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Effect of climate change on disease spread in wildlife

A growing body of evidence indicates that climate change alone, or acting synergistically with current anthropogenic threats, is affecting the health of wild populations of aquatic and terrestrial wildlife. Measurable by-products of climate change include elevated atmospheric concentrations of greenhouse gases, higher average global temperatures; variations in global precipitation patterns, rising and warming oceans, altered hydrographs of rivers, and increased mid-continental drying during summer. These consequences affect the terrestrial environment through shifts in phenology, vegetation cover, and fire regimes. Warmer ocean temperatures, increased acidification, rise in sea levels, and reduction in sea ice cover are also leading to widespread ecological changes in marine systems. Wildlife populations face a variety of climate-related pressures, such as changes in animal distribution or density, limitation of food resources, and alteration to critical habitats. The increased potential for emergence and resurgence of diseases that are responsive to environmental conditions also has implications for wildlife populations. Shifts in temperature or other climatic factors may directly affect the incidence of disease in wildlife by altering host-pathogen interactions, promoting vector populations or allowing new ranges for vectors, or reducing development times for parasites. A number of examples from both field and laboratory studies have demonstrated a clear link between warming environments and disease spread. Many climate-related environmental changes also influence wildlife health indirectly. For example, increasing temperatures, in combination with shifts in rainfall and humidity, may aggravate current trends for water resource limitation and habitat degradation or destruction and lead to increased crowding of animal populations, thereby promoting transmission opportunities of pathogens within populations or across species. Although it may be difficult to disentangle the influences of other anthropogenic changes from the direct effects of warming, some ecosystems provide especially useful models for studying climate-related disease spread in wildlife. For example, the effects of climate change on parasite dynamics may be easily observed in the Arctic, where environmental changes are occurring rapidly, anthropogenic influences are relatively limited, and biodiversity is generally low. Marine ecosystems are also undergoing rapid rates of change and may be vulnerable to a variety of natural and anthropogenic perturbations. Although many factors affect the health of organisms in ocean environments, temperature has been clearly linked to an increase in disease prevalence among sessile organisms such as corals. In this chapter, we discuss observed and predicted changes to wildlife health resulting from climate change. Our review will not include all aspects of wildlife health, but will instead focus on established or suspected links between climate drivers and disease spread and discuss examples from the current literature. Here, we define disease spread to include: 1) change in geographical or altitudinal distribution of pathogens, parasites, and vectors and the diseases they cause; 2) change in prevalence or severity of disease; and 3) emergence of novel diseases. Additionally, because wildlife species serve as reservoirs for zoonotic diseases that affect both animals and humans, we include select examples of the effect of climate change on the capacity of wildlife to harbor and spread these disease agents.

Book chapter↗

Hind limb malformations in free-living northern leopard frogs (Rana pipiens) from Maine, Minnesota, and Vermont suggest multiple etiologies

Background Reports of malformed frogs have increased throughout the North American continent in recent years. Most of the observed malformations have involved the hind limbs. The goal of this study was to accurately characterize the hind limb malformations in wild frogs as an important step toward understanding the possible etiologies. Methods During 1997 and 1998, 182 recently metamorphosed northern leopard frogs (Rana pipiens) were collected from Minnesota, Vermont, and Maine. Malformed hind limbs were present in 157 (86%) of these frogs, which underwent necropsy and radiographic evaluation at the National Wildlife Health Center. These malformations are described in detail and classified into four major categories: (1) no limb (amelia); (2) multiple limbs or limb elements (polymelia, polydactyly, polyphalangy); (3) reduced limb segments or elements (phocomelia, ectromelia, ectrodactyly, and brachydactyly; and (4) distally complete but malformed limb (bone rotations, bridging, skin webbing, and micromelia). Results Amelia and reduced segments and/or elements were the most common finding. Frogs with bilateral hind limb malformations were not common, and in only eight of these 22 frogs were the malformations symmetrical. Malformations of a given type tended to occur in frogs collected from the same site, but the types of malformations varied widely among all three states, and between study sites within Minnesota. Conclusions Clustering of malformation type suggests that developmental events may produce a variety of phenotypes depending on the timing, sequence, and severity of the environmental insult. Hind limb malformations in free-living frogs transcend current mechanistic explanations of tetrapod limb development.

