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Predicting flood damage probability across the conterminous United States

Floods are the leading cause of natural disaster damages in the United States, with billions of dollars incurred every year in the form of government payouts, property damages, and agricultural losses. The Federal Emergency Management Agency oversees the delineation of floodplains to mitigate damages, but disparities exist between locations designated as high risk and where flood damages occur due to land use and climate changes and incomplete floodplain mapping. We harnessed publicly available geospatial datasets and random forest algorithms to analyze the spatial distribution and underlying drivers of flood damage probability caused by excessive rainfall and overflowing water bodies across the conterminous United States. From this, we produced the first spatially complete map of flood damage probability for the nation, along with spatially explicit standard errors for four selected cities. We trained models using the locations of historical reported flood damage events ( n = 71,434) and a suite of geospatial predictors (e.g., flood severity, climate, socio-economic exposure, topographic variables, soil properties, and hydrologic characteristics). We developed independent models for each hydrologic unit code level 2 watershed and generated a flood damage probability for each 100-m pixel. Our model classified damage or no damage with an average area under the curve accuracy of 0.75; however, model performance varied by environmental conditions, with certain land cover classes (e.g., forest) resulting in higher error rates than others (e.g., wetlands). Our results identified flood damage probability hotspots across multiple spatial and regional scales, with high probabilities common in both inland and coastal regions. The highest flood damage probabilities tended to be in areas of low elevation, in close proximity to streams, with extreme precipitation, and with high urban road density. Given rapid environmental changes, our study demonstrates an efficient approach for updating flood damage probability estimates across the nation.

Environmental Research Letters↗

Wildfire effects on source-water quality--Lessons from Fourmile Canyon fire, Colorado, and implications for drinking-water treatment

Forested watersheds provide high-quality source water for many communities in the western United States. These watersheds are vulnerable to wildfires, and wildfire size, fire severity, and length of fire season have increased since the middle 1980s (Westerling and others, 2006). Burned watersheds are prone to increased flooding and erosion, which can impair water-supply reservoirs, water quality, and drinking-water treatment processes. Limited information exists on the degree, timing, and duration of the effects of wildfire on water quality, making it difficult for drinking-water providers to evaluate the risk and develop management options. In order to evaluate the effects of wildfire on water quality and downstream ecosystems in the Colorado Front Range, the U.S. Geological Survey initiated a study after the 2010 Fourmile Canyon fire near Boulder, Colorado. Hydrologists frequently sampled Fourmile Creek at monitoring sites upstream and downstream of the burned area to study water-quality changes during hydrologic conditions such as base flow, spring snowmelt, and summer thunderstorms. This fact sheet summarizes principal findings from the first year of research. Stream discharge and nitrate concentrations increased downstream of the burned area during snowmelt runoff, but increases were probably within the treatment capacity of most drinking-water plants, and limited changes were observed in downstream ecosystems. During and after high-intensity thunderstorms, however, turbidity, dissolved organic carbon, nitrate, and some metals increased by 1 to 4 orders of magnitude within and downstream of the burned area. Increases of such magnitude can pose problems for water-supply reservoirs, drinking-water treatment plants, and downstream aquatic ecosystems.

Colorado↗

Science support for recovery of Southwestern Willow Flycatcher (Empidonax traillii extimus) on conserved lands in San Diego County

This document was developed based on the results of scientific research to support management and recovery of the endangered Southwestern Willow Flycatcher ( Empidonax traillii extimus ) and its habitat in San Diego County, California. A migratory species restricted to riparian habitat for breeding, the flycatcher is present in southern California from May to August. The flycatcher has declined over the last several decades primarily in response to habitat loss, and possibly Brown-headed Cowbird ( Molothrus ater ) parasitism. This document compiles and analyzes data collected by USGS scientists on population size, distribution, demography, and breeding habitat condition and uses this information to evaluate potential management options and locations relative to several variables including spatial proximity to currently occupied locations, historical occupation, and potential for restoration that would benefit the flycatcher and expand populations. Location-specific management options and habitat restoration opportunities are ranked based on the contribution of each location to promoting regional flycatcher persistence. The results of these analyses can be used by land and resource managers to develop their habitat management projects and priorities and promote flycatcher recovery.

California↗

The Coastal Carbon Library and Atlas: Open source soil data and tools supporting blue carbon research and policy

Quantifying carbon fluxes into and out of coastal soils is critical to meeting greenhouse gas reduction and coastal resiliency goals. Numerous ‘blue carbon’ studies have generated, or benefitted from, synthetic datasets. However, the community those efforts inspired does not have a centralized, standardized database of disaggregated data used to estimate carbon stocks and fluxes. In this paper, we describe a data structure designed to standardize data reporting, maximize reuse, and maintain a chain of credit from synthesis to original source. We introduce version 1.0.0. of the Coastal Carbon Library, a global database of 6723 soil profiles representing blue carbon-storing systems including marshes, mangroves, tidal freshwater forests, and seagrasses. We also present the Coastal Carbon Atlas, an R-shiny application that can be used to visualize, query, and download portions of the Coastal Carbon Library. The majority (4815) of entries in the database can be used for carbon stock assessments without the need for interpolating missing soil variables, 533 are available for estimating carbon burial rate, and 326 are useful for fitting dynamic soil formation models. Organic matter density significantly varied by habitat with tidal freshwater forests having the highest density, and seagrasses having the lowest. Future work could involve expansion of the synthesis to include more deep stock assessments, increasing the representation of data outside of the U.S., and increasing the amount of data available for mangroves and seagrasses, especially carbon burial rate data. We present proposed best practices for blue carbon data including an emphasis on disaggregation, data publication, dataset documentation, and use of standardized vocabulary and templates whenever appropriate. To conclude, the Coastal Carbon Library and Atlas serve as a general example of a grassroots F.A.I.R. (Findable, Accessible, Interoperable, and Reusable) data effort demonstrating how data producers can coordinate to develop tools relevant to policy and decision-making.

Global Change Biology↗

Effects of Withdrawals on Ground-Water Levels in Southern Maryland and the Adjacent Eastern Shore, 1980-2005

Ground water is the primary source of water supply in most areas of Maryland?s Atlantic Coastal Plain, including Southern Maryland. The counties in this area are experiencing some of the most rapid growth and development in the State, resulting in an increased demand for ground-water production. The cooperative, basic water-data program of the U.S. Geological Survey and the Maryland Geological Survey has collected long-term observations of ground-water levels in Southern Maryland and parts of the Eastern Shore for many decades. Additional water-level observations were made by both agencies beginning in the 1970s, under the Power Plant Research Program of the Maryland Department of Natural Resources. These long-term water levels commonly show significant declines over several decades, which are attributed to ground-water withdrawals. Ground-water-level trends since 1980 in major Coastal Plain aquifers such as the Piney Point-Nanjemoy, Aquia, Magothy, upper Patapsco, lower Patapsco, and Patuxent were compared to water use and withdrawal data. Potentiometric surface maps show that most of the declines in ground-water levels can be directly related to effects from major pumping centers. There is also evidence that deep drawdowns in some pumped aquifers may be causing declines in adjacent, unpumped aquifers. Water-level hydrographs of many wells in Southern Maryland show linear declines in levels year after year, instead of the gradual leveling-off that would be expected as the aquifers equilibrate with pumping. A continual increase in the volumes of water being withdrawn from the aquifers is one explanation for why they are not reaching equilibrium. Although reported ground-water production in Southern Maryland has increased somewhat over the past several decades, the reported increases are often not large enough to account for the observed water-level declines. Numerical modeling simulations indicate that a steady, annual increase in the number of small wells could account for the observed aquifer behavior. Such wells, being pumped at rates below the minimum legal reporting threshold of 10,000 gallons per day, might be the source of the additional withdrawals. More detailed water-use data, especially from domestic wells, central-pivot irrigation wells, and other small users not currently reporting withdrawals to the State, may help to determine the cause of the aquifer declines.

