast, if carbonate sediments are generated where substrates of low slope (<15 degrees in our area) are in shallow water, then architecture and location of deposits may be more directly controlled by the relative position of sea level. For these systems, the rates of relative sea-level change are important for determining which systems tracts develop. DS1A-DS1B, cooler-water ramps, result from sediment bypass across steep paleoslopes to toes of slopes. Accumulation rates decreased from >15.6 cm/ky to approximately 2 cm/ky and overall relative sea level rose at rates of 17-21.4 cm/ky. Higher frequency sea-level rates were about 111 to more than 260 cm/ky, producing onlapping, fining- (deepening-) upward cycles. Decreasing accumulation rates resulted from decreasing surface area for shallow-water sediment production, drowning of shallow-water substrates, and complex sediment dispersal related to the archipelago setting. Typical systems tract and parasequence development should not be expected in "bypass ramp" settings; facies of onlapping strata do not track base level and are likely to be significantly different compared to onlapping strata associated with coastal onlap. Basal and upper DS2 reef megabreccias (indicating the transition from cool to warmer climatic conditions) were eroded from steep upslope positions and redeposited downslope onto areas of gentle substrate during rapid sea-level falls (>22.7 cm/ky) of short duration. Such rapid sea-level falls and presence of steep slopes are not conducive to formation of forced regressive systems tracts composed of down-stepping reef clinoforms. The DS3 reefal platform formed where shallow water coincided with gently sloping substrates created by earlier deposition. Slow progradation (0.39-1.45 km/my) is best explained by the lack of an extensive bank top, progressively falling sea level, and low productivity resulting from siliciclastic debris and excess nutrients shed from nearby volcanic islands. Although DS3 strata were deposited during a third-order relative sea-level cycle, a typical transgressive systems tract is not recognizable, indicating that the initial relative rise in sea level was too rapid (>>19 cm/ky). Downstepping reefs, forming a forced regressive systems tract, were deposited during the relative sea-level fall at the end of DS3, indicating that relatively slow rates of fall (10 cm/ky or less) over favorable paleoslope conditions are conducive to generation of forced regressive systems tracts consisting of downstepping reef clinoforms. The TCC sequence consists of four shallow-water sedimentary cycles that were deposited during a 400 ky to 100 ky time span. Such shallow-water cycles, typical of many platforms, form only where shallow water intersects gently sloping substrates. The relative thicknesses of cycles (<2 m to 15 m thick), magnitudes of relative sea-level fluctuations associated with each cycle (25-30 m), high rates of relative sea-level fluctuations (minimum of 25-120 cm/ky), and the widespread distribution of similar TCC cycles in the Mediterranean and elsewhere are supportive of a glacio-eustatic influence. With rates of sea-level change so high, typical systems tracts do not form.

Journal of Sedimentary Research↗

A 450-year record of environmental change from Castle Lake, California (USA), inferred from diatoms and organic geochemistry

A 39-cm sediment core from Castle Lake, California (USA) spans the last ~ 450 years and was analyzed for diatoms and organic geochemistry (δ 15 N, δ 13 C, and C:N), with the goal of determining sensitivity to natural climate variation and twentieth century anthropogenic effects. Castle Lake is a subalpine, nitrogen-limited lake with ~ 5 months of annual ice cover. Human impacts include light recreational use, past fish stocking, and experimental use by the Castle Lake Research Station. The base of the core (below 32 cm; pre mid-1700s) represents the period of maximum ice cover. In contrast, the end of the Little Ice Age (mid 1700s–early 1800s) is dominated by cyclotelloids (mostly Discostella stelligera ), indicating significant open-water periods, a condition that persisted into the early 1900s. Cyclotelloids began to decline in the 1960s and were replaced by the Fragilaria tenera grp. (peak in 1970s), succeeded by Asterionella formosa (peak ~ 2010), and accompanied by a reduction in δ 15 N values and a decrease in C:N that may represent increased atmospheric nitrogen deposition. Another anthropogenic signal was discerned in the core and was interpreted to be the result of an ammonium nitrate fertilization experiment of the epilimnion that was conducted in 1980 and 1981. This signal was manifested in the core largely by a negative excursion in δ 15 N, possibly caused by fractionation during denitrification in surface sediment. A phytoplankton monitoring dataset collected by the Castle Lake Research Station from 1967 to 1984 corroborates the timing of increased araphid euplanktonic species in the 1970s, and increases in two benthic diatoms ( Staurosirella pinnata and Tabellaria fenestrata) , entrained in the phytoplankton tows during the experimentation years. Both ice cover and nitrogen addition appear to be strong drivers that affected the lake diatoms, although additional drivers, such as fish stocking and associated cascade effects need further exploration. These data will be helpful for interpreting longer core records from Castle Lake, should the opportunity arise, as well as cores from similar systems in the region.