Maine, Minnesota, Vermont↗

Plastic pikas: Behavioural flexibility in low-elevation pikas ( Ochotona princeps )

Behaviour is an important mechanism for accommodating rapid environmental changes. Understanding a species’ capacity for behavioural plasticity is therefore a key, but understudied, aspect of developing tractable conservation and management plans under climate-change scenarios. Here, we quantified behavioural differences between American pikas ( Ochotona princeps ) living in an atypical, low-elevation habitat versus those living in a more-typical, alpine habitat. With respect to foraging strategy, low-elevation pikas spent more time consuming vegetation and less time caching food for winter, compared to high-elevation pikas. Low-elevation pikas were also far more likely to be detected in forested microhabitats off the talus than their high-elevation counterparts at midday. Finally, pikas living in the atypical habitat had smaller home range sizes compared to those in typical habitat or any previously published home ranges for this species. Our findings indicate that behavioural plasticity likely allows pikas to accommodate atypical conditions in this low-elevation habitat, and that they may rely on critical habitat factors such as suitable microclimate refugia to behaviourally thermoregulate. Together, these results suggest that behavioural adjustments are one important mechanism by which pikas can persist outside of their previously appreciated dietary and thermal niches.

Oregon↗

Temporary wetlands: Challenges and solutions to conserving a ‘disappearing’ ecosystem

Frequent drying of ponded water, and support of unique, highly specialized assemblages of often rare species, characterize temporary wetlands, such as vernal pools, gilgais, and prairie potholes. As small aquatic features embedded in a terrestrial landscape, temporary wetlands enhance biodiversity and provide aesthetic, biogeochemical, and hydrologic functions. Challenges to conserving temporary wetlands include the need to: (1) integrate freshwater and terrestrial biodiversity priorities; (2) conserve entire ‘pondscapes’ defined by connections to other aquatic and terrestrial systems; (3) maintain natural heterogeneity in environmental gradients across and within wetlands, especially gradients in hydroperiod; (4) address economic impact on landowners and developers; (5) act without complete inventories of these wetlands; and (6) work within limited or non-existent regulatory protections. Because temporary wetlands function as integral landscape components, not singly as isolated entities, their cumulative loss is ecologically detrimental yet not currently part of the conservation calculus. We highlight approaches that use strategies for conserving temporary wetlands in increasingly human-dominated landscapes that integrate top-down management and bottom-up collaborative approaches. Diverse conservation activities (including education, inventory, protection, sustainable management, and restoration) that reduce landowner and manager costs while achieving desired ecological objectives will have the greatest probability of success in meeting conservation goals.

Biological Conservation↗

Decoding the oxidative digestion mechanism for polystyrene nanoplastic detection in the Great Lakes using a customizable Raman spectral processing algorithm

Despite the concerns surging around nanoplastics (NPs) regarding their prevalence and bioavailability in freshwater systems, robust detection of NPs in complex environmental matrices is hindered by the lack of standardized sample pretreatment and a mechanistic understanding of oxidative digestion. Here, we systematically investigate the interaction between hydrogen peroxide (H 2 O 2 ) and polystyrene (PS) NPs during digestion in deionized (DI) water and four environmental matrices from in and around the Great Lakes Basin. To facilitate high-throughput analysis, we develop Pre_peak, a customizable Raman spectral processing algorithm that achieves >99% accuracy for both NP identification and interference rejection, allowing reliable NP quantification via pixel counting and systematic decoding of the oxidative digestion mechanisms. In DI water, varying H 2 O 2 doses from 0 to 30% has negligible effects on the recovery and Raman signal intensity of PS NPs over 24 hours of digestion. However, morphological changes and aggregation of PS NPs are observed when the H 2 O 2 dose exceeds 20%. Prolonged digestion further leads to progressive NP loss. In natural waters, the optimal dosage and digestion duration depend on matrix characteristics, including dissolved organic matter (DOM) and ion composition. This study provides mechanistic insights into NP–oxidant interactions and underscores the need for matrix-tailored digestion protocols to advance standardized NP detection in freshwater environments.

Great Lakes↗

Assessing conceptual models for subsurface reactive transport of inorganic contaminants

In many subsurface situations where human health and environmental quality are at risk (e.g., contaminant hydrogeology petroleum extraction, carbon sequestration, etc.),scientists and engineers are being asked by federal agency decision-makers to predict the fate of chemical species under conditions where both reactions and transport are processes of first-order importance. In 2002, a working group (WG) was formed by representatives of the U.S. Geological Survey, Environmental Protection Agency, Department of Energy Nuclear Regulatory Commission, Department of Agriculture, and Army Engineer Research and Development Center to assess the role of reactive transport modeling (RTM) in addressing these situations. Specifically the goals of the WG are to (1) evaluate the state of the art in conceptual model development and parameterization for RTM, as applied to soil,vadose zone, and groundwater systems, and (2) prioritize research directions that would enhance the practical utility of RTM.

Eos, Transactions, American Geophysical Union↗

Concurrent assessment of fish and habitat in warmwater streams in Wyoming

Fisheries research and management in North America have focused largely on sport fishes, but native non-game fishes have attracted increased attention due to their declines. The Warmwater Stream Assessment (WSA) was developed to evaluate simultaneously both fish and habitat in Wyoming streams by a process that includes three major components: (1) stream-reach selection and accumulation of existing information, (2) fish and habitat sampling and (3) summarisation and evaluation of fish and habitat information. Fish are sampled by electric fishing or seining and habitat is measured at reach and channel-unit (i.e. pool, run, riffle, side channel, or backwater) scales. Fish and habitat data are subsequently summarised using a data-matrix approach. Hierarchical decision trees are used to assess critical habitat requirements for each fish species expected or found in the reach. Combined measurements of available habitat and the ecology of individual species contribute to the evaluation of the observed fish assemblage. The WSA incorporates knowledge of the fish assemblage and habitat features to enable inferences of factors likely influencing both the fish assemblage and their habitat. The WSA was developed for warmwater streams in Wyoming, but its philosophy, process and conceptual basis may be applied to environmental assessments in other geographical areas. ?? 2006 Blackwell Publishing Ltd.

Fisheries Management and Ecology↗

WaterSMART-The Colorado River Basin focus-area study

Increasing demand for the limited water resources of the United States continues to put pressure on water-resource agencies to balance the competing needs of ecosystem health with municipal, agricultural, and recreational uses. In 2007, the U.S. Geological Survey (USGS) identified a National Water Census as one of six pivotal future science directions for the USGS in the following decade. The envisioned USGS National Water Census would evaluate large-scale effects of changes in land use and land cover, water use, and climate on water availability, water quality, and human and aquatic ecosystem health. The passage of the SECURE (Science and Engineering to Comprehensively Understand and Responsibly Enhance) Water Act in 2009 was a key step towards implementing the USGS National Water Census. Section 9508 of the Act authorizes a "national water availability and use assessment program" within the USGS (1) to provide a more accurate assessment of the status of the water resources of the United States; and (2) to develop the science for improved forecasts of the availability of water for future economic, energy production, and environmental uses. Initial funding for the USGS to begin working on the National Water Census came with the approval of the U.S. Department of the Interior's WaterSMART (Sustain and Manage America's Resources for Tomorrow) Initiative. The WaterSMART Initiative provides funding to the USGS, Bureau of Reclamation, and U.S. Department of Energy to achieve a sustainable water strategy to meet the Nation's water needs. WaterSMART funding also allowed the USGS to begin the national Water Availability and Use Assessment, as called for under the SECURE Water Act.

Arizona;Colorado;New Mexico;Utah↗

Monitoring of wild fish health at selected sites in the Great Lakes Basin: methods and preliminary results

During fall 2010 and spring 2011, a total of 119 brown bullhead ( Ameiurus nebulosus ), 136 white sucker ( Catostomus commersoni ), 73 smallmouth bass ( Micropterus dolomieu ), and 59 largemouth bass ( M. salmoides ) were collected from seven Great Lakes Basin Areas of Concern and one Reference Site. Comprehensive fish health assessments were conducted in order to document potential adverse affects from exposure to complex chemical mixtures. Fish were necropsied on site, blood samples obtained, pieces of liver, spleen, kidney, gill and any abnormalities placed in fixative for histopathology. Liver samples were saved for gene expression analysis and otoliths were removed for aging. A suite of fish health indicators was developed and implemented for site comparisons and to document seasonal effects and species differences in response to environmental conditions. Organism level (grossly visible lesions, condition factor), tissue level (microscopic pathology, organosomatic indices, micronuclei, and other nuclear abnormalities), plasma factors (reproductive steroid hormones, vitellogenin), and molecular (gene expression) indicators were included. This report describes the methods and preliminary results.

Great Lakes Basin↗

FishVis, A regional decision support tool for identifying vulnerabilities of riverine habitat and fishes to climate change in the Great Lakes Region

Climate change is expected to alter the distributions and community composition of stream fishes in the Great Lakes region in the 21st century, in part as a result of altered hydrological systems (stream temperature, streamflow, and habitat). Resource managers need information and tools to understand where fish species and stream habitats are expected to change under future conditions. Fish sample collections and environmental variables from multiple sources across the United States Great Lakes Basin were integrated and used to develop empirical models to predict fish species occurrence under present-day climate conditions. Random Forests models were used to predict the probability of occurrence of 13 lotic fish species within each stream reach in the study area. Downscaled climate data from general circulation models were integrated with the fish species occurrence models to project fish species occurrence under future climate conditions. The 13 fish species represented three ecological guilds associated with water temperature (cold, cool, and warm), and the species were distributed in streams across the Great Lakes region. Vulnerability (loss of species) and opportunity (gain of species) scores were calculated for all stream reaches by evaluating changes in fish species occurrence from present-day to future climate conditions. The 13 fish species included 4 cold-water species, 5 cool-water species, and 4 warm-water species. Presently, the 4 cold-water species occupy from 15 percent (55,000 kilometers [km]) to 35 percent (130,000 km) of the total stream length (369,215 km) across the study area; the 5 cool-water species, from 9 percent (33,000 km) to 58 percent (215,000 km); and the 4 warm-water species, from 9 percent (33,000 km) to 38 percent (141,000 km). Fish models linked to projections from 13 downscaled climate models projected that in the mid to late 21st century (2046–65 and 2081–2100, respectively) habitats suitable for all 4 cold-water species and 4 of 5 cool-water species under present-day conditions will decline as much as 86 percent and as little as 33 percent, and habitats suitable for all 4 warm-water species will increase as much as 33 percent and as little as 7 percent. This report documents the approach and data used to predict and project fish species occurrence under present-day and future climate conditions for 13 lotic fish species in the United States Great Lakes Basin. A Web-based decision support mapping application termed “FishVis” was developed to provide a means to integrate, visualize, query, and download the results of these projected climate-driven responses and help inform conservation planning efforts within the region.

Great Lakes Region↗

Assessment of water chemistry of the Coconino aquifer in northeastern Arizona

The Coconino aquifer was investigated as a potential groundwater resource for the Hopi Tribe and Navajo Nation in northeastern Arizona. Basic groundwater chemistry, including major ions, total dissolved solids, and selected trace metal concentrations, are presented and analyzed to characterize the Coconino aquifer. The geochemical compositions of groundwater are associated with changes in geology and groundwater movement and are compared to drinking-water standards to determine suitable areas for potential groundwater resource development. Dissolved-solids concentrations in much of the Coconino aquifer water were higher than the U.S. Environmental Protection Agency’s secondary drinking-water standard of 500 milligrams per liter (mg/L) due to a buried halite body in the southeastern part of the study area. However, trace metal concentrations were generally low. Groundwater may need to be treated for high dissolved-solids concentrations before it is suitable for use as a resource for the Hopi Tribe and Navajo Nation.

Arizona↗

Sampling design for assessing water quality of the Red River of the North basin, Minnesota, North Dakota, and South Dakota, 1993-1995

This map report describes the sampling design for a comprehensive regional assessment of water quality in the Red River of the North Basin, a study unit under the U.S. Geological Survey’s National Water-Quality Assessment Program. The sampling design was developed to address questions about the presence, distribution, and loads of nutrients and pesticides associated with large agricultural regions in the basin and across the Nation. The design also begins to address major local and regional concerns about suspended sediment in surface water and naturally occurring salinity in ground water. Recognizing that the Red River of the North Basin study unit realistically could not be analyzed as a single homogeneous area, a hierarchical sampling stratification for assessing water quality was developed. Landscape features consisting of physiography, soils, land cover and land use, and cropping patterns provided the environmental framework for stratification of streams and surficial aquifers. The environmental framework characterizes the climate and hydrology and relates closely to an ecoregions framework. The environmental and ecoregions frameworks were considered in locating ecological sampling sites. For the subsurface framework, buried sand and gravel aquifers in study unit were subdivided into two general subregions of differing potential saline recharge from underlying bedrock aquifers. Actual sampling sites for streams, aquatic biology, and ground water were described within the proposed sampling stratification. Practical considerations of previously established sampling sites, background information from previous hydrologic investigations, and site suitability for sampling protocols also were considered for final site selection.

Minnesota, North Dakota, South Dakota↗

Safety of the molluscicide Zequanox (R) to nontarget macroinvertebrates Gammarus lacustris (Amphipoda: Gammaridae) and Hexagenia spp. (Ephemeroptera: Ephemeridae)

Zequanox® is a commercial formulation of the killed bacterium, Pseudomonas fluorescens (strain CL145A), that was developed to control dreissenid mussels. In 2014, Zequanox became the second product registered by the United States Environmental Protection Agency (USEPA) for use in open water environments as a molluscicide. Previous nontarget studies demonstrated the safety and selectivity of P. fluorescens CL154A, but the database on the toxicity of the formulation (Zequanox) is limited for macroinvertebrate taxa and exposure conditions. We evaluated the safety of Zequanox to the amphipod Gammarus lacustris lacustris , and nymphs of the burrowing mayfly, Hexagenia spp. at the maximum approved concentration (100 mg/L active ingredient, A.I.) and exposure duration (8 h). Survival of animals was assessed after 8 h of exposure and again at 24 and 96 h post-exposure. Histopathology of the digestive tract of control and treated animals was compared at 96 h post-exposure. The results showed no significant effect of Zequanox on survival of either species. Survival of G. lacustris exceeded 85% in all concentrations at all three sampling time points. Survival of Hexagenia spp. ranged from 71% (control) to 91% at 8 h, 89–93% at 24 h post-exposure, and 70–73% at 96 h post-exposure across all treatments. We saw no evidence of pathology in the visceral organs of treated animals. Our results indicate that application of Zequanox at the maximum approved concentration and exposure duration did not cause significant mortality or treatment-related histopathological changes to G. lacustris and Hexagenia spp.

Management of Biological Invasions↗

Earthquakes and tsunami

Earthquakes occur as a burst of sudden ground shaking created by the release of accumulated stress along a fault, often influenced by movement of the world’s tectonic plates. Ground shaking from an earthquake can generate additional hazards, including landslides, liquefaction, and tsunami. According to the 2019 “Global Assessment Report on Disaster Risk Reduction”, earthquakes combined with tsunami are the most damaging environmental hazards globally. Impacts of earthquakes and tsunami on people have increased around the world as human development of built infrastructure continues to expand. Adverse earthquake and tsunami impacts can be reduced through strategies including land-use planning, engineering, mitigation and preparedness, emergency planning, warnings, and exercises. The specific disaster risk reduction approaches taken will depend on the country, considering the geography, built environment, and social and cultural contexts. Wherever the location, it is important that such measures are considered and implemented holistically, as singular approaches may not be effective in addressing earthquake and tsunami challenges.

Book chapter↗

Federal microcomputer software for urban hydrology

The purpose of this paper is to describe the development, availability, and general use of selected urban hydrology microcomputer software developed by: U.S. Soil Conservation Service (SCS); U.S. Army Corps of Engineers, Hydrologic Engineering Center (HEC); U.S. Environmental Protection Agency (EPA); and U.S. Geological Survey (USGS). The discussion is limited to software used for design and planning for urban stormwater flows.

Conference Paper↗

Earthquake history of the United States

This publication is a history of the prominent earthquakes in the United States from historical times through 1970. It supersedes all previous editions with the same or similar titles (see page ii) and, in addition to updating earthquake listings through 1970, contains several additions and corrections to previous issues. It also brings together under a common cover earthquake data previously listed in two separate reports: Earthquake History of the United States, Part I, Stronger Earthquakes of the United States (Exclusive of California and Western Nevada) and Earthquake History of the United States, Part II, Stronger Earthquakes of California and Western Nevada . Another addition to this publication is the inclusion of a section describing earthquakes in the Puerto Rico region. For the purpose of listing and describing earthquakes, the United States has been divided into nine regions: (1) Northeastern Region, which includes New England and New York activity and observations of the principal earthquakes of eastern Canada; (2) Eastern Region, including the central Appalachian seismic region activity and the area near Charleston, S.C.; (3) Central Region, which consists of the area between the region just described and the Rocky Mountains; (4) Western Mountain Region, which includes all remaining states except those on the Pacific coast; (5) Washington and Oregon; (6) Alaska; (7) Hawaii; (8) Puerto Rico; and (9) California and Western Nevada. This arrangement has been made chiefly with reference to the natural seismic divisions. It also is a convenient arrangement because there are only three states where there is an important division of earthquake activity: In Tennessee, there are quite distinct areas at opposite ends of the state that fall into different regions. Only central and eastern Nevada are included in the Western Mountain Region, as the activity of the western part is closely associated with that of California. Some earthquake activity has occurred in the part of Texas located in the Western Mountain Region. The map facing page 1 shows locations of all earthquakes in the regions that follow. A small map showing the area covered by each region immediately precedes the résumé of each chapter (except for the Alaska, Puerto Rico, and Hawaii regions). The seismic risk map below was developed in January 1969 for the conterminous United States by Dr. S. T. Algermissen of NOAA's Environmental Research Laboratories. Subject to revision as continuing research warrants, it is an updated edition of a map divides the United States into four zones: Zone 0, areas with no reasonable expectancy of earthquake damage; Zone 1, expected minor damage; Zone 2, expected moderate damage; and Zone 3, major destructive earthquakes may occur.

Publication↗

Development of a national seamless database of topography and hydrologic derivatives

The recent completion of the National Elevation Dataset (NED) and the National Hydrography Dataset (NHD) has provided an avenue for nationwide development of topographically derived hydrologic data layers at a scale of 1:24,000. This multilayer dataset of hydrologic derivatives, entitled the Elevation Derivatives for National Applications (EDNA), is being developed by a consortium of participants, including the U.S. Geological Survey (USGS), National Weather Service (NWS), the Environmental Protection Agency (EPA) and others. After the dataset is completed, terabytes of data will need to be stored, managed and distributed. To facilitate browse and, ultimately, delivery of the EDNA data, the consortium decided to manage the data layers with ArcSDE and provide browse and delivery of the data through the use of ArcIMS.

Conference Paper↗

Establishing conservation baselines with dynamic distribution models for bat populations facing imminent decline

Aim Bat mortality rates from white-nose syndrome and wind power development are unprecedented. Cryptic and wide-ranging behaviours of bats make them difficult to survey, and population estimation is often intractable. We advance a model-based framework for making spatially explicit predictions about summertime distributions of bats from capture and acoustic surveys. Motivated by species-energy and life-history theory, our models describe hypotheses about spatio-temporal variation in bat distributions along environmental gradients and life-history attributes, providing a statistical basis for conservation decision-making. Location Oregon and Washington, USA. Methods We developed Bayesian hierarchical models for 14 bat species from an 8-year monitoring dataset across a ~430,000 km 2 study area. Models accounted for imperfect detection and were temporally dynamic. We mapped predicted occurrence probabilities and prediction uncertainties as baselines for assessing future declines. Results Forest cover, snag abundance and cliffs were important predictors for most species. Species occurrence patterns varied along elevation and precipitation gradients, suggesting a potential hump-shaped diversity–productivity relationship. Annual turnover in occurrence was generally low, and occurrence probabilities were stable among most species. We found modest evidence that turnover covaried with the relative riskiness of bat roosting and migration. The fringed myotis ( Myotis thysanodes ), canyon bat ( Parastrellus hesperus ) and pallid bat ( Antrozous pallidus ) were rare; fringed myotis occurrence probabilities declined over the study period. We simulated anticipated declines to demonstrate that mapped occurrence probabilities, updated over time, provide an intuitive way to assess bat conservation status for a broad audience. Main conclusions Landscape keystone structures associated with roosting habitat emerged as regionally important predictors of bat distributions. The challenges of bat monitoring have constrained previous species distribution modelling efforts to temporally static presence-only approaches. Our approach extends to broader spatial and temporal scales than has been possible in the past for bats, making a substantial increase in capacity for bat conservation.

Oregon, Washington↗