Scientific Investigations Report↗

Origin of last-glacial loess in the western Yukon-Tanana Upland, central Alaska, USA

Loess is widespread over Alaska, and its accumulation has traditionally been associated with glacial periods. Surprisingly, loess deposits securely dated to the last glacial period are rare in Alaska, and paleowind reconstructions for this time period are limited to inferences from dune orientations. We report a rare occurrence of loess deposits dating to the last glacial period, ~19 ka to ~12 ka, in the Yukon-Tanana Upland. Loess in this area is very coarse grained (abundant coarse silt), with decreases in particle size moving south of the Yukon River, implying that the drainage basin of this river was the main source. Geochemical data show, however, that the Tanana River valley to the south is also a likely distal source. The occurrence of last-glacial loess with sources to both the south and north is explained by both regional, synoptic-scale winds from the northeast and opposing katabatic winds that could have developed from expanded glaciers in both the Brooks Range to the north and the Alaska Range to the south. Based on a comparison with recent climate modeling for the last glacial period, seasonality of dust transport may also have played a role in bringing about contributions from both northern and southern sources.

Alaska↗

Rapid crop cover mapping for the conterminous United States

Timely crop cover maps with sufficient resolution are important components to various environmental planning and research applications. Through the modification and use of a previously developed crop classification model (CCM), which was originally developed to generate historical annual crop cover maps, we hypothesized that such crop cover maps could be generated rapidly during the growing season. Through a process of incrementally removing weekly and monthly independent variables from the CCM and implementing a ‘two model mapping’ approach, we found it viable to generate conterminous United States-wide rapid crop cover maps at a resolution of 250 m for the current year by the month of September. In this approach, we divided the CCM model into one ‘crop type model’ to handle the classification of nine specific crops and a second, binary model to classify the presence or absence of ‘other’ crops. Under the two model mapping approach, the training errors were 0.8% and 1.5% for the crop type and binary model, respectively, while test errors were 5.5% and 6.4%, respectively. With spatial mapping accuracies for annual maps reaching upwards of 70%, this approach demonstrated a strong potential for generating rapid crop cover maps by the 1 st of September.

Scientific Reports↗

Diablotin Pterodroma hasitata : a biography of the endangered Black-capped Petrel

The Black-capped Petrel Pterodroma hasitata was believed extinct throughout much of the 20th century. It is the only gadfly petrel currently known to breed in the Caribbean Basin. Now seriously endangered, the species is presumed extirpated from Martinique, Dominica, and Guadeloupe, and breeding populations currently occur only on Hispaniola and perhaps Cuba. A related form (now considered a full species) once bred, but is now apparently extinct, on Jamaica. The Black-capped Petrel breeding population may number as few as 500 breeding pairs. Remaining populations suffer from multiple threats to terrestrial and pelagic habitats, including harvest by humans and predation by introduced mammals. The exact sizes, locations, and detailed chronologies of all Black-capped Petrel breeding sites remain poorly studied, although major colonies are today apparently restricted to steep sea and inland cliffs along the La Selle Ridge in Hispaniola. The largest known breeding population occurs in Haiti, although there is continued discussion about a possible breeding site in Cuba in the Sierra Maestra mountain range. Accounts from Cuba are based on the unverified assumption that birds observed at sea just offshore of that island are breeding locally. All evidence at present indicates that waters in or adjacent to the Florida Current and the Gulf Stream between north Florida and southern Virginia provide the primary foraging range of Black-capped Petrels. A small foraging area just off of southeast Cuba has also been reported, but the extent and seasonal use of this area are unknown. Concentrations of birds can be found along the Gulf Stream in southeastern US waters throughout the year, but are particularly common in May, August, and late December through early January. Concentrations of adult birds during winter, when peak breeding activity is underway, suggest that breeding birds forage along the Gulf Stream while commuting to and from breeding colonies. Such long-distance foraging is certainly possible for Pterodroma species. Potential threats to Black-capped Petrels include introduced predators, human encroachment on breeding and foraging habitats, and offshore oil, gas, and wind energy development. Increased mercury levels associated with petroleum production also pose a potential threat, as the Black-capped Petrel seems to be highly susceptible to mercury bioaccumulation compared with other pelagic species. In addition, fires and other bright light sources are known to attract Black-capped Petrels, making collisions with wires and other structures on lighted ships and platforms a potential concern. Haitian social-economic instability and increasing habitat loss suggest the likelihood of further population declines and increasing vulnerability of the species to extinction. Our findings are in accord with the recent decision by the US Fish and Wildlife Service (USFWS) to evaluate the need for additional protection of the species and the primary foraging habitat off the southeastern United States under the Endangered Species Act (USFWS 2012). Additional conservation measures and research strategies that warrant further consideration include (1) protection, monitoring, and management of known breeding populations and nesting habitat in the Dominican Republic and Haiti through controlling predators, installing artificial nest burrows in appropriate sites and hiring local wardens at breeding sites during the nesting season; (2) local and regional training, education and public awareness (e.g. Blanchard & Nettleship 1992); (3) restoration of the original common name Diablotin to common usage to promote the historical and cultural importance of this species; (4) studies to determine the distribution and genetic variability in the remaining populations; and (5) studies of satellite-tagged birds to assess their seasonal and geographic use of pelagic habitats.

Marine Ornithology: Journal of Seabird Research an↗

Distribution, Health, and Development of Larval and Juvenile Lost River and Shortnose Suckers in the Williamson River Delta Restoration Project and Upper Klamath Lake, Oregon: 2008 Annual Data Summary

Federally endangered Lost River sucker Deltistes luxatus and shortnose sucker Chasmistes brevirostris were once abundant throughout their range but populations have declined; they have been extirpated from several lakes, and may no longer reproduce in others. Poor recruitment into the adult spawning populations is one of several reasons cited for the decline and lack of recovery of these species, and may be the consequence of high mortality during juvenile life stages. High larval and juvenile sucker mortality may be exacerbated by an insufficient quantity of suitable rearing habitat. Within Upper Klamath Lake, a lack of marshes also may allow larval suckers to be swept from suitable rearing areas downstream into the seasonally anoxic waters of the Keno Reservoir. The Nature Conservancy (TNC) flooded about 3,600 acres to the north of the Williamson River mouth (Tulana Unit) in October 2007, and about 1,400 acres to the south and east of the Williamson River mouth (Goose Bay Unit) a year later, to retain larval suckers in Upper Klamath Lake, create nursery habitat for suckers, and improve water quality. In collaboration with TNC, the Bureau of Reclamation, and Oregon State University, we began a long-term collaborative research and monitoring program in 2008 to assess the effects of the Williamson River Delta restoration on the early life-history stages of Lost River and shortnose suckers. Our approach includes two equally important aspects. One component is to describe habitat use and colonization processes by larval and juvenile suckers and non-sucker fish species. The second is to evaluate the effects of the restored habitat on the health and condition of juvenile suckers. This report contains a summary of the first year of data collected as a part of this monitoring effort.

Open-File Report↗

Climate Change Research at USGS Center for Earth Resources Observation and Science (EROS)

Research and development projects at EROS apply unique resources to support the USGS mission of developing understanding, monitoring, and modeling of climate variability and change and their human, physical, and biological impacts. Remote sensing resources, both new and archived, form the core of our ability to determine changes in the state or condition of the Earth’s surface and its dynamic landscape and ecosystem processes. This rich resource provides powerful biophysical information for local to global areas. Archival data form the basis for assessing human and climate impacts on the land surface, trends of land use, and an understanding of climate and management impacts. Biophysical information from satellite data is assimilated into quantitative models that allow all disciplines of the USGS to understand impacts on ecosystem processes. Major processes and problems we address include: carbon fluxes, hydrological processes, albedo changes and regional climates, mangroves and wetland protection of coastal environments, natural and manmade hazards (e.g., fire and drought), ecosystem change and succession, land use and land cover change, and more. The integration of remote sensing, modeling, and multidisciplinary approaches fosters international scientific leadership across all disciplines for the USGS.

Fact Sheet↗

Geology for a changing world 2010-2020-Implementing the U.S. Geological Survey science strategy

This report describes a science strategy for the geologic activities of the U.S. Geological Survey (USGS) for the years 2010-2020. It presents six goals with accompanying strategic actions and products that implement the science directions of USGS Circular 1309, 'Facing Tomorrow's Challenges-U.S. Geological Survey Science in the Decade 2007-2017.' These six goals focus on providing the geologic underpinning needed to wisely use our natural resources, understand and mitigate hazards and environmental change, and understand the relationship between humans and the environment. The goals emphasize the critical role of the USGS in providing long-term research, monitoring, and assessments for the Nation and the world. Further, they describe measures that must be undertaken to ensure geologic expertise and knowledge for the future. The natural science issues facing today's world are complex and cut across many scientific disciplines. The Earth is a system in which atmosphere, oceans, land, and life are all connected. Rocks and soils contain the answers to important questions about the origin of energy and mineral resources, the evolution of life, climate change, natural hazards, ecosystem structures and functions, and the movements of nutrients and toxicants. The science of geology has the power to help us understand the processes that link the physical and biological world so that we can model and forecast changes in the system. Ensuring the success of this strategy will require integration of geological knowledge with the other natural sciences and extensive collaboration across USGS science centers and with partners in Federal, State, and local agencies, academia, industry, nongovernmental organizations and, most importantly, the American public. The first four goals of this report describe the scientific issues facing society in the next 10 years and the actions and products needed to respond to these issues. The final two goals focus on the expertise and infrastructure needed to ensure the long-term sustainability of the geological sciences in the USGS. The ultimate goal of USGS science and of the strategy laid out in this document is to contribute to the development of a sustainable society that operates in harmony with the Earth systems that society depends upon. As we begin the second decade of the 21st century, our Nation faces growing challenges in resource availability, climate and environmental change, and natural hazards. Meeting these challenges will require strong collaboration across the natural and social sciences and extensive partnerships with both the public and private sectors. The six goals described in this document represent a mix of scientific focus areas and operational necessities that together provide a comprehensive roadmap for USGS geologic science to effectively contribute to the USGS mission, providing science for a changing world.

Circular↗

Submarine ground water discharge and fate along the coast of Kaloko-Honokohau National Historical Park, Hawaii Part I: Time-series measurements of currents, waves, salinity and temperature: November 2005 – July 2006

The impending development for the west Hawai‘i coastline adjacent to Kaloko-Honokōhau National Historical Park (KAHO) may potentially alter coastal hydrology and water quality in the marine waters of the park. Water resources are perhaps the most significant natural and cultural resource component in the park, and are critical to the health and well being of six federally listed species. KAHO contains ecosystems of brackish anchialine pools, two 11-acre fishponds, and 596 acres of coral reef habitats, all fed by groundwater originating upslope. The steep gradients on high islands, combined with typically porous substrates and high rainfall levels at upper elevations, make these settings especially vulnerable to shifts in submarine groundwater discharge (SGD) and its entrained nutrients and pollutants. Little is known about the magnitude, rate, frequency, and variability of SGD and its influence on contaminant loading to Hawaiian coastal environments. Recent studies show that groundwater flux through the park is vital to many ecosystem components including anchialine ponds and wetland biota. The function of these ecosystems may be vulnerable to changes in groundwater flow stemming from natural changes (climate and sea level) and land use (groundwater pumping and contamination). Oki and others (1999) showed that increased groundwater withdrawals for urban development since 1978 likely decreased groundwater flux to the coast by 50%. During this same time, the quality of groundwater has been vulnerable to increases in contaminant and nutrient/fertilizer additions associated with industrial, commercial and residential use upslope from KAHO (Oki and others, 1999). High-resolution measurements of waves, currents, water levels, temperature and salinity were collected in the marine portion of the park from November, 2005, through July, 2006, to establish baseline information on the magnitude, rate, frequency, and variability of SGD. These data are intended to help researchers and resource managers better understand the hydrodynamics of the oceanographic environment in the park’s coastal waters as it pertains to the pathway of SGD and associated nutrient and contaminant input to the park’s coral reef ecosystem. Measurements were made of the oceanographic environment (waves, tides, currents, salinity and temperature) using hydrodynamic techniques to characterize and quantify the distribution, input and throughput of freshwater and associated nutrient/contaminant within the near shore environment of KAHO through the emplacement of a series of bottom-mounted instruments deployed in water depths less than 15 m. This study was conducted in support of the National Park Service (NPS) by the U.S. Geological Survey (USGS) Coastal and Marine Geology Program’s Coral Reef Project. These measurements support the ongoing studies of the Coral Reef Project to better understand the transport mechanisms of sediment, larvae, nutrients, pollutants and other particles on Pacific coral reefs. Subsequent reports will address the spatial and temporal variability in groundwater input and the associated nutrient flux in the park’s waters.

Hawai'i↗

The Penobscot River and environmental contaminants: Assessment of tribal exposure through sustenance lifeways

EPA in collaboration with the Penobscot Indian Nation, U.S. Geological Survey (USGS), Agency for Toxic Substances and Disease Registry (ATSDR), and the U.S. Fish and Wildlife Service (USF&WS) collectively embarked on a four year research study to evaluate the environmental health of the riverine system by targeting specific cultural practices and using traditional science to conduct a preliminary contaminant screening of the flora and fauna of the Penobscot River ecosystem. This study was designed as a preliminary screening to determine if contaminant concentrations in fish, eel, snapping turtle, wood ducks, and plants in Regions of the Penobscot River relevant to where PIN tribal members hunt, fish and gather plants were high enough to be a health concern. This study was not designed to be a statistically validated assessment of contaminant differences among study sites or among species. The traditional methodology for health risk assessment used by the U. S. Environmental Protection Agency (EPA) is based on the use of exposure assumptions (e.g. exposure duration, food ingestion rate, body weight, etc.) that represent the entire American population, either as a central tendency exposure (e.g. average, median) or as a reasonable maximum exposure (e.g. 95% upper confidence limit). Unfortunately, EPA lacked exposure information for assessing health risks for New England regional tribes sustaining a tribal subsistence way of life. As a riverine tribe, the Penobscot culture and traditions are inextricably tied to the Penobscot River watershed. It is through hunting, fishing, trapping, gathering and making baskets, pottery, moccasins, birch-bark canoes and other traditional practices that the Penobscot culture and people are sustained. The Penobscot River receives a variety of pollutant discharges leaving the Penobscot Indian Nation (PIN) questioning the ecological health and water quality of the river and how this may affect the practices that sustain their way of life. The objectives of this Regional Applied Research Effort (RARE) study were to: Develop culturally sensitive methodologies for assessing the potential level of exposure tocontaminants that Penobscot Indian Nation tribal members may have from maintainingtribal sustenance practices. Conduct field surveys and laboratory analysis on targeted flora and fauna for chemicalexposure to dioxins/furans, polychlorinated biphenyls (PCBs), total mercury and methyl-mercury. Assist the Agency for Toxic Substances and Disease Registry (ATSDR) by providing thenecessary data to conduct a Public Health Assessment for the Penobscot Indian Nation. Establish protocols for assessing the level of exposure to PCBs, dioxins/furans and mercuryto PIN tribal members as a consequence of gathering tribal plants for medicinal andnutritional purposes; as well as consuming fish, wood duck, and snapping turtle as a primarysource of nutrition. Survey surface water, drinking water, and sediment from the Penobscot River and IndianIsland to assess the exposure of PIN tribal members to environmental genotoxicants thatcontinue cultural sustenance practices. This research initiative collected and analyzed sediment and biota to determine the level of contaminant exposure to Penobscot tribal members. Natural resource utilization patterns and exposure pathways were identified based on discussions with the Tribal elders. Identification of Tribal exposure factors (exposure pathways and contaminant concentrations) was essential for accurately assessing potential long-term Penobscot Indian Nation tribal members’ exposure. Based on this study, ATSDR’s Public Health Assessment (PHA) concluded that the Penobscot Indian Nation (PIN) tribal members who eat fish and snapping turtle at the ingestion levels suggested in the Wabanaki Traditional Cultural Lifeways Exposure Scenario Report (Wabanaki Exposure Scenario) may be exposed to harmful levels of mercury, dioxins/furans, dioxin-like PCBs, and ot

Maine↗

Landscape connectivity planning for adaptation to future climate and land-use change

Purpose of Review We examined recent literature on promoting habitat connectivity in the context of climate change (CC) and land-use change (LUC). These two global change forcings have wide-reaching ecological effects that are projected to worsen in the future. Improving connectivity is a common adaptation strategy, but CC and LUC can also degrade planned connections, potentially reducing their effectiveness. We synthesize advances in connectivity design approaches, identify challenges confronted by researchers and practitioners, and offer suggestions for future research. Recent Findings Recent studies incorporated future CC into connectivity design more often than LUC and rarely considered the two drivers jointly. When considering CC, most studies have focused on relatively broad spatial and temporal extents and have included either species-based targets or coarse-filter targets like geodiversity and climate gradients. High levels of uncertainty about future LUC and lack of consistent, readily available model simulations are likely hindering its inclusion in connectivity modeling. This high degree of uncertainty extends to efforts to jointly consider future CC and LUC. Summary We argue that successful promotion of connectivity as a means to adapt to CC and LUC will depend on (1) the velocity of CC, (2) the velocity of LUC, and (3) the degree of existing landscape fragmentation. We present a new conceptual framework to assist in identifying connectivity networks given these three factors. Given the high uncertainty associated with future CC and LUC, incorporating insights from decision science into connectivity planning will facilitate the development of more robust adaptation strategies.

Current Landscape Ecology Reports↗

Estimating density and detection of bobcats in fragmented Midwestern landscapes using spatial capture-recapture data from camera traps

Camera-trapping data analyzed with spatially explicit capture–recapture (SCR) models can provide a rigorous method for estimating density of small populations of elusive carnivore species. We sought to develop and evaluate the efficacy of SCR models for estimating density of a presumed low-density bobcat ( Lynx rufus ) population in fragmented landscapes of west-central Illinois, USA. We analyzed camera-trapping data from 49 camera stations in a 1,458-km 2 area deployed over a 77-day period from 1 February to 18 April 2017. Mean operational time of cameras was 52 days (range = 32–67 days). We captured 23 uniquely identifiable bobcats 113 times and recaptured these same individuals 90 times; 15 of 23 (65.2%) individuals were recaptured at ≥2 camera traps. Total number of bobcat capture events was 139, of which 26 (18.7%) were discarded from analyses because of poor image quality or capture of only a part of an animal in photographs. Of 113 capture events used in analyses, 106 (93.8%) and 7 (6.2%) were classified as positive and tentative identifications, respectively; agreement on tentative identifications of bobcats was high (71.4%) among 3 observers. We photographed bobcats at 36 of 49 (73.5%) camera stations, of which 34 stations were used in analyses. We estimated bobcat density at 1.40 individuals (range = 1.00–2.02)/100 km 2 . Our modeled bobcat density estimates are considerably below previously reported densities (30.5 individuals/100 km 2 ) within the state, and among the lowest yet recorded for the species. Nevertheless, use of remote cameras and SCR models was a viable technique for reliably estimating bobcat density across west-central Illinois. Our research establishes ecological benchmarks for understanding potential effects of colonization, habitat fragmentation, and exploitation on future assessments of bobcat density using standardized methodologies that can be compared directly over time. Further application of SCR models that quantify specific costs of animal movements (i.e., least-cost path models) while accounting for landscape connectivity has great utility and relevance for conservation and management of bobcat populations across fragmented Midwestern landscapes.

Illinois↗

Future scenarios of land-use and land-cover change in the United States--the Marine West Coast Forests Ecoregion

Detecting, quantifying, and projecting historical and future changes in land use and land cover (LULC) has emerged as a core research area for the U.S. Geological Survey (USGS). Changes in LULC are important drivers of changes to biogeochemical cycles, the exchange of energy between the Earth’s surface and atmosphere, biodiversity, water quality, and climate change. To quantify the rates of recent historical LULC change, the USGS Land Cover Trends project recently completed a unique ecoregion-based assessment of late 20th century LULC change for the western United States. To characterize present LULC, the USGS and partners have created the National Land Cover Database (NLCD) for the years 1992, 2001, and 2006. Both Land Cover Trends and NLCD projects continue to evolve in an effort to better characterize historical and present LULC conditions and are the foundation of the data presented in this report. Projecting future changes in LULC requires an understanding of the rates and patterns of change, the major driving forces, and the socioeconomic and biophysical determinants and capacities of regions. The data presented in this report is the result of an effort by USGS scientists to downscale the Intergovernmental Panel on Climate Change (IPCC) Special Report on Emission Scenarios (SRES) to ecoregions of the conterminous United States as part of the USGS Biological Carbon Sequestration Assessment. The USGS biological carbon assessment was mandated by Section 712 of the Energy Independence and Security Act of 2007. As part of the legislative mandate, the USGS is required to publish a methodology describing, in detail, the approach to be used for the assessment. The development of future LULC scenarios is described in chapter 3.2 and appendix A. Spatial modeling is described in chapter 3.3.2 and appendix B and in Sohl and others (2011). In this report, we briefly summarize the major components and methods used to downscale IPCC-SRES scenarios to ecoregions of the conterminous United States, followed by a description of the Marine West Coast Forests Ecoregion, and lastly a description of the data being published as part of this report.

California;Oregon;Washington↗

The sea slope problem revisited

Discrepancies in sea surface topography based on comparisons between the results of steric leveling and repeated geodetic levelings have identified what is known as the ‘sea slope problem.’ This problem is actually twofold: (1) the sea surface relief based on steric leveling differs significantly from that based on geodetic leveling along several generally north-south coasts, and (2) successively propagated levelings between several widely separated tide stations indicate that the stationary sea slope seemingly has been changing with time, whereas differenced sea level means between these stations indicate that the sea surface relief has remained virtually invariant during the same intervals. Reexamination of the three reported discrepancies between geodetically and sterically determined sea slopes indicates that the Australian example is based on leveling of a quality inappropriate to the comparison. The discrepancy developed along the Atlantic coast of the United States is limited to the reach between Portsmouth–Hampton Roads, Virginia, and Key West, Florida, where the accuracy of steric leveling may be especially vulnerable owing to the dynamic effects of the Gulf Stream. Reconsideration of the example along the Pacific coast of the United States indicates that the various discrepancies are due chiefly to intrasurvey movement and resultant distortion of geodetically defined height differences between tide stations. Agreement between the results of steric and geodetic leveling along tectonically inactive north-south coasts devoid of strong boundary currents is generally good. This observation supports the conclusions (1) that any directionally dependent systematic error in geodetic leveling is measurably insignificant and (2) that where allowance is made for the possible effects of major boundary currents or intrasurvey movement during levelings between tide stations, the sea slope problem tends to vanish.

Journal of Geophysical Research B: Solid Earth↗

Magnetotelluric Data, Mid Valley, Nevada Test Site, Nevada

Introduction The United States Department of Energy (DOE) and the National Nuclear Security Administration (NNSA) at their Nevada Site Office (NSO) are addressing ground-water contamination resulting from historical underground nuclear testing through the Environmental Management (EM) program and, in particular, the Underground Test Area (UGTA) project. One issue of concern is the nature of the somewhat poorly constrained pre-Tertiary geology and its effects on ground-water flow. Ground-water modelers would like to know more about the hydrostratigraphy and geologic structure to support a hydrostratigraphic framework model that is under development for the Rainier Mesa/Shoshone Mountain Corrective Action Unit (CAU). During 2003, the U.S. Geological Survey (USGS), in cooperation with the DOE and NNSA-NSO, collected and processed data at the Nevada Test Site in and near Yucca Flat (YF) to help define the character, thickness, and lateral extent of the pre-Tertiary confining units. We collected 51 magnetotelluric (MT) and audio-magnetotelluric (AMT), stations for that research. In early 2005 we extended that research with 26 additional MT data stations, located on and near Rainier Mesa and Shoshone Mountain (RM-SM). The new stations extended the area of the hydrogeologic study previously conducted in Yucca Flat. This work was done to help refine what is known about the character, thickness, and lateral extent of pre-Tertiary confining units. In particular, a major goal was to define the upper clastic confining unit (UCCU). The UCCU is comprised of late Devonian to Mississippian siliciclastic rocks assigned to the Eleana Formation and Chainman Shale. The UCCU underlies the Yucca Flat area and extends westward towards Shoshone Mountain, southward to Buckboard Mesa, and northward to Rainier Mesa. Late in 2005 we collected another 14 MT stations in Mid Valley and in northern Yucca Flat basin. That work was done to better determine the extent and thickness of the UCCU near the southeastern RM-SM CAU boundary with the southwestern YF CAU, and also in the northern YF CAU. The purpose of this report is to release the MT data at those 14 stations. No interpretation of the data is included here.

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