California↗

Simulating future water temperatures in the North Santiam River, Oregon

A previously calibrated two-dimensional hydrodynamic and water-quality model (CE-QUAL-W2) of Detroit Lake in western Oregon was used in conjunction with inflows derived from Precipitation-Runoff Modeling System (PRMS) hydrologic models to examine in-lake and downstream water temperature effects under future climate conditions. Current and hypothetical operations and structures at Detroit Dam were imposed on boundary conditions derived from downscaled General Circulation Models in base (1990&ndash;1999) and future (2059&ndash;2068) periods. Compared with the base period, future air temperatures were about 2 &deg;C warmer year-round. Higher air temperature and lower precipitation under the future period resulted in a 23% reduction in mean annual PRMS-simulated discharge and a 1 &deg;C increase in mean annual estimated stream temperatures flowing into the lake compared to the base period. Simulations incorporating current operational rules and minimum release rates at Detroit Dam to support downstream habitat, irrigation, and water supply during key times of year resulted in lower future lake levels. That scenario results in a lake level that is above the dam&rsquo;s spillway crest only about half as many days in the future compared to historical frequencies. Managing temperature downstream of Detroit Dam depends on the ability to blend warmer water from the lake&rsquo;s surface with cooler water from deep in the lake, and the spillway is an important release point near the lake&rsquo;s surface. Annual average in-lake and release temperatures from Detroit Lake warmed 1.1 &deg;C and 1.5 &deg;C from base to future periods under present-day dam operational rules and fill schedules. Simulated dam operations such as beginning refill of the lake 30 days earlier or reducing minimum release rates (to keep more water in the lake to retain the use of the spillway) mitigated future warming to 0.4 and 0.9 &deg;C below existing operational scenarios during the critical autumn spawning period for endangered salmonids. A hypothetical floating surface withdrawal at Detroit Dam improved temperature control in summer and autumn (0.6 &deg;C warmer in summer, 0.6 &deg;C cooler in autumn compared to existing structures) without altering release rates or lake level management rules.

Oregon↗

Staying alive: Post-translocation apparent survival of fishes in headwater springs following drought

Objective Increasing fragmentation from constructed barriers, increased water use, and climate change limits the resiliency of stream fish metapopulations by reducing colonization. Management actions such as stocking or translocating fish may help contribute to the resilience of isolated habitats and increase redundancy of populations in intermittent stream networks. Our objective was to determine whether translocating fish into prairie headwater refuges could reestablish or supplement isolated populations. Methods We examined apparent survival and probability of detection of four native, small-bodied fishes that were translocated in 2022 and 2023 to prairie headwater refuges that were affected by a severe drought and experienced slow recovery of their fish assemblages. All the fish were marked with passive integrated transponder tags, allowing us to use a mark–recapture framework to track the fate of these fish. Results Apparent survival was predicted by an interaction between time and translocation site, indicating an important consideration of environmental factors. Approximately one-quarter of the fish remained at site A through the summer of both years, whereas estimates were near zero at site B in both years and mixed across years at site C. The decreases in apparent survival probabilities following flow events suggest that fish may be emigrating during these periods of reconnection. During the lower flow year, more fish remained at the headwater sites and young-of-year fish were captured during long-term sampling, suggesting that the translocated fish reproduced. Conclusions The success of translocation projects will depend on a variety of factors, including management goals, habitat, and hydrology, but the initially high survival reported in this study is encouraging. Difficulties with examining the movement of small fish during hydrologic events limited our conclusions about the relative contributions of mortality and emigration to apparent survival estimates. Despite low yearly apparent survival, we found evidence of reproduction from translocated fish, suggesting that the reestablishment of a viable population is possible.

North American Journal of Fisheries Management↗

Hatch timing of largemouth bass: Implications for recruitment at the northern edge of their native range

Climate-related shifts in hatch timing could mean that age-0 largemouth bass Micropterus salmoides in north temperate lakes reach larger sizes and experience higher survival, which may contribute to increased prevalence of this species in many lakes. However, information on age-0 largemouth bass life history is lacking for these lakes. We estimated hatch dates, daily growth rates (DGR), and length-based probability of piscivory of age-0 largemouth bass in Wisconsin lakes to: (1) provide baseline data on early life history; (2) compare hatch timing between years with different spring temperature regimes, and (3) project how shifts in hatch timing might influence total length (TL) distributions of age-0 bass if mean DGR remained constant. Most age-0 largemouth bass (>90%) collected from ten Wisconsin lakes ( N = 746) hatched between 23 May and 24 June during 2012 and 2013 and did not switch to piscivory during their first summer. Prevalence of positive correlations (16 of 24 lake-year pairings) between TL in and age indicates hatch timing may influence TLs attained by age-0 largemouth bass in August in some lake-years. Mean daily water temperatures in May 2012 were 3.1 °C warmer than in May 2013 for the five of the six lakes where hatch dates were estimated in both years. On average, earliest and median hatch dates for age-0 largemouth bass in these six lakes were 10–11 d earlier in 2012 than in 2013 and hatch duration was approximately 8 d longer in 2012. Despite differences in hatch timing, mean DGR was relatively consistent (range = 0.61–0.74 mm/d) between lakes and years. Simple simulations suggest that earlier hatch dates could result in more age-0 largemouth bass reaching TLs associated with piscivory and overwinter survival by the end of their first summer if growth rates did not change, which could translate to higher recruitment.

Wisconsin↗

Testing the apparent resistance of three dominant plants to chronic drought on the Colorado Plateau

Many drylands, including the south-western United States, are projected to become more water-limited as these regions become warmer and drier with climate change. Such chronic drought may push individual species or plant functional types beyond key thresholds leading to reduced growth or even mortality. Indeed, recent observational and experimental evidence from the Colorado Plateau suggests that C 3 grasses are the most vulnerable to chronic drought, while C 4 grasses and C 3 shrubs appear to have greater resistance. The effects of chronic, or press-drought are predicted to begin at the physiological level and translate up to higher hierarchical levels. To date, the drought resistance of C 4 grasses and C 3 shrubs in this region has been only evaluated at the community level and thus we lack information on whether there are sensitivities to drought at lower hierarchical levels. In this study, we tested the apparent drought resistance of three dominant species ( Pleuraphis jamesii , a C 4 rhizomatous grass; Coleogyne ramosissima , a C 3 drought-deciduous shrub; and Ephedra viridis , a C 3 evergreen shrub) to an ongoing experimental press-drought (-35% precipitation) by comparing individual-level responses (ecophysiology and growth dynamics) to community-level responses (plant cover). For all three species, we observed consistent responses across all hierarchical levels: P. jamesii was sensitive to drought across all measured variables, while the shrubs C. ramosissima and E. viridis had little to no responses to the experimental press-drought at any given level. Synthesis . Our findings suggest that the apparent drought resistance at higher hierarchical levels, such as cover, may serve as good proxies for lower-level responses. Furthermore, it appears the shrubs are avoiding drought, possibly by utilizing moisture at deeper soil layers, while the grasses are limited to shallower layers and must endure the drought conditions. Give this differential sensitivity to drought, a future with less precipitation and higher temperatures may increase the dominance of shrubs on the Colorado Plateau, as grasses succumb to chronic water stress.

Utah↗