Geology Reports⌕ Search

SEARCH · Geology Reports

Results for “Current Science”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 1,441 records · Page 80Linked to original sources

Distribution of Pacific lamprey Entosphenus tridentatus in watersheds of Puget Sound Based on smolt monitoring data

Lamprey populations are in decline worldwide and the status of Pacific lamprey ( Entosphenus tridentatus ) is a topic of current interest. They and other lamprey species cycle nutrients and serve as prey in riverine ecosystems. To determine the current distribution of Pacific lamprey in major watersheds flowing into Puget Sound, Washington, we sampled lamprey captured during salmonid smolt monitoring that occurred from late winter to mid-summer. We found Pacific lamprey in 12 of 18 watersheds and they were most common in southern Puget Sound watersheds and in watersheds draining western Puget Sound (Hood Canal). Two additional species, western brook lamprey ( Lampetra richardsoni ) and river lamprey ( L. ayresii ) were more common in eastern Puget Sound watersheds. Few Pacific lamprey macrophthalmia were found, suggesting that the majority of juveniles migrated seaward during other time periods. In addition, &ldquo;dwarf&rdquo; adult Pacific lamprey (< 300 mm) were observed in several watersheds and may represent an alternate life history for some Puget Sound populations. Based on genetic data, the use of visual techniques to identify lamprey ammocoetes as Entosphenus or Lampetra was successful for 97% (34 of 35) of the samples we evaluated.

Washington↗

An Atlas of ShakeMaps and population exposure catalog for earthquake loss modeling

We present an Atlas of ShakeMaps and a catalog of human population exposures to moderate-to-strong ground shaking (EXPO-CAT) for recent historical earthquakes (1973-2007). The common purpose of the Atlas and exposure catalog is to calibrate earthquake loss models to be used in the US Geological Survey's Prompt Assessment of Global Earthquakes for Response (PAGER). The full ShakeMap Atlas currently comprises over 5,600 earthquakes from January 1973 through December 2007, with almost 500 of these maps constrained-to varying degrees-by instrumental ground motions, macroseismic intensity data, community internet intensity observations, and published earthquake rupture models. The catalog of human exposures is derived using current PAGER methodologies. Exposure to discrete levels of shaking intensity is obtained by correlating Atlas ShakeMaps with a global population database. Combining this population exposure dataset with historical earthquake loss data, such as PAGER-CAT, provides a useful resource for calibrating loss methodologies against a systematically-derived set of ShakeMap hazard outputs. We illustrate two example uses for EXPO-CAT; (1) simple objective ranking of country vulnerability to earthquakes, and; (2) the influence of time-of-day on earthquake mortality. In general, we observe that countries in similar geographic regions with similar construction practices tend to cluster spatially in terms of relative vulnerability. We also find little quantitative evidence to suggest that time-of-day is a significant factor in earthquake mortality. Moreover, earthquake mortality appears to be more systematically linked to the population exposed to severe ground shaking (Modified Mercalli Intensity VIII+). Finally, equipped with the full Atlas of ShakeMaps, we merge each of these maps and find the maximum estimated peak ground acceleration at any grid point in the world for the past 35 years. We subsequently compare this "composite ShakeMap" with existing global hazard models, calculating the spatial area of the existing hazard maps exceeded by the combined ShakeMap ground motions. In general, these analyses suggest that existing global, and regional, hazard maps tend to overestimate hazard. Both the Atlas of ShakeMaps and EXPO-CAT have many potential uses for examining earthquake risk and epidemiology. All of the datasets discussed herein are available for download on the PAGER Web page ( http://earthquake.usgs.gov/ eqcenter/pager/prodandref/ ). ?? 2009 Springer Science+Business Media B.V.

Bulletin of Earthquake Engineering↗

Regenerable membrane sensors for ultrasensitive nanoplastic quantification enabled by a data-driven Raman spectral processing algorithm

The detection of nanoplastics (NPs) in complex natural water systems is hindered by matrix interferences and limitations in current analytical techniques. This study presents Pre_seg, a Raman spectral processing algorithm integrated with regenerable anodic aluminum oxide (AAO) membrane sensors, for ultrasensitive, rapid, and quantitative NP detection at the single-particle level. The AAO membranes function as both filtration substrates and Raman sensors, reducing sample loss and contamination. Pre_seg incorporates statistically determined thresholds for signal-to-noise ratios (SNRs) and full width at half maximums (fwhms) across segmented spectral ranges, effectively minimizing noise and enhancing accuracy and sensitivity of NP detection. Pre_seg achieved 93.5% prediction accuracy of NPs and ≥90.4% rejection accuracy for non-NP entries. Mixed NPs were quantified at the lowest concentration of 0.5 μg L –1 . The robustness of Pre_seg was validated in eutrophic and oligotrophic lake matrices following oxidation digestion pretreatment to mitigate organic interferences. Furthermore, the AAO membrane sensors demonstrated stability through multiple regeneration and reuse cycles. This innovative approach advances NP detection by enabling scalable, customizable, and environmentally relevant monitoring.

Environmental Science and Technology↗

A critical review on the potential impacts of neonicotinoid insecticide use: Current knowledge of environmental fate, toxicity, and implications for human health

Neonicotinoid insecticides are widely used in both urban and agricultural settings around the world. Historically, neonicotinoid insecticides have been viewed as ideal replacements for more toxic compounds, like organophosphates, due in part to their perceived limited potential to affect the environment and human health. This critical review investigates the environmental fate and toxicity of neonicotinoids and their metabolites and the potential risks associated with exposure. Neonicotinoids are found to be ubiquitous in the environment, drinking water, and food, with low-level exposure commonly documented below acceptable daily intake standards. Available toxicological data from animal studies indicate possible genotoxicity, cytotoxicity, impaired immune function, and reduced growth and reproductive success at low concentrations, while limited data from ecological or cross-sectional epidemiological studies have identified acute and chronic health effects ranging from acute respiratory, cardiovascular, and neurological symptoms to oxidative genetic damage and birth defects. Due to the heavy use of neonicotinoids and potential for cumulative chronic exposure, these insecticides represent novel risks and necessitate further study to fully understand their risks to humans.

Environmental Science: Processes and Impacts↗

Climate-induced range contraction of a rare alpine aquatic invertebrate

Climate warming poses a serious threat to alpine-restricted species worldwide, yet few studies have empirically documented climate-induced changes in distributions. The rare stonefly, Zapada glacier (Baumann and Gaufin), endemic to alpine streams of Glacier National Park (GNP), Montana, was recently petitioned for listing under the US Endangered Species Act because of climate-change-induced glacier loss, yet little was known about its current status and distribution. We resampled streams throughout the historical distribution of Z. glacier to investigate trends in occurrence associated with changes in temperature and glacial extent. The current geographic distribution of the species was assessed using morphological characteristics of adults and DNA barcoding of nymphs. Bayesian phylogenetic analysis of mtDNA data revealed 8 distinct clades of the genus corresponding with 7 known species from GNP, and one potentially cryptic species. Climate model simulations indicate that average summer air temperature increased (0.67&ndash;1.00&deg;C) during the study period (1960&ndash;2012), and glacial surface area decreased by &sim;35% from 1966 to 2005. We detected Z. glacier in only 1 of the 6 historically occupied streams and at 2 new locations in GNP. These results suggest that an extremely restricted historical distribution of Z. glacier in GNP has been further reduced over the past several decades by an upstream retreat to higher, cooler sites as water temperatures increased and glacial masses decreased. More research is urgently needed to determine the status, distribution, and vulnerability of Z. glacier and other alpine stream invertebrates threatened by climate change in mountainous ecosystems.

Montana↗

Assessing the effect of coral reef restoration location on coastal flood hazard along the San Juan Coastline, Puerto Rico

Coastal resilience has become a pressing global issue due to the growing vulnerability of coastlines to the effects of climate change. Nature-based solutions have emerged as a promising approach to coastal protection to not only enhance coastal resilience, but also restore critical ecosystems. Coral reef restoration has the potential to provide ecosystem services benefits; however, there are still key uncertainties in linking restoration design to reductions in coastal flood hazard under current and future climate conditions. In this study, we applied one-dimensional and two-dimensional numerical coastal engineering models, calibrated and validated using field data, to evaluate the effectiveness of coral restoration scenarios on coastal waves, water levels, and flooding along the coast of San Juan, Puerto Rico, U.S.A. Model results indicate a small reduction in maximum water levels under the proposed restoration scenarios. This underscores the importance of these endeavors, not only for ecological preservation but also for preventing further reef deterioration. Such preservation is essential for mitigating the increased coastal risks anticipated in the future. Results from this study provide information to guide policymakers and coastal managers in making informed decisions on viable restoration project design options. By systematically evaluating how restoration location impacts coastal flood hazards, communities can develop and implement proactive strategies to mitigate flood-related risk. In addition, by restoring coral reefs, communities can contribute to environmental preservation while ensuring sustainable development and protection of coastal environments.

Puerto Rico, San Juan coastline↗

Using mollusks as indicators of restoration in nearshore zones of south Florida's estuaries

Current south Florida ecosystem restoration efforts are focused on restoring more natural freshwater flow through the wetlands and into the estuaries to reestablish natural salinity gradients, particularly in the nearshore zones. Indicator taxa are used to monitor and assess restoration progress and the current suite of biota used for the estuaries in south Florida (Biscayne Bay, Florida Bay, and the southwest mangrove riverine system) does not include mollusks. Mollusks make excellent indicators because they are found in all south Florida environments, are relatively stationary in postlarval stages, and, therefore, do not leave a site when conditions change. Their hard shells increase the likelihood of preservation after death, thus, making it possible to assess death assemblages. In addition to these features, many mollusks can be quickly sampled in the field and assessed in the lab, so poor visibility and tidal cycles are not an issue for monitoring surveys. Here we examine 27 years of molluscan data from 887 samples from 640 visits to 167 sites in south Florida's estuaries and present a suite of taxa that could be used as indicators for restoration of the oligohaline to mesohaline (0.5 to 17.9 psu) nearshore zones. Cyrenoida floridana , Hydrobiidae, Polymesoda caroliniana , Crassostrea virginica , and additional taxa are included with suggested sampling strategies.

Florida↗

Porphyry copper assessment of British Columbia and Yukon Territory, Canada: Chapter C in Global mineral resource assessment

The U.S. Geological Survey does regional, national, and global assessments of resources (mineral, energy, water, biologic) to provide science in support of land management and decision making. Mineral resource assessments provide a synthesis of available information about where mineral deposits are known and suspected to be in the Earth&rsquo;s crust, which commodities may be present, and estimates of amounts of resources that may be present in undiscovered deposits. Canada is an important source of copper, consistently ranking as one of the top 10 world producers during the past decade (2000&ndash;2010). The preponderance of this production has been from porphyry-copper-type deposits in the western Canadian Cordillera. A probabilistic mineral resource assessment of undiscovered resources associated with porphyry copper deposits in western Canada was completed as part of a global mineral resource assessment. The purpose of the assessment was to (1) compile a database of known deposits and significant prospects, (2) delineate permissive areas (tracts) for undiscovered porphyry copper deposits that may be present in the upper kilometer (minimally) of the Earth&rsquo;s crust, and (3) provide probabilistic estimates of amounts of copper (Cu), molybdenum (Mo), gold (Au), and silver (Ag) that could be contained in undiscovered porphyry copper deposits in the tracts. The study was done by the U.S. Geological Survey (USGS) in collaboration with geologists from the British Columbia Geological Survey, Yukon Geological Survey, and industry consultants. The database of known deposits and significant prospects includes an inventory of mineral resources in 89 known porphyry copper (and 2 related copper-bearing polymetallic vein) ore zones, representing 50 porphyry copper deposits, and lists key characteristics of 280 additional porphyry copper and related copper-bearing prospects, as indicated by currently available exploration results, which also are summarized. Resource and exploration and development activity are updated with information current through April 2010. The delineation of permissive tracts and probabilistic estimation of resources in undiscovered deposits were done using the USGS three-part mineral resource assessment approach. Permissive tracts are defined in accordance with descriptive models for porphyry copper deposits to include igneous rocks and known deposits and prospects within magmatic arcs related to convergent plate-margin boundary zones. Frequency distributions of total tonnages and average grades of thoroughly explored deposits were used as models for undiscovered deposits and include a new grade and tonnage model for calc-alkaline porphyry Cu&plusmn;Mo&plusmn;Au deposits in western Canada. Five permissive tracts for the occurrence of porphyry copper deposits were delineated: 2 island-arc tracts, 1 tract of transitional, mixed island-arc and continental arc affinities, and 2 continental arc tracts. In permissive tract 003pCu2001, calc-alkaline igneous rocks of Middle Triassic to Late Jurassic age in accreted island-arc terranes of the Intermontane belt are assessed for calc-alkaline porphyry Cu&plusmn;Mo&plusmn;Au deposits. The area of this tract is 175,250 km 2 . In 12 known deposits, the total reported tonnage of ore is 8,100 million metric tons (Mt) containing 24.6 Mt copper. An estimated 6.9 undiscovered deposits contain a calculated mean of 8.9 Mt copper and a median of 6.9 Mt copper. The spatial density for the 18.9 known plus estimated undiscovered deposits in this tract is approximately 11 deposits per 100,000 km 2 . In permissive tract 003pCu2002, alkaline igneous rocks of Middle Triassic to Late Jurassic age within the Intermontane accreted island-arc terranes are assessed for alkaline porphyry Cu-Au deposits. The area of this tract is 109,290 km 2 . In 12 known deposits the total reported tonnage of ore is 6,440 Mt, containing 20.9 Mt copper. An estimated 7 undiscovered deposits contain a calculated mean of 22 Mt copper and a median of 13 Mt copper. The spatial density for the 19 known plus estimated undiscovered deposits in this tract is approximately 17 deposits per 100,000 km 2 . In permissive tract 003pCu2003, calc-alkaline igneous rocks of Late Triassic to Early Cretaceous age within the accreted Insular terranes of mixed island-arc and continental arc affinities are assessed for calc-alkaline porphyry Cu&plusmn;Mo&plusmn;Au deposits. The area of this tract is 58,360 km 2 . The total tonnage of ore reported in the 2 known deposits is 1,160 Mt containing 3.17 Mt copper. An estimated 2.3 undiscovered deposits contain a calculated mean of 3 Mt copper and a median of 1.9 Mt copper. The spatial density for the 4.3 known plus estimated undiscovered deposits in this tract is approximately 7 deposits per 100,000 km 2 . In permissive tract 003pCu2004, calc-alkaline igneous rocks in continental magmatic arcs of Jurassic to Eocene age are assessed for porphyry Cu&plusmn;Mo&plusmn;Au deposits. The area of this tract is 639,500 km 2 . The total tonnage of ore reported for the 23 known deposits is 6,520 Mt containing 17.9 Mt copper. An estimated 9.6 undiscovered deposits contain a calculated mean of 13 Mt copper and a median of 11 Mt copper. The spatial density for the 32.6 known deposits plus the estimated undiscovered deposits in this tract is approximately 5 deposits per 100,000 km 2 . In permissive tract 003pCu2005, calc-alkaline igneous rocks in continental magmatic arcs of Oligocene to Pliocene age are assessed for porphyry Cu&plusmn;Mo&plusmn;Au deposits. The area of this tract is 32,840 km 2 . The total tonnage of ore reported for the 1 known deposit is 44.8 Mt containing 0.224 Mt copper. An estimated 1.4 undiscovered deposits contain a calculated mean of 1.8 Mt copper and a median of 0.72 Mt copper. The spatial density for the 2.4 known plus estimated undiscovered deposits in this permissive tract is approximately 7 deposits per 100,000 km 2 . Western Canada has been thoroughly explored for porphyry copper deposits. The total estimated copper contained in known deposits is about 66.8 Mt (based on 2010 data), as compared to a 49 Mt mean of estimated copper in undiscovered deposits and a 34 Mt median of estimated copper in undiscovered deposits. The copper contained in known porphyry copper deposits represents about 58 percent of the total of known and undiscovered porphyry copper deposits (based on mean values). About 86 percent of the increase in estimated copper resources between 1993 and 2009 resulted from the discovery of extensions to known deposits. Nevertheless, exploration for undiscovered deposits continues, especially in and around significant prospects and in parts of permissive tracts that are mostly hidden beneath younger volcanic, sedimentary, or vegetated surficial cover.

British Columbia, Yukon Territory↗

Earthquake likelihood model testing

INTRODUCTION The Regional Earthquake Likelihood Models (RELM) project aims to produce and evaluate alternate models of earthquake potential (probability per unit volume, magnitude, and time) for California. Based on differing assumptions, these models are produced to test the validity of their assumptions and to explore which models should be incorporated in seismic hazard and risk evaluation. Tests based on physical and geological criteria are useful but we focus on statistical methods using future earthquake catalog data only. We envision two evaluations: a test of consistency with observed data and a comparison of all pairs of models for relative consistency. Both tests are based on the likelihood method, and both are fully prospective ( i.e. , the models are not adjusted to fit the test data). To be tested, each model must assign a probability to any possible event within a specified region of space, time, and magnitude. For our tests the models must use a common format: earthquake rates in specified “bins” with location, magnitude, time, and focal mechanism limits. Seismology cannot yet deterministically predict individual earthquakes; however, it should seek the best possible models for forecasting earthquake occurrence. This paper describes the statistical rules of an experiment to examine and test earthquake forecasts. The primary purposes of the tests described below are to evaluate physical models for earthquakes, assure that source models used in seismic hazard and risk studies are consistent with earthquake data, and provide quantitative measures by which models can be assigned weights in a consensus model or be judged as suitable for particular regions. In this paper we develop a statistical method for testing earthquake likelihood models. A companion paper ( Schorlemmer and Gerstenberger 2007 , this issue) discusses the actual implementation of these tests in the framework of the RELM initiative. Statistical testing of hypotheses is a common task and a wide range of possible testing procedures exist. Jolliffe and Stephenson ( 2003 ) present different forecast verifications from atmospheric science, among them likelihood testing of probability forecasts and testing the occurrence of binary events. Testing binary events requires that for each forecasted event, the spatial, temporal and magnitude limits be given. Although major earthquakes can be considered binary events, the models within the RELM project express their forecasts on a spatial grid and in 0.1 magnitude units; thus the results are a distribution of rates over space and magnitude. These forecasts can be tested with likelihood tests. In general, likelihood tests assume a valid null hypothesis against which a given hypothesis is tested. The outcome is either a rejection of the null hypothesis in favor of the test hypothesis or a nonrejection, meaning the test hypothesis cannot outperform the null hypothesis at a given significance level. Within RELM, there is no accepted null hypothesis and thus the likelihood test needs to be expanded to allow comparable testing of equipollent hypotheses. To test models against one another, we require that forecasts are expressed in a standard format: the average rate of earthquake occurrence within pre-specified limits of hypocentral latitude, longitude, depth, magnitude, time period, and focal mechanisms. Focal mechanisms should either be described as the inclination of P -axis, declination of P -axis, and inclination of the T -axis, or as strike, dip, and rake angles. Schorlemmer and Gerstenberger ( 2007 , this issue) designed classes of these parameters such that similar models will be tested against each other. These classes make the forecasts comparable between models. Additionally, we are limited to testing only what is precisely defined and consistently reported in earthquake catalogs. Therefore it is currently not possible to test such information as fault rupture length or area, asperity location, etc. Also, to account for data quality issues, we allow for location and magnitude uncertainties as well as the probability that an event is dependent on another event. As we mentioned above, only models with comparable forecasts can be tested against each other. Our current tests are designed to examine grid-based models. This requires that any fault-based model be adapted to a grid before testing is possible. While this is a limitation of the testing, it is an inherent difficulty in any such comparative testing. Please refer to appendix B for a statistical evaluation of the application of the Poisson hypothesis to fault-based models. The testing suite we present consists of three different tests: L-Test, N-Test, and R-Test. These tests are defined similarily to Kagan and Jackson ( 1995 ). The first two tests examine the consistency of the hypotheses with the observations while the last test compares the spatial performances of the models.

Seismological Research Letters↗

Proceedings of a workshop on the development and evaluation of habitat suitability criteria: A compilation of papers and discussions presented at Colorado State University, Fort Collins, Colorado, December 8-12, 1986

The development of reliable habitat suitability criteria is critical to the successful implementation of the Instream Flow Incremental Methodology (IFIM), or any other habitat based evaluation technology. It is also a fascinating topic of research, for several reasons. First, the “science” of habitat quantification is relatively young. Descriptions of habitat use and partitioning can be traced back to Darwin, if not further. Attempts to actually quantify habitat use can be found predominantly during the last two decades, with most of the activity occurring in about the last five years. Second, this work is challenging because we are usually working with fish or some other organism that lives out of sight in an environment that is foreign to humans. Most of the data collection techniques that have been developed for standard fisheries work are unsuited, without modification, for criteria development. These factors make anyone involved in this type of research a pioneer, of sorts. Pioneers often make new and wonderful discoveries, but they also sometimes get lost. In our opinion, however, there is an even more rewarding aspect to criteria development research. It seems that the field of biology has tended to become increasingly clinical over the years. Criteria development demands the unobtrusive observation of organisms in their natural environment, a fact that allows the biological to be a naturalist and still get paid for it. The relative youth and importance of habitat quantification have resulted in rapid advancements in the state of the art. The expansion of methods is vividly demonstrated simply by comparing the two Instream Flow Information Papers written on the subject in 1978 and in 1986. One of the missions of the Aquatic Systems Branch (formerly the Instream Flow Group) is to serve as a clearinghouse for new techniques and methods. In keeping with this role, a workshop was conducted during December 1986 to discuss current and newly evolving methods for developing and evaluating habitat suitability criteria. Participation in this workshop was largely by invitation only. The objective was to obtain insights into problems and possible solutions to criteria development, from the perspective of professionals closely involved with the subject. These proceedings of that workshop are intended to supplement the information contained in Instream Flow Information Paper 21, "Development and Evaluation of Habitat Suitability Criteria for Use in the Instream Flow Incremental Methodology." The workshop was closely arranged in five sessions, roughly following the outline of Information Paper 21. The first session dealt with various aspects of study design and how they can influence the outcome of a study. Session two investigated techniques for developing criteria from professional judgment, and some of the problems encountered when personal or agency prejudice enters the picture. Session three concentrated on field data collection procedures, whereas session four examined methods of converting field data into curves. Field verification studies were discussed in session five. Each presentation in the workshop was followed by a question and answer period of 15 to 30 minutes. These discussions were recorded, transcribed, and appended to the end of each paper in these proceedings. We have attempted to capture the essence of these discussions as accurately as possible, but hope that the reader can appreciate the difficulty in translating a free-ranging discussion (from a barely audible tape) to something that makes sense in print. These question and answer sessions constitute the peer review for each of the papers. This provides the reader with the unique opportunity to review the interactions between authors and reviewers.

Book↗

Ecological risks of shale oil and gas development to wildlife, aquatic resources and their habitats

Technological advances in hydraulic fracturing and horizontal drilling have led to the exploration and exploitation of shale oil and gas both nationally and internationally. Extensive development of shale resources has occurred within the United States over the past decade, yet full build out is not expected to occur for years. Moreover, countries across the globe have large shale resources and are beginning to explore extraction of these resources. Extraction of shale resources is a multistep process that includes site identification, well pad and infrastructure development, well drilling, high-volume hydraulic fracturing and production; each with its own propensity to affect associated ecosystems. Some potential effects, for example from well pad, road and pipeline development, will likely be similar to other anthropogenic activities like conventional gas drilling, land clearing, exurban and agricultural development and surface mining (e.g., habitat fragmentation and sedimentation). Therefore, we can use the large body of literature available on the ecological effects of these activities to estimate potential effects from shale development on nearby ecosystems. However, other effects, such as accidental release of wastewaters, are novel to the shale gas extraction process making it harder to predict potential outcomes. Here, we review current knowledge of the effects of high-volume hydraulic fracturing coupled with horizontal drilling on terrestrial and aquatic ecosystems in the contiguous United States, an area that includes 20 shale plays many of which have experienced extensive development over the past decade. We conclude that species and habitats most at risk are ones where there is an extensive overlap between a species range or habitat type and one of the shale plays (leading to high vulnerability) coupled with intrinsic characteristics such as limited range, small population size, specialized habitat requirements, and high sensitivity to disturbance. Examples include core forest habitat and forest specialists, sagebrush habitat and specialists, vernal pond inhabitants and stream biota. We suggest five general areas of research and monitoring that could aid in development of effective guidelines and policies to minimize negative impacts and protect vulnerable species and ecosystems: (1) spatial analyses, (2) species-based modeling, (3) vulnerability assessments, (4) ecoregional assessments, and (5) threshold and toxicity evaluations.

Environmental Science & Technology↗

Reconsidering residency: Characterization and conservation implications of complex migratory patterns of shortnose sturgeon ( Acispenser brevirostrum )

Efforts to conserve endangered species usually involve attempts to define and manage threats at the appropriate scale of population processes. In some species that scale is localized; in others, dispersal and migration link demic units within larger metapopulations. Current conservation strategies for endangered shortnose sturgeon ( Acipenser brevirostrum ) assume the species is river resident, with little to no movement between rivers. However we have found that shortnose sturgeon travel more than 130 km through coastal waters between the largest rivers in Maine. Indeed, acoustic telemetry shows that shortnose sturgeon enter six out of the seven acoustically monitored rivers we have monitored, with over 70% of tagged individuals undertaking coastal migrations between river systems. Four migration patterns were identified for shortnose sturgeon inhabiting the Penobscot River, Maine: river resident (28%), spring coastal emigrant (24%), fall coastal emigrant (33%), and summer coastal emigrant (15%). No shortnose sturgeon classified as maturing female exhibited a resident pattern, indicating differential migration. Traditional river-specific assessment and management of shortnose sturgeon could be better characterized using a broader metapopulation scale, at least in the Gulf of Maine, that accounts for diverse migratory strategies and the importance of migratory corridors as critical habitat.

Canadian Journal of Fisheries and Aquatic Sciences↗

Modeling fine-scale coral larval dispersal and interisland connectivity to help designate mutually-supporting coral reef marine protected areas: Insights from Maui Nui, Hawaii

Connectivity among individual marine protected areas (MPAs) is one of the most important considerations in the design of integrated MPA networks. To provide such information for managers in Hawaii, USA, a numerical circulation model was developed to determine the role of ocean currents in transporting coral larvae from natal reefs throughout the high volcanic islands of the Maui Nui island complex in the southeastern Hawaiian Archipelago. Spatially- and temporally-varying wind, wave, and circulation model outputs were used to drive a km-scale, 3-dimensional, physics-based circulation model for Maui Nui. The model was calibrated and validated using satellite-tracked ocean surface current drifters deployed during coral-spawning conditions, then used to simulate the movement of the larvae of the dominant reef-building coral, Porites compressa , from 17 reefs during eight spawning events in 2010–2013. These simulations make it possible to investigate not only the general dispersal patterns from individual coral reefs, but also how anomalous conditions during individual spawning events can result in large deviations from those general patterns. These data also help identify those reefs that are dominated by self-seeding and those where self-seeding is limited to determine their relative susceptibility to stressors and potential roadblocks to recovery. Overall, the numerical model results indicate that many of the coral reefs in Maui Nui seed reefs on adjacent islands, demonstrating the interconnected nature of the coral reefs in Maui Nui and providing a key component of the scientific underpinning essential for the design of a mutually supportive network of MPAs to enhance conservation of coral reefs.

Hawaii↗

The geochemistry of Seine River Basin particulate matter: Distribution of an integrated metal pollution index

Spatial analysis (1994-2001) and temporal trends (1980-2000) for particulate-associated metals at key stations in the Seine River Basin have been determined using a new metal pollution index (MPI). The MPI is based on the concentrations of Cd, Cu, Hg, Pb and Zn, normalized to calculated background levels estimated for each particulate matter samples for four fractions (clays and other aluminosilicates, carbonates, organic matter, and quartz). Background levels ascribed to each fraction were determined from a specific set of samples collected from relatively pristine areas in the upper Seine basin and validated on prehistoric samples. The unitless MPI is designed to vary between 0 for pristine samples to 100 for the ones extremely impacted by human activities and to assess the trends of general metal contamination and its mapping. Throughout the Seine basin, MPI currently range from 1 to 40, but values exceeding 100 have been found in periurban streams and the Eure tributary. Based on the MPI spatial distribution, the Seine River Basin displays a wide range of anthropogenic impacts linked to variations in population density, stream order, wastewater discharges and industrial activities. Correlations between the MPI and other trace elements indicate that anthropogenic impacts also strongly affect the concentrations of Ag, Sb, and P, marginally affect the concentrations of Ba, Ni, and Cr, and appear to have little effect on the concentrations of Li, Be, V, Co, and the major elements. Temporal MPI trends can also be reconstituted from past regulatory surveys. In the early 1980s, MPI were 2-5 times higher than nowadays at most locations, particularly downstream of Greater Paris where it reached levels as high as 250 (now 40), a value characteristic of present Paris urban sewage. The exceptional contamination of the Seine basin is gradually improving over the last 20 years but remains very high. ?? 2004 Elsevier B.V. All rights reserved.

Science of the Total Environment↗

Influences of spawning timing, water temperature, and climatic warming on early life history phenology in western Alaska sockeye salmon

We applied an empirical model to predict hatching and emergence timing for 25 western Alaska sockeye salmon (Oncorhynchus nerka) populations in four lake-nursery systems to explore current patterns and potential responses of early life history phenology to warming water temperatures. Given experienced temperature regimes during development, we predicted hatching to occur in as few as 58 d to as many as 260 d depending on spawning timing and temperature. For a focal lake spawning population, our climate-lake temperature model predicted a water temperature increase of 0.7 to 1.4 °C from 2015 to 2099 during the incubation period, which translated to a 16 d to 30 d earlier hatching timing. The most extreme scenarios of warming advanced development by approximately a week earlier than historical minima and thus climatic warming may lead to only modest shifts in phenology during the early life history stage of this population. The marked variation in the predicted timing of hatching and emergence among populations in close proximity on the landscape may serve to buffer this metapopulation from climate change.

Canadian Journal of Fisheries and Aquatic Sciences↗

Status and trends of the Lake Huron prey fish community, 1976-2023

The U. S. Geological Survey-Great Lakes Science Center has monitored annual changes in the offshore (depth >9m) prey fish community of Lake Huron since 1973. Monitoring of prey fish populations in Lake Huron is based on a bottom trawl survey that targets demersal (benthic) species and an acoustic-midwater trawl survey that targets pelagic species and life stages. In 2023, Bloater ( Coregonus hoyi ) accounted for 77% of the main basin biomass in bottom trawls and 86% of the main basin biomass in the acoustics survey. Despite this sustained importance of native species in the main basin, species diversity is below desired levels. Bloater in the main basin has exhibited population growth and strong recruitment in recent years, and Cisco ( Coregonus artedi ) has exhibited increased biomass in the North Channel since 2015. In contrast non-native Alewife ( Alosa pseudoharengus ), whose population collapsed in 2004 and has not recovered, were less than 1% of fish biomass in 2023. Rainbow Smelt ( Osmerus mordax ) accounted for 7% of the main basin biomass in bottom trawls and 22% of the main basin biomass in the acoustics survey. Despite remaining the second-most abundant prey species in the main basin, Rainbow Smelt has not shown appreciable increases in biomass despite recent strong year classes. Deepwater Sculpin ( Myoxocephalus thompsonii ) increased by 47% in 2023 and were 33% of the long-term average. Slimy Sculpin ( Cottus cognatus ) increased to 60% of the long-term average but remained rare in bottom trawl catches. In contrast, biomass of Round Goby ( Neogobius melanostomus ), a non-native species similar ecologically to the sculpin species, remained near the record high biomass reached in 2022. Current lake conditions characterized by ongoing oligotrophication seem to favor native coregonines over non-native fishes. Use of complementary surveys (bottom trawl, acoustics) remains important for evaluating prey fish status in Lake Huron, where prey fish community dynamics vary by basin and prey fish responses to changing environmental conditions depend on species and/or habitat.

Lake Huron↗

Wetland restoration in the Prairie Pothole Region of North America: A literature review

The landscape of the prairie pothole region (PPR), a grassland biome of the northern U.S. Great Plains and parts of Canada, has been greatly altered by land use since the 1800's. Conversion of grassland to cropland and drainage of wetlands has resulted in wetland losses of up to 90% in some areas. Besides the area providing critical habitat to various wildlife, breeding waterfowl, and migratory birds, its seasonal wetlands support diverse plant and invertebrate communities, play a role in flood attenuation, act as traps for nutrients. store and recharge groundwater. and are valued recreational lands. Most of the restoration of prairie potholes has only occurred since the 1980's, with few follow-up studies performed and little postrestoration monitoring of these restorations. Monitoring and research of wetland restoration in the PPR is less common relative to the number of postrestoration studies done on other wetland types in the United States. This report is a synthesis of current knowledge of restored prairie pothole wetlands and makes suggestions for future wetland restoration-related research. In order to determine the benefits of restored wetlands, it is important to better understand how closely restored wetlands in the PPR resemble their natural analogues in terms of functions and values. The report categorizes PPR literature into five general sections: wildlife, vegetation, invertebrates, fish, and physical and chemical characteristics of restored wetlands. Each of these five sections has a summary of research and is divided into two parts: an overview of research and findings and regional case studies. Most PPR studies have focused on bird and plant communities, whereas research done on the functions of restored wetlands and studies concerning less visible fauna and physical and chemical characteristics are scarce. In addition, there is a scarcity of research in the western and northern portions or the PPR; most studio to date have been conducted in Iowa. Minnesota, or South Dakota. Key Words: wetland restoration, prairie pothole region, PPR, literature review, wetland functions and values. postrestoration studies

Biological Science Report↗

Current-use flame retardants in the water of Lake Michigan tributaries

In this study, we measured the concentrations of 65 flame retardants in water samples from five Lake Michigan tributaries. These flame retardants included organophosphate esters (OPEs), brominated flame retardants (BFRs), and Dechlorane-related compounds. A total of 59 samples, including both the particulate and the dissolved phases, were collected from the Grand, Kalamazoo, Saint Joseph, and Lower Fox rivers and from the Indiana Harbor and Ship Canal (IHSC) in 2015. OPEs were the most abundant among the targeted compounds with geometric mean concentrations ranging from 20 to 54 ng/L; OPE concentrations were comparable among the five tributaries. BFR concentrations were about 1 ng/L, and the most-abundant compounds were bis (2-ethylhexyl) tetrabromophthalate, 2-ethylhexyl 2,3,4,5-tetrabromobenzoate, and decabromodiphenyl ether. The highest BFR concentrations were measured in either the IHSC or the Saint Joseph River. The dechlorane-related compounds were detected at low concentrations (<1 pg/L). The fraction of target compounds in the particulate phase relative to the dissolved phase varied by chemical and tended to increase with their octanol–water partition coefficient. The chemical loading from all the five tributaries into Lake Michigan were <10 kg/year for the BFRs and about 500 kg/year for the OPEs.

Lake Michigan↗