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Chironomidae of the southeastern United States: a checklist of species and notes on biology, distribution, and habitat

We provide a current listing of the species of midges (Diptera:Chironomidae) in the southeastern United States (Alabama, Florida, Georgia, North Carolina, South Carolina, and Tennessee). This checklist should aid research on this group of insects, which have often proved useful in the assessment of water quality. We document each species' distribution and general habitat and provide the best taxonomic reference to facilitate the identification or description of species in that genus. Changes in nomenclature, unique ecological traits, bibliographic sources, or other items of information are summarized in a paragraph on each genus. Of the 10 sub-families currently recognized in the Chironomidae, 7 occur in the Southeast. The chironomid fauna of the six southeastern States now consist of 164 described genera and 479 described species. In addition we have listed 14 genera and 245 species that are tenatively noted as undescribed.

Fish and Wildlife Research↗

Anticoagulant rodenticides and wildlife: Concluding remarks

Rodents are known to affect human society globally in various adverse ways, resulting in a widespread demand for their continuous control. Anticoagulant rodenticides (ARs) have been, and currently remain, the cornerstone of rodent control throughout the world. Although alternative control methods exist, they are generally less effective. ARs work by affecting vitamin K metabolism, thereby preventing the activation of blood clotting factors and eventual coagulopathy. Since ARs are non-selective, their undoubted benefits for rodent control have to be balanced against the environmental risks that these compounds pose. Although they have been used for decades, pharmacokinetic and toxicokinetic data are mainly available for laboratory mammals and have concentrated on acute effects. Limited information is available on chronic exposure scenarios and for wildlife species. Important gaps exist in our understanding of the large inter- and intra-species differences in sensitivity to ARs, especially for non-target species, and in our knowledge about the occurrence and importance of sub-lethal effects in wildlife. It is clear that mere presence of AR residues in the body tissues may not indicate the occurrence of effects, although unequivocal assessment of effects under field conditions is difficult. Ante-mortem symptoms, like lethargy, subdued behaviour and unresponsiveness are generally not very specific as is true for more generic post-mortem observations (e.g. pallor of the mucous membranes or occurrence of haemorrhages). It is only by combining ante or post-mortem data with information on exposure that effects in the field may be confirmed. We do know however that a wide variety of non-target species are directly exposed to ARs. Secondary exposure in predators is also widespread although there is limited information on whether this exposure causes actual effects. Exposure is driven by ecological factors and is context specific with respect to spatial habitat configuration and bait placement. Another key factor that affects the interaction between ARs and wildlife is the development of resistance in target species. The development of resistance has resulted in higher use of SGARs, thereby increasing the potential of non-target and secondary exposure. AR use has increasingly become more strictly regulated, increasing the need for alternatives. Alternatives are available, including non-anticoagulant rodenticides, but these may also pose significant risk to environmental organisms, humans and pets. There are also various mitigation measures that can be implemented when using ARs, including bait protection, pulsed baiting at the onset of infestation, restricting use by non-professionals, and avoiding use in areas of high non-target density. Reduction in secondary exposure may result from e.g. non-chemical control, habitat management, and, in agricultural habitats, the use of lure crops and supplemental feeding. Such Integrated Pest Management (IPM) may not only reduce non-target exposure but also benefit resistance management. Barriers to adopt IPM approaches however, include the perception that they do not work or too slowly and are more laborious, expensive and time consuming. It is therefore important that the expectations of stakeholders are considered and managed. Nevertheless, further development of alternatives and IPM measures is essential, so the key research priority related to rodent control may ultimately be to address the lack of scientific assessment of the effectiveness of both specific AR mitigation measures and of IPM approaches to rodent control.

Book chapter↗

Physiographic and land cover attributes of the Puget Lowland and the active streamflow gaging network, Puget Sound Basin

Geospatial information for the active streamflow gaging network in the Puget Sound Basin was compiled to support regional monitoring of stormwater effects to small streams. The compilation includes drainage area boundaries and physiographic and land use attributes that affect hydrologic processes. Three types of boundaries were used to tabulate attributes: Puget Sound Watershed Characterization analysis units (AU); the drainage area of active streamflow gages; and the catchments of Regional Stream Monitoring Program (RSMP) sites. The active streamflow gaging network generally includes sites that represent the ranges of attributes for lowland AUs, although there are few sites with low elevations (less than 60 meters), low precipitation (less than 1 meter year), or high stream density (greater than 5 kilometers per square kilometers). The active streamflow gaging network can serve to provide streamflow information in some AUs and RSMP sites, particularly where the streamflow gage measures streamflow generated from a part of the AU or that drains to the RSMP site, and that part of the AU or RSMP site is a significant fraction of the drainage area of the streamgage. The maximum fraction of each AU or RSMP catchment upstream of a streamflow gage and the maximum fraction of any one gaged basin in an AU or RSMP along with corresponding codes are provided in the attribute tables.

Washington↗

Angler-caught salmonid diets illustrate Lake Ontario Alewife population and predator-prey dynamics

Lake Ontario fisheries decision makers use information about the status and trajectory of prey fish populations, such as alewife, for salmonid sport fish management. In 2020, the April bottom trawl survey, typically used to assess alewife, was canceled the day after it began due to Coronavirus health concerns. This prompted NYSDEC and USGS science teams to initiate a diet study using angler-collected samples to provide information on the alewife population in 2020. Over 800 salmonid diets were collected from across Lake Ontario southern shore from May through September. Past diet studies illustrated alewife size distribution in piscivore diets overlapped April trawl survey-based distributions (proportion overlap = 0.51- 0.81, n = 5). In 2020 few age-1 sized alewife (40 - 140 mm) were observed in salmonid diets, suggesting that 2019 alewife reproduction was below average. Given that alewife reproductive success from 2017 and 2018 were also below average, the 2021 Lake Ontario adult alewife population will likely be at a record low for the 43-year time series. For all years and piscivore species, adult-sized Alewife ( total length > 140 mm) were the predominate size consumed by piscivores greater than 400 mm (~ 16 inches). Sizes of alewife in the diet were positively related to piscivore size. Diet composition, by dry weight, indicated alewife remain the dominant prey supporting salmonids and diets were generally similar to trawl-based estimates of prey fish community composition. The most notable deviation from this pattern included round goby, which comprised substantial portions of brown trout and lake trout diets in 2013 and 2020. These results inform decision making related to Lake Ontario salmonid stocking and predator prey dynamics and highlight the utility of angler-caught piscivore diets for indicating alewife population status.

Lake Ontario↗

Shapes on a plane: Evaluating the impact of projection distortion on spatial binning

One method for working with large, dense sets of spatial point data is to aggregate the measure of the data into polygonal containers, such as political boundaries, or into regular spatial bins such as triangles, squares, or hexagons. When mapping these aggregations, the map projection must inevitably distort relationships. This distortion can impact the reader’s ability to compare count and density measures across the map. Spatial binning, particularly via hexagons, is becoming a popular technique for displaying aggregate measures of point data sets. Increasingly, we see questionable use of the technique without attendant discussion of its hazards. In this work, we discuss when and why spatial binning works and how mapmakers can better understand the limitations caused by distortion from projecting to the plane. We introduce equations for evaluating distortion’s impact on one common projection (Web Mercator) and discuss how the methods used generalize to other projections. While we focus on hexagonal binning, these same considerations affect spatial bins of any shape, and more generally, any analysis of geographic data performed in planar space.

Cartography and Geographic Information Science↗

The importance of species name synonyms in literature searches

The synonyms of biological species names are shown to be an important component in comprehensive searches of electronic scientific literature databases but they are not well leveraged within the major literature databases examined. For accepted or valid species names in the Integrated Taxonomic Information System (ITIS) which have synonyms in the system, and which are found in citations within PLoS, PMC, PubMed or Scopus, both the percentage of species for which citations will not be found if synonyms are not used, and the percentage increase in number of citations found by including synonyms are very often substantial. However, there is no correlation between the number of synonyms per species and the magnitude of the effect. Further, the number of citations found does not generally increase proportionally to the number of synonyms available. Users looking for literature on specific species across all of the resources investigated here are often missing large numbers of citations if they are not manually augmenting their searches with synonyms. Of course, missing citations can have serious consequences by effectively hiding critical information. Literature searches should include synonym relationships and a new web service in ITIS, with examples of how to apply it to this issue, was developed as a result of this study, and is here announced, to aide in this.

PLoS ONE↗

Electrical structure of Newberry Volcano, Oregon

From the interpretation of magnetotelluric, transient electromagnetic, and Schlumberger resistivity soundings, the electrical structure of Newberry Volcano in central Oregon is found to consist of four units. From the surface downward, the geoelectrical units are (1) very resistive, young, unaltered volcanic rock, (2) a conductive layer of older volcanic material composed of altered tuffs, (3) a thick resistive layer thought to be in part intrusive rocks, and (4) a lower-crustal conductor. This model is similar to the regional geoelectrical structure found throughout the Cascade Range. Inside the caldera, the conductive second layer corresponds to the steep temperature gradient and alteration minerals observed in the USGS Newberry 2 test hole. Drill hole information on the south and north flanks of the volcano (test holes GEO N-1 and GEO N-3, respectively) indicates that outside the caldera the conductor is due to alteration minerals (primarily smectite) and not high-temperature pore fluids. On the flanks of Newberry the conductor is generally deeper than inside the caldera, and it deepens with distance from the summit. A notable exception to this pattern is seen just west of the caldera rim, where the conductive zone is shallower than at other flank locations. The volcano sits atop a rise in the resistive layer, interpreted to be due to intrusive rocks. The intrusive material has served as a heat source to produce enhanced hydrothermal alteration and, perhaps in the case of the west-flank anomaly, elevated fluid temperatures. While no public drill hole information is available to confirm this hypothesis, the west-flank anomaly appears to be a good geothermal target. In addition to the possibility that a region on the west side of the volcano could be favorable for prospecting, part of the resistive structure under the center of the volcano could be due to a vapor-dominated environment with temperatures above 300°C. In other parts of the Cascades, pervasive alteration has produced mixed layer clays and zeolites, resulting in low-resistivity anomalies. Low resistivities cannot be assumed to indicate high-temperature pore fluids. The use of electrical methods that measure resistivity as a function of excitation frequency, such as spectral induced polarization, may provide a way of obtaining information about the type and extent of alteration.

Journal of Geophysical Research Solid Earth↗

Evaluating hydrologic region assignment techniques for ungaged basins in Alaska, USA

Building continental-scale hydrologic models in data-sparse regions requires an understanding of spatial variation in hydrologic processes. Extending these models to ungaged locations requires techniques to group ungaged locations with gaged ones to make process importance and model parameter transfer decisions to ungaged locations. This analysis (1) tested the utility of fundamental streamflow statistics (FDSS) in defining hydrologic regions across Alaska, USA; (2) evaluated if the hydrologic regions represented different hydrologic processes; and (3) tested the ability of random forest and direct assignment techniques, informed by statistically estimated FDSS (FDSSest) and basin characteristics (BCs), to correctly assign ungaged locations to hydrologic regions. Six hydrologic regions were identified across the domain using FDSS. Differences in mean flow, phase shift of the seasonal cycle, and skewness were the primary characteristics defining each region. Two regions represented arctic and continental climates, generally in the northern portion of the domain; four regions represented the southern, maritime portion of the domain. Random forest modeling with BCs (67% success rate) outperformed FDSSest (58% success rate) suggesting that no statistically estimated streamflow was needed to assign ungaged locations to a region. For regions with many sites, most region assignment techniques performed similarly. Random forest modeling performance declined when BCs and FDSSest were both used to predict region membership, suggesting FDSSest had little information in addition to BCs. This analysis demonstrated that FDSS-based hydrologic regions discern process differences across a data-sparse and hydrologically diverse landscape. Process importance rankings from random forest-derived BCs provided model-independent information for making modeling decisions.

Alaska↗

Demonstrating the value of Earth observations—methods, practical applications, and solutions—group on Earth observations side event proceedings

Executive Summary The U.S. Geological Survey, the National Oceanic and Atmospheric Administration, the European Association for Remote Sensing Companies, and the European Space Agency in coordination with the GEOValue Community hosted a side event to the Group on Earth Observations Plenary on October 23–24, 2017, in Washington, D.C. The workshop, entitled “Demonstrating the Value of Earth Observations: Methods, Practical Applications and Solutions,” brought together more than 60 international experts including economists, scientists, and engineers to consider the state of the science and applications of valuing Earth observations (EO). This 2-day workshop built upon previous activities developed under the GEOValue initiative. This workshop brought together expert analysts from multiple disciplines and backgrounds who are developing methods to identify and measure the value of information generated from the use of satellite and in-situ data. The mix of government agencies, international financial institutions, and independent consultants who participated in the workshop blended to develop a rich mix of views, approaches, and outcomes. During the first part of the workshop, the focus was on the latest science in valuing EO. A number of methodologies were described. Approaches generally assess the societal benefits of specific actions (for example, investments in EO). Some methods focus on broad measures of economic activity (for example, gross domestic product) or methods to assess total economic value such as contingent valuation surveys. Alternatively, use-case approaches (a use case is defined as an evaluation in which one or more decisions, applications, or other uses of data, information, and information products are specifically considered) start with the specific actions and how information is used to support decision making and affect outcomes. The second part of the meeting was focused on the use and development of value chains and decision trees. A value chain can be defined as the set of value-adding activities that one or more organizations perform in creating and distributing goods and services. In terms of EO, the value chain approach can be applied to consider societal benefits of the data and assess the value of data and data features. The EO value chain considers the geospatial data sources and the processing of the data into value added information to be incorporated into decision-support systems, leading to decision makers’ actions. To understand the value of EO, one would also need to recognize the demand side of the equation or how EO benefits users. Extending the value chain concept and incorporating tenets of Bayesian decision making, a decision tree would include one or more use cases. The value provided by the marginal increase in information could flow from one or several parts of the supply side of the value chain. The decision tree is based on the premise that information has no value if it is not used in at least one decision. By connecting the value chain and the decision tree, a framework is created that allows for conceptualizing the value of EO in its many uses. One can then apply economic techniques to monetize the marginal benefit of an outcome with information versus one without. A third part of the meeting applied the value chain and decision-tree frameworks to five specific thematic areas, each with the focus of using information for a decision point: Effect of increasing temperatures on human health; Flooding—Mitigating, managing, and avoiding impacts to safety and property damage; Harmful algal blooms—Effects on human health, recreation, and tourism; Energy and mineral supply—Mitigating, managing, and avoiding impacts of shortfalls on the economy; and Effects of natural hazards on transportation systems—Effects on mobility, safety, and the economy. During the working session, five separate groups worked to define and delineate the value chains and decision trees associated with each topic, discussing the related challenges and data needs. The outcomes were reported back to the full group. Because of the complexity of the topics, most groups first identified a network of value chains and then narrowed the scope to develop a single value chain to address their group’s topic. Although they worked separately and on different topics, the groups came to similar conclusions, concurring that the value chain and decision-tree frameworks are very effective for informing quantitative impact assessments and developing a relatable narrative to assist the public in understanding the link between EO and citizens.

Open-File Report↗

Hydrology of area 54, northern Great Plains, and Rocky Mountain coal provinces, Colorado and Wyoming

A nationwide need for information characterizing hydrologic conditions in mined and potential mine areas has become paramount with the enactment of the Surface Mining Control and Reclamation Act of 1977. This report, one in a series covering the coal provinces nationwide, presents information thematically by describing single hydrologic topics through the use of brief texts and accompanying maps, graphs, or other illustrations. The summation of the topical discussions provides a description of the hydrology of the area. Area 54, in north-central Colorado and south-central Wyoming, is 1 of 20 hydrologic reporting areas of the Northern Great Plains and Rocky Mountain coal provinces. Part of the Southern Rocky Mountains and Wyoming Basin physiographic provinces, the 8,380-square-mile area is one of contrasting geology, topography, and climate. This results in contrasting hydrologic characteristics. The major streams, the North Platte, Laramie, and Medicine Bow Rivers, and their principal tributaries, all head in granitic mountains and flow into and through sedimentary basins between the mountain ranges. Relief averages 2,000 to 3,000 feet. Precipitation in the mountains may exceed 40 inches annually, much of it during the winter, which produces deep snowpacks. Snowmelt in spring and summer provides most streamflow. Precipitation in the basins averages 10 to 16 inches annually, insufficient for sustained streamflow; thus, streams originating in the basins are ephemeral. Streamflow quality is best in the mountains where dissolved-solids concentrations generally are least. These concentrations increase as streams flow through sedimentary basins. The increases are mainly natural, but some may be due to irrigation in and adjacent to the flood plains. In the North Platte River, dissolved-solids concentrations are usually less than 300 milligrams per liter; in the Laramie and the Medicine Bow Rivers, the concentrations may average 500 to 850 milligrams per liter. However, water-quality stations on the Laramie and the Medicine Bow Rivers are farther removed from the mountain sources than the stations in the North Platte drainage. Because of the semiarid climate of the basins, soils are not adequately leached. Consequently, flow in ephemeral streams usually has a larger concentration of dissolved solids than that in perennial streams, averaging 1,000 to 1,600 milligrams per liter. Aquifers containing usable ground water are combined into three groups: (1) consolidated and unconsolidated non-coal-bearing Quaternary and Upper Tertiary deposits, (2) Mesozoic and Paleozoic sedimentary rocks, and (3) Lower Tertiary and Upper Cretaceous sedimentary rocks containing coal. These aquifers are used for municipal, domestic, irrigation, and stock supplies. Well yields range from about 5 to 1,000 gallons per minute, and depend on type of aquifer, saturated thickness, and degree of fracturing. The best quality ground water usually comes from the non-coal-bearing Quaternary and Upper Tertiary rocks or the Mesozoic and Paleozoic rocks; often it is dominated by calcium and bicarbonate ions. The coal-bearing formations have a large variability in water chemistry; dominant ions may be bicarbonate or sulfate and sodium, calcium, or magnesium. Dissolved-solids concentrations are generally larger than in the former two groups. The U.S. Geological Survey operates a network of hydrologic stations to observe the streamflow and groundwater conditions. This network currently includes 31 surface-water stations and 35 observation wells; information is available for many other sites observed in the past. Data available include rate of flow, water levels, and water quality; much of the data are available in published reports or from computer storage through the National Water Data Exchange (NAWDEX) or the National Water Data Storage and Retrieval System (WATSTORE). Five formations of Late Cretaceous and early Tertiary age contain coal.

Colorado, Wyoming↗

Level II scour analysis for Bridge 7 (MORRTH00020007) on Town Highway 2 (FAS 239), crossing Ryder Brook, Morristown, Vermont

This report provides the results of a detailed Level II analysis of scour potential at structure MORRTH00020007 on Town Highway 2 crossing Ryder Brook, Morristown, Vermont (figures 1–8). A Level II study is a basic engineering analysis of the site, including a quantitative analysis of stream stability and scour (U.S. Department of Transportation, 1993). Results of a Level I scour investigation also are included in Appendix E of this report. A Level I investigation provides a qualitative geomorphic characterization of the study site. Information on the bridge, gleaned from Vermont Agency of Transportation (VTAOT) files, was compiled prior to conducting Level I and Level II analyses and is found in Appendix D. The site is in the Green Mountain section of the New England physiographic province in North-central Vermont. The 18.5-mi 2 drainage area is in a predominantly rural and forested basin. In the vicinity of the study site, the surface cover is pasture and forest. In the study area, Ryder Brook generally is straight and incised with a slope of approximately 0.002 ft/ft, an average channel top width of 48 ft and an average channel depth of 3 ft. The channel bed is bedrock with pockets of sand and gravel in several locations through the reach. The gravel has a median grain size (D 50 ) of 17.7 mm (0.0581 ft). The geomorphic assessment at the time of the Level I and Level II site visit on July 16, 1996 indicated that the reach was stable. The Town Highway 2 crossing of Ryder Brook is a 84-ft-long, two-lane bridge consisting of one 84-foot steel-beam span (Vermont Agency of Transportation, written communication, January 31, 1996). The bridge is supported by vertical, concrete abutment walls with spill-through embankments. The channel is skewed approximately 10 degrees to the opening while the opening-skew-to-roadway is 15 degrees. The only scour protection measure at the site was type-3 stone fill (less than 48 inches diameter) on the spill-through embankments of each abutment. Additional details describing conditions at the site are included in the Level II Summary and Appendices D and E. Scour depths and rock rip-rap sizes were computed using the general guidelines described in Hydraulic Engineering Circular 18 (Richardson and others, 1995). Total scour at a highway crossing is comprised of three components: 1) long-term streambed degradation; 2) contraction scour (due to accelerated flow caused by a reduction in flow area at a bridge) and; 3) local scour (caused by accelerated flow around piers and abutments). Total scour is the sum of the three components. Equations are available to compute depths for contraction and local scour and a summary of the results of these computations follows. Contraction scour predictions for all modelled flows at this site were zero. Abutment scour predictions ranged from 5.6 to 8.1 ft. The worst-case abutment scour occurred at the 500- year discharge. Additional information on scour depths and depths to armoring are included in the section titled “Scour Results”. Scoured-streambed elevations, based on the calculated scour depths, are presented in tables 1 and 2. A cross-section of the scour computed at the bridge is presented in figure 8. Scour depths were calculated assuming an infinite depth of erosive material and a homogeneous particle-size distribution. However, historical bridge records and field notes indicate the abutment footings may be set on bedrock. It is generally accepted that the Froehlich equation (abutment scour) gives “excessively conservative estimates of scour depths” (Richardson and others, 1995, p. 47). Usually, computed scour depths are evaluated in combination with other information including (but not limited to) historical performance during flood events, the geomorphic stability assessment, existing scour protection measures, and the results of the hydraulic analyses. Therefore, scour depths adopted by VTAOT may differ from the computed values documented herein.

Vermont↗

Surveys for presence of Oregon spotted frog (Rana pretiosa): background information and field methods

The Oregon spotted frog (Rana pretiosa) is the most aquatic of the native frogs in the Pacific Northwest. The common name derives from the pattern of black, ragged-edged spots set against a brown or red ground color on the dorsum of adult frogs. Oregon spotted frogs are generally associated with wetland complexes that have several aquatic habitat types and sizeable coverage of emergent vegetation. Like other ranid frogs native to the Northwest, Oregon spotted frogs breed in spring, larvae transform in summer of their breeding year, and adults tend to be relatively short lived (3-5 yrs). Each life stage (egg, tadpole, juvenile and adult) has characteristics that present challenges for detection. Breeding can be explosive and completed within 1-2 weeks. Egg masses are laid in aggregations, often in a few locations in large areas of potential habitat. Egg masses can develop, hatch, and disintegrate in <2 weeks during warm weather. Tadpoles can be difficult to identify, have low survival, and spend most of their 3-4 months hidden in vegetation or flocculant substrates. Juveniles and adults are often difficult to capture and can spend summers away from breeding areas. Moreover, a substantial portion of extant populations are of limited size (<100 breeding adults), and field densities of all life stages are often low. An understanding of the biology of the species and use of multiple visits are thus important for assessing presence of Oregon spotted frogs. This report is meant to be a resource for USDA Region 6 Forest Service (FS) and OR/WA Bureau of Land Management (BLM) personnel tasked with surveying for the presence of Oregon spotted frogs. Our objective was to summarize information to improve the efficiency of field surveys and increase chances of detection if frogs are present. We include overviews of historical and extant ranges of Oregon spotted frog. We briefly summarize what is known of Oregon spotted frog habitat associations and review aspects of behavior and ecology that are likely to affect detectability in the field. We summarize characteristics that can help differentiate Oregon spotted frog life stages from other northwestern ranid frogs encountered during surveys. Appendices include examples of data collection formats and a protocol for disinfecting field gear.

Interagency Special Status / Sensitive Species Pro↗

Habitat suitability index model improvement recommendations

As part of the model improvement effort for the 2023 Coastal Master Plan, the Habitat Suitability Index (HSI) models used during previous master plans were reevaluated to assess how the model relationships could be improved, and to determine what species should be included in the master plan analyses. This process considered the technical reviews, comments, and suggested improvements provided by model developers, advisory groups, and other experts during previous master plans. Reviews were then conducted to determine the availability of data and information that could be used to make model improvements. As a result of this effort, a recommended list of relevant species to model is provided, and HSI model improvements are recommended that are categorized by whether the suitability index (SI) relationship to be improved is statistical-based or literature-based. The species recommended to be included in the 2023 Coastal Master Plan analyses are: eastern oyster, brown shrimp, white shrimp, blue crab, crayfish, gulf menhaden, spotted seatrout, largemouth bass, American alligator, gadwall, mottled duck, brown pelican, seaside sparrow, and bald eagle. These species were selected because they represent a range of taxonomies, life histories, trophic levels, and habitats, and most are commercially- or recreationally-important in coastal Louisiana. Most of these species were also included in the 2017 Coastal Master Plan analyses, and the models used during that effort should be further improved. Seaside sparrow and bald eagle are new for the master plan, and new models should be developed for the analyses. The 2017 fish, shrimp, and blue crab HSI models included a water quality SI that was based on statistical analyses of species catch and environmental data collected by the Louisiana Department of Wildlife and Fisheries. As suggested during the 2017 Coastal Master Plan, the modeling approach used to develop the water quality SI was revisited and alternate modeling approaches were explored. Using literature and an evaluation of the general steps of model development, three components for HSI model improvement were identified, including 1) selecting alternative modeling approach(es); 2) detecting and resolving statistical issues; and 3) improving model fit and evaluation. Multiple options for each component were explored, which resulted in a proposed multi-step phased approach for model improvement. This proposed approach entails improving the generalized linear models used for the 2017 water quality SIs and then, if desired, comparing them to alternative model approaches (e.g., generalized additive models) to explore model performance and select the best approach to use for the 2023 Coastal Master Plan HSI models. All of the existing master plan HSI models include literature-based SIs, which use information from published studies of species-habitat associations to derive suitability relationships. Similar to previous master plans, these literature-based SIs should be updated and improved for the 2023 Coastal Master Plan using recent literature and new ecological knowledge. Preliminary reviews were conducted and recent information was found that could be used to improve the eastern oyster, crayfish, and potentially brown pelican HSI models; but no appropriate recent literature was located for improvement of the American alligator, gadwall, and mottled duck HSI models. However, it is recommended that the literature reviews and information searches be continued. In addition to the statistical-based water quality SI, the 2017 fish, shrimp, and blue crab HSI models also included a structural habitat SI that was based on literature showing high densities of these species in fragmented marsh. The relationship used for this SI, however, did not account for the effects of other estuarine habitats, such as submerged aquatic vegetation and oyster reefs, which are also important to these species. Therefore, a meta-analysis approach is proposed that would estimate the relative importance of these habitats for each species, and the results of this analysis could be used to calculate a new structural habitat SI for the 2023 Coastal Master Plan.

Report↗

Factors associated with bat mortality at wind energy facilities in the United States

Hundreds of thousands of bats are killed annually by colliding with wind turbines in the U.S., yet little is known about factors causing variation in mortality across wind energy facilities. We conducted a quantitative synthesis of bat collision mortality with wind turbines by reviewing 218 North American studies representing 100 wind energy facilities. This data set, the largest compiled for bats to date, provides further evidence that collision mortality is greatest for migratory tree-roosting species (Hoary Bat [ Lasiurus cinereus ], Eastern Red Bat [ Lasiurus borealis ], Silver-haired Bat [ Lasionycteris noctivagans ]) and from July to October. Based on 40 U.S. studies meeting inclusion criteria and analyzed under a common statistical framework to account for methodological variation, we found support for an inverse relationship between bat mortality and percent grassland cover surrounding wind energy facilities. At a national scale, grassland cover may best reflect openness of the landscape, a factor generally associated with reduced activity and abundance of tree-roosting species that may also reduce turbine collisions. Further representative sampling of wind energy facilities is required to validate this pattern. Ecologically informed placement of wind energy facilities involves multiple considerations, including not only factors associated with bat mortality, but also factors associated with bird collision mortality, indirect habitat-related impacts to all species, and overall ecosystem impacts.

Biological Conservation↗

Ecological engineering with oysters enhances coastal resilience efforts

Coastal areas are especially vulnerable to habitat loss, sea-level rise, and other climate change effects. Oyster-dominated eco-engineered reefs have been promoted as integral components of engineered habitats enhancing coastal resilience through provision of numerous ecological, morphological, and socio-economic services. However, the assessed ‘success’ of these eco-engineered oyster reefs remains variable across projects and locations, with their general efficacy in promoting coastal resilience, along with related services, often mixed at best. Understanding factors influencing the success of these eco-engineered habitats as valuable coastal management tools could greatly inform related future efforts. Here, we review past studies incorporating reef-building oysters for coastal resilience and enhanced ecosystem services. Our aims are to better understand their utility and limitations, along with critical knowledge gaps to better advance future applicability. Success depends largely on site selection, informed by physical, chemical and biological factors, and adjacent habitats and bottom types. Better understanding of oyster metapopulation dynamics, tolerance and adaptation to changing conditions, and interactions with adjacent habitats will help to better identify suitable locations, and design more effective eco-engineered reefs. These eco-engineered reefs provide a useful tool to assist in developing coastal resilience in the face of climate change and sea level rise.

Ecological Engineering↗

Abundance and distribution of selected elements in soils, stream sediments, and selected forage plants from desert tortoise habitats in the Mojave and Colorado deserts, USA

A baseline and background chemical survey was conducted in southeastern California, USA, to identify potential sources of toxicants in natural and anthropogenically-altered habitats of the threatened desert tortoise (Gopherus agassizii). Soil, stream sediment, and plant samples were collected from six tortoise habitat study areas in the Mojave and Colorado deserts and analysed for up to 66 different elements. The chemical analyses provided new information on the abundances and distributions of selected elements in this region. Soil, stream-sediment, and plant analyses showed distinct variations in bulk chemistries from locality to locality. Variations were, in general, consistent with the many types of exposed rock units in the region, their highly variable bulk mineralogies, and chemical contents. Of elements in soils that might have been toxic to tortoises, only As seemed to be anomalous region-wide. Some soil and plant anomalies were clearly anthropogenic. In the Rand and Atolia mining districts, soil anomalies for As, Au, Cd, Hg, Sb, and(or) W and plant anomalies for As, Sb, and(or) W extend as far as ???15 km outward from the present area of mining; soils containing anomalous Hg were found at least 6 km away from old piles of tailings. The anomalous concentrations of As and Hg may have been the source of elevated levels of these elements found in ill tortoises from the region. In the Goldstone mining district, soil anomalies extended several km from the mining area. These areas probably represented anthropogenic surface contamination of dust redistributed by wind, vehicles, and rainfall. One of two study areas transected by a paved road (Chemehuevi Valley) showed weakly elevated levels of Pb, which extended as far as ???22 m from the pavement edge and were probably related to vehicle exhaust. No soil or plant samples from historically used military areas (Goldstone, Goffs, Chemehuevi Valley, Chuckwalla Bench) contained anomalous concentrations of the elements As, Cu, Cr, Fe, Pb, or Zn that could be ascribed to military maneuvers, vehicles, or ordnance. For future studies, the distribution and abundance of elements in the tortoise forage plants need to be evaluated for the respective roles of dust and systemic uptake. Additional chemical data from tortoise necropsies and nutritional studies are needed to determine the effects of potentially toxic elements in tortoise habitats on their health. ?? 2006 Elsevier Ltd. All rights reserved.

Journal of Arid Environments↗

Temperature-pressure conditions in coalbed methane reservoirs of the Black Warrior basin: Implications for carbon sequestration and enhanced coalbed methane recovery

Sorption of gas onto coal is sensitive to pressure and temperature, and carbon dioxide can be a potentially volatile supercritical fluid in coalbed methane reservoirs. More than 5000 wells have been drilled in the coalbed methane fields of the Black Warrior basin in west-central Alabama, and the hydrologic and geothermic information from geophysical well logs provides a robust database that can be used to assess the potential for carbon sequestration in coal-bearing strata.Reservoir temperature within the coalbed methane target zone generally ranges from 80 to 125 ??F (27-52 ??C), and geothermal gradient ranges from 6.0 to 19.9 ??F/1000 ft (10.9-36.2 ??C/km). Geothermal gradient data have a strong central tendency about a mean of 9.0 ??F/1000 ft (16.4 ??C/km). Hydrostatic pressure gradients in the coalbed methane fields range from normal (0.43 psi/ft) to extremely underpressured (<0.05 psi/ft). Pressure-depth plots establish a bimodal regime in which 70% of the wells have pressure gradients greater than 0.30 psi/ft, and 20% have pressure gradients lower than 0.10 psi/ft. Pockets of underpressure are developed around deep longwall coal mines and in areas distal to the main hydrologic recharge zone, which is developed in structurally upturned strata along the southeastern margin of the basin.Geothermal gradients within the coalbed methane fields are high enough that reservoirs never cross the gas-liquid condensation line for carbon dioxide. However, reservoirs have potential for supercritical fluid conditions beyond a depth of 2480 ft (756 m) under normally pressured conditions. All target coal beds are subcritically pressured in the northeastern half of the coalbed methane exploration fairway, whereas those same beds were in the supercritical phase window prior to gas production in the southwestern half of the fairway. Although mature reservoirs are dewatered and thus are in the carbon dioxide gas window, supercritical conditions may develop as reservoirs equilibrate toward a normal hydrostatic pressure gradient after abandonment. Coal can hold large quantities of carbon dioxide under supercritical conditions, and supercritical isotherms indicate non-Langmiur conditions under which some carbon dioxide may remain mobile in coal or may react with formation fluids or minerals. Hence, carbon sequestration and enhanced coalbed methane recovery show great promise in subcritical reservoirs, and additional research is required to assess the behavior of carbon dioxide in coal under supercritical conditions where additional sequestration capacity may exist. ?? 2003 Elsevier Science B.V. All rights reserved.

International Journal of Coal Geology↗

Factors associated with sources, transport, and fate of volatile organic compounds and their mixtures in aquifers of the United States

Factors associated with sources, transport, and fate of volatile organic compounds (VOCs) in groundwater from aquifers throughout the United States were evaluated using statistical methods. Samples were collected from 1631 wells throughout the conterminous United States between 1996 and 2002 as part of the National Water-Quality Assessment (NAWQA) Program of the U.S. Geological Survey. Water samples from wells completed in aquifers used to supply drinking water were analyzed for more than 50 VOCs. Wells were primarily rural domestic water supplies (1184), followed by public water supplies (216); the remaining wells (231) supplied a variety of uses. The median well depth was 50 meters. Age-date information shows that about 60% of the samples had a fraction of water recharged after 1953. Chloroform, toluene, 1,2,4-trimethylbenzene, and perchloroethene were some of the frequently detected VOCs. Concentrations generally were less than 1 ??g/L. Source factors include, in order of importance, general land-use activity, septic/sewer density, and sites where large concentrations of VOCs are potentially released, such as leaking underground storage tanks. About 10% of all samples had VOC mixtures that were associated with concentrated sources; 20% were associated with dispersed sources. Important transport factors included well/screen depth, precipitation/groundwater recharge, air temperature, and various soil characteristics. Dissolved oxygen was strongly associated with VOCs and represents the fate of many VOCs in groundwater. Well type (domestic or public water supply) was also an important explanatory factor. Results of multiple analyses show the importance of (1) accounting for both dispersed and concentrated sources of VOCs, (2) measuring dissolved oxygen when sampling wells to help explain the fate of VOCs, and (3) limiting the type of wells sampled in monitoring networks to avoid unnecessary variance in the data, or controlling for this variance during data analysis.

Environmental Science & Technology↗