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At least 1,567 records · Page 87Linked to original sources

Development and implementation of a Bayesian-based aquifer vulnerability assessment in Florida

The Florida Aquifer Vulnerability Assessment (FAVA) was designed to provide a tool for environmental, regulatory, resource management, and planning professionals to facilitate protection of groundwater resources from surface sources of contamination. The FAVA project implements weights-of-evidence (WofE), a data-driven, Bayesian-probabilistic model to generate a series of maps reflecting relative aquifer vulnerability of Florida's principal aquifer systems. The vulnerability assessment process, from project design to map implementation is described herein in reference to the Floridan aquifer system (FAS). The WofE model calculates weighted relationships between hydrogeologic data layers that influence aquifer vulnerability and ambient groundwater parameters in wells that reflect relative degrees of vulnerability. Statewide model input data layers (evidential themes) include soil hydraulic conductivity, density of karst features, thickness of aquifer confinement, and hydraulic head difference between the FAS and the watertable. Wells with median dissolved nitrogen concentrations exceeding statistically established thresholds serve as training points in the WofE model. The resulting vulnerability map (response theme) reflects classified posterior probabilities based on spatial relationships between the evidential themes and training points. The response theme is subjected to extensive sensitivity and validation testing. Among the model validation techniques is calculation of a response theme based on a different water-quality indicator of relative recharge or vulnerability: dissolved oxygen. Successful implementation of the FAVA maps was facilitated by the overall project design, which included a needs assessment and iterative technical advisory committee input and review. Ongoing programs to protect Florida's springsheds have led to development of larger-scale WofE-based vulnerability assessments. Additional applications of the maps include land-use planning amendments and prioritization of land purchases to protect groundwater resources. ?? International Association for Mathematical Geology 2007.

Natural Resources Research↗

A protocol for coordinating post-tsunami field reconnaissance efforts in the USA

In the aftermath of a catastrophic tsunami, much is to be learned about tsunami generation and propagation, landscape and ecological changes, and the response and recovery of those affected by the disaster. Knowledge of the impacted area directly helps response and relief personnel in their efforts to reach and care for survivors and for re-establishing community services. First-hand accounts of tsunami-related impacts and consequences also help researchers, practitioners, and policy makers in other parts of the world that lack recent events to better understand and manage their own societal risks posed by tsunami threats. Conducting post-tsunami surveys and disseminating useful results to decision makers in an effective, efficient, and timely manner is difficult given the logistical issues and competing demands in a post-disaster environment. To facilitate better coordination of field-data collection and dissemination of results, a protocol for coordinating post-tsunami science surveys was developed by a multi-disciplinary group of representatives from state and federal agencies in the USA. This protocol is being incorporated into local, state, and federal post-tsunami response planning through the efforts of the Pacific Risk Management ‘Ohana, the U.S. National Tsunami Hazard Mitigation Program, and the U.S. National Plan for Disaster Impact Assessments. Although the protocol was designed to support a coordinated US post-tsunami response, we believe it could help inform post-disaster science surveys conducted elsewhere and further the discussion on how hazard researchers can most effectively operate in disaster environments.

Natural Hazards↗

Intra-community implications of implementing multiple tsunami-evacuation zones in Alameda, California

Tsunami-evacuation planning in coastal communities is typically based on maximum evacuation zones for a single scenario or a composite of sources; however, this approach may over-evacuate a community and overly disrupt the local economy and strain emergency-service resources. To minimize the potential for future over-evacuations, multiple evacuation zones based on arrival time and inundation extent are being developed for California coastal communities. We use the coastal city of Alameda, California (USA), as a case study to explore population and evacuation implications associated with multiple tsunami-evacuation zones. We use geospatial analyses to estimate the number and type of people in each tsunami-evacuation zone and anisotropic pedestrian evacuation models to estimate pedestrian travel time out of each zone. Results demonstrate that there are tens of thousands of individuals in tsunami-evacuation zones on the two main islands of Alameda, but they will likely have sufficient time to evacuate before wave arrival. Quality of life could be impacted by the high number of government offices, schools, day-care centers, and medical offices in certain evacuation zones and by potentially high population density at one identified safe area after an evacuation. Multi-jurisdictional evacuation planning may be warranted, given that many at-risk individuals may need to evacuate to neighboring jurisdictions. The use of maximum evacuation zones for local tsunami sources may be warranted given the limited amount of available time to confidently recommend smaller zones which would result in fewer evacuees; however, this approach may also result in over-evacuation and the incorrect perception that successful evacuations are unlikely.

California↗

Fluvial delivery and wave resuspension of sediment in a sheltered, urbanized Pacific Northwest estuary

The sequence and timing of sediment delivery and redistribution in coastal systems is important for shoreline stability, ecosystem services, and remediation planning. In temperate estuaries, understanding the role of fluvial sediment delivery and dispersal relative to wind and wave remobilization processes is particularly important to address the fate of contaminants, many of which adsorb to fine particles, and to assess changes in coastal systems under projected changes in climate. Here we present an integrated analysis of observations at multiple timescales to evaluate sediment dynamics and the sedimentary coupling between fluvial and oceanographic processes within Bellingham Bay, Washington, USA, an urban estuary. Time-series data of currents, waves, and turbidity at four moorings along with geochemical data from grab samples and cores of seabed sediment from across the bay are contrasted with the dynamics of the Nooksack River, its fluvial sediment source. Even during large (5-yr return interval) river-flood events, water-column suspended-sediment concentration (SSC) near the bed on the outer delta topset was not correlated with Nooksack River runoff and was instead closely correlated with local wind-wave height. In contrast, near-surface SSC was strongly correlated with fluvial discharge, suggesting intense water-column suspended-sediment stratification during flood events. Grain-size and geochemical ( 7 "> 7 Be and excess 210 "> 210 Pb) results from seabed-sediment samples and historical bathymetric measurements of the subaqueous Nooksack River delta reveal spatial gradients of fluvial and wave influence and sediment-accumulation rates. Analysis of historical bathymetric surveys of the Nooksack River delta combined with the geochemical data reveal that about 75% of the fluvial sediment load can be accounted for in the Bellingham Bay receiving system. Studies of this type in urbanized coastal settings can help address ecological and geological questions regarding the risks from contaminants associated with fine-grained sediment, predict longer-term delta morphological evolution, and inform managers planning future coastal restoration efforts

Washington↗

Advancing the implementation of coastal restoration in Louisiana through a co-production of science framework

Coastal Louisiana faces complex challenges from the compounding effects of coastal land loss and climate change. The State of Louisiana’s Coastal Protection and Restoration Authority (CPRA) and the RESTORE Act Center of Excellence for Louisiana (LA-COE) have adopted a co-production of science framework to help ensure that scientific research funded through the LA-COE supports the research needs of CPRA and the Louisiana Coastal Master Plan (CMP), a large-scale coastal restoration plan that outlines activities needed to restore and protect Louisiana’s coast. In this paper, we describe the co-production of science framework established between the LA-COE, CPRA, and research projects funded by the LA-COE. Through an iterative process, the Louisiana CMP is revised every 6 years with improved model and scientific information. The LA-COE leverages the cyclical nature of the CMP by working with CPRA to identify research needs for each Request for Proposals solicited by the LA-COE. The LA-COE proposal review process is structured to include anonymous CPRA review of projects to promote the production of actionable science, and once funded, multiple mechanisms are in place to support collaboration between researchers and CPRA staff. We highlight these mechanisms and provide examples of four LA-COE-funded projects where co-produced science is being used by CPRA to inform the CMP and its implementation. Finally, we discuss challenges of co-production within the confines of funding requirements and review restrictions, highlighting how the LA-COE continues to adapt to navigate these challenges and enhance the implementation of co-production throughout the research funding lifecycle.

Louisiana↗

Evaluating effects of Everglades restoration on American crocodile populations in south Florida using a spatially-explicit, stage-based population model

The distribution and abundance of the American crocodile ( Crocodylus acutus ) in the Florida Everglades is dependent on the timing, amount, and location of freshwater flow. One of the goals of the Comprehensive Everglades Restoration Plan (CERP) is to restore historic freshwater flows to American crocodile habitat throughout the Everglades. To predict the impacts on the crocodile population from planned restoration activities, we created a stage-based spatially explicit crocodile population model that incorporated regional hydrology models and American crocodile research and monitoring data. Growth and survival were influenced by salinity, water depth, and density-dependent interactions. A stage-structured spatial model was used with discrete spatial convolution to direct crocodiles toward attractive sources where conditions were favorable. The model predicted that CERP would have both positive and negative impacts on American crocodile growth, survival, and distribution. Overall, crocodile populations across south Florida were predicted to decrease approximately 3 % with the implementation of CERP compared to future conditions without restoration, but local increases up to 30 % occurred in the Joe Bay area near Taylor Slough, and local decreases up to 30 % occurred in the vicinity of Buttonwood Canal due to changes in salinity and freshwater flows.

Florida↗

Tidal wetland resilience to increased rates of sea level rise in the Chesapeake Bay: Introduction to the special feature

The papers in this Special Feature are the result of the first Marsh Resilience Summit in the Chesapeake Bay region, which occurred in February 2019. The Chesapeake Bay region has one of the highest rates of relative sea level rise in the U.S., jeopardizing over 1000 km 2 of tidal wetlands along with other coastal lands. The goal of the Summit and this collection of articles is to analyze tidal wetland response to accelerating sea level rise and the effect their response will have on adaptation planning for surrounding communities. Ten Summit presenters share their research in this Special Feature. In this Introduction, we summarize their findings on evaluating restoration potential at the site-specific level, measuring and projecting marsh migration and erosions rates, describing impacts of wetland migration on a marsh dependent animal, effects on human communities, and finally the roles of property owners and government on future tidal wetland extent. These contributions demonstrate that tidal marsh distribution is dynamic in response to sea level rise, and that social, legal, and policy tools can be used and further developed to enable opportunities for restoring or conserving wetlands when stakeholders are engaged effectively. The papers here and feedback from Summit participants illuminate diverse priorities, research unknowns, and next steps for land use planning toward resilience of the Chesapeake Bay region that also can inform global communities.

Maryland, Virgina↗

From model to action: Identifying the gaps in coastal marsh models for decision making

Coastal salt marsh modeling projects are designed to answer questions about where salt marshes may migrate, how they can migrate, and how they will be impacted by changing water levels. While this information is vital for climate-resilient marsh conservation, translating these findings into actionable results remains a challenge. The authors examined the actionability of marsh modeling efforts in the United States by analyzing data collected from semi-structured interviews of marsh model users ( n = 24) across two ongoing projects along the U.S. East Coast and the Gulf of America (Gulf of Mexico). By qualitatively analyzing the interview data, the authors found that the tasks of practitioners who use coastal marsh model outputs fall into three major themes: (1) marsh restoration, (2) planning with uncertainty, and (3) conserving habitat for marsh-reliant species. For each of these themes, the authors identify unmet needs, including high spatial resolution information for local planning, accessible descriptions of uncertainty to increase user confidence, and the incorporation of human dimensions data (e.g., human alterations to the landscape such as impoundments and culverts) for a comprehensive understanding of the coastal salt marsh. Marsh modeling projects should strategize how to fulfil these unmet user needs so that marsh modeling outputs can better support decisions related to marsh conservation and restoration.

Gulf of America, United States East Coast↗

Imaging of Mercury and Venus from a flyby

This paper describes the results of study of an imaging experiment planned for the 1973 Mariner Venus/Mercury flyby mission. Scientific objectives, mission constraints, analysis of alternative systems, and the rationale for final choice are presented. Severe financial constraints ruled out the best technical alternative for flyby imaging, a film/readout system, or even significant re-design of previous Mariner vidicon camera/tape recorder systems. The final selection was a vidicon camera quite similar to that used for Mariner Mars 1971, but with the capability of real time transmission during the Venus and Mercury flybys. Real time data return became possible through dramatic increase in the communications bandwidth at only modest sacrifice in the quality of the returned pictures. Two identical long focal length cameras (1500 mm) were selected and it will be possible to return several thousand pictures from both planets at resolutions ranging from equivalent to Earthbased to tenths of a kilometer at encounter. Systematic high resolution ultraviolet photography of Venus is planned after encounter in an attempt to understand the nature of the mysterious ultraviolet markings and their apparent 4- to 5-day rotation period. Full disk coverage in mosaics will produce pictures of both planets similar in quality to Earthbased telescopic pictures of the Moon. The increase of resolution, more than three orders of magnitude, will yield an exciting first look at two planets whose closeup appearance is unknown.

Icarus↗

Hydraulic gradient control for groundwater contaminant removal

The Rocky Mountain Arsenal near Denver, Colorado, U.S.A., is used as a realistic setting for a hypothetical test of a procedure that plans the hydraulic stabilization and removal of a groundwater contaminant plume. A two-stage planning procedure successfully selects the best wells and their optimal pumping/recharge schedules to contain the plume while a well or system of wells within the plume removes the contaminated water. In stage I, a combined groundwater flow and solute transport model is used to simulate contaminant removal under an assumed velocity field. The result is the approximated plume boundary location as a function of time. In stage II, a linear program, which includes a groundwater flow model as part of the set of constraints, determines the optimal well selection and their optimal pumping/recharge schedules by minimizing total pumping and recharge. The simulation—management model eliminates wells far from the plume perimeter and activates wells near the perimeter as the plume decreases in size. This successfully stablizes the hydraulic gradient during aquifer cleanup.

Colorado↗

Preliminary assessments of the occurrence and effects of utilization of sand and aggregate resources of the Louisiana inner shelf

Louisiana is experiencing the most critical coastal erosion and land loss problem in the United States. Shoreline erosion rates exceed 6 m/yr in more than 80% of the Louisiana coastal zone and can be up to 50 m/yr in areas impacted by hurricanes. The barrier islands have decreased in area by some 40% since 1880. Land loss from coastal marshlands and ridgelands from both natural and human-induced processes is estimated to exceed 100 km 2 /yr. In response, a two-phase plan has been established, calling for barrier-island restoration and beach nourishment, both requiring large amounts of sand. The plan will be cost-effective only if sand can be found offshore in sufficient quantities close to project sites. To locate such deposits, the Louisiana Geological Survey is conducting an inventory of nearshore sand resources on the Louisiana continental shelf. Exploration for offshore sand deposits is conducted in two phases, with high-resolution seismic reflection profiling to locate potential sand bodies followed by vibracoring to confirm seismic intepretations and obtain samples for textural characterization. As part of the initial stages of the program, reconnaissance high-resolution seismic investigations of three areas of the continental shelf representing different stages in the evolutionary sequence of barrier shorelines were carried out. The Timbalier Islands, flanking barriers of the eroding Caminada-Moreau headland, contain potential sand resources associated with buried tidal and distributary channels. The Chandeleur Islands, a barrier-island arc, have potential offshore sands in the form of truncated spit and tidal inlet deposits, submerged beach ridges, and distributary channels. Trinity Shoal, an inner shelf shoal, is an offshore feature containing up to 2 × 10 9 m 3 of material, most of which is probably fine sand.

Marine Geology↗

Non-energy resources, Connecticut and Rhode Island coastal waters

Cores collected from Long Island Sound, Connecticut, were used to establish control on the geologic framework of the area. Lithologic and stratigraphic analyses verified the presence of the following units: (1) Cretaceous coastal plain, (2) Pleistocene glacial till, (3) late Pleistocene glacial lake, (4) late Pleistocene glacial outwash, and (5) Holocene fluvial, estuarine and marine deposits. Cores collected in Block Island Sound, Rhode Island, were obtained from inferred, relict shoreline features and were analyzed for heavy mineral content. Concentrations ranged from 0.3 to 3.4%; no significant downcore changes were found. The results indicated that surficial sediments in areas of high-velocity tidal flow yield greater amounts of heavy minerals than do inferred placer deposits. During the second phase of the program of study, Connecticut and Rhode Island pooled resources to develop a study plan for the comprehensive quantification of all non-energy resources in the adjacent waters of the states. A literature and data survey was conducted to assess the occurrence, extent, and accessibility of these resources. Sand and gravel and heavy minerals were found in concentrations offering potential for resource exploitation. Constraints on exploitation include (1) water depth restrictions for the protection of shellfish beds and public beaches, (2) fishing activities, (3) military, commercial, and fishing vessel traffic, (4) seafloor cable routes and (5) dump sites. Deposits composed of Pleistocene glacial sediments and/or Holocene marine sediments in regions of little or no user conflict were identified as sites potentially suitable for resource exploitation. The study plan stated additional data needs (geophysical profiling and vibracore sampling) at these sites. Subsequent to these recommendations, high-resolution seismic profiles and sidescan sonographs were obtained from these sites. Seismic stratigraphic analyses confirm the presence of extensive deposits of potential economic value.

Marine Geology↗

The interaction between biology and the management of aquatic macrophytes

‘Management’ refers to controlling nuisance aquatic species and to restoring or restructing aquatic plant communities. Producing stable, diverse, aquatic plant communities containing a high percentage of desirable species is a primary management goal. There are a variety of techniques including harvesting, herbicides, water-level fluctuation, sediment alteration, nutrient limitation, light alteration, and biological controls which can be used for managing macrophytes. These techniques are briefly reviewed along with discussions of biological considerations important to the efficacy of the technique and the environmental impacts of the technique. There is a growing interest in restoring and restructing aquatic plant communities. Techniques for community restoration are discussed as are emerging management technologies using growth regulators and bioengineering. New management technologies will probably be limited by costs and environmental impacts. In the near future, better macrophyte management will come through better planning and more effective use of present technology. The challenge is to make current planning and management techniques more effective through increased biological inputs. The potential for biological input ranges from subcellular biology to species biology, to community and ecosystem biology. Some information needs are identified.

Aquatic Botany↗

An approach to quantify sources, seasonal change, and biogeochemical processes affecting metal loading in streams: Facilitating decisions for remediation of mine drainage

Historical mining has left complex problems in catchments throughout the world. Land managers are faced with making cost-effective plans to remediate mine influences. Remediation plans are facilitated by spatial mass-loading profiles that indicate the locations of metal mass-loading, seasonal changes, and the extent of biogeochemical processes. Field-scale experiments during both low- and high-flow conditions and time-series data over diel cycles illustrate how this can be accomplished. A low-flow experiment provided spatially detailed loading profiles to indicate where loading occurred. For example, SO 4 2 - was principally derived from sources upstream from the study reach, but three principal locations also were important for SO 4 2 - loading within the reach. During high-flow conditions, Lagrangian sampling provided data to interpret seasonal changes and indicated locations where snowmelt runoff flushed metals to the stream. Comparison of metal concentrations between the low- and high-flow experiments indicated substantial increases in metal loading at high flow, but little change in metal concentrations, showing that toxicity at the most downstream sampling site was not substantially greater during snowmelt runoff. During high-flow conditions, a detailed temporal sampling at fixed sites indicated that Zn concentration more than doubled during the diel cycle. Monitoring programs must account for diel variation to provide meaningful results. Mass-loading studies during different flow conditions and detailed time-series over diel cycles provide useful scientific support for stream management decisions.

Applied Geochemistry↗

Mapping socio-environmentally vulnerable populations access and exposure to ecosystem services at the U.S.-Mexico borderlands

Socio-environmental vulnerable populations are often unrepresented in land-use planning yet have great potential for loss when exposed to changes in ecosystem services. Administrative boundaries, cultural differences, and language barriers increase the disassociation between land-use management and marginalized populations living in the U.S.–Mexico borderlands. This paper describes the development of a Modified Socio-Environmental Vulnerability Index (M-SEVI), using determinants from binational census and neighborhood data that describe levels of education, access to resources, migratory status, housing, and number of dependents, to provide a simplified snapshot of the region's populace that can be used in binational planning efforts. We apply this index at the SCW, located on the border between Arizona, USA and Sonora, Mexico. For comparison, the Soil and Water Assessment Tool is concurrently applied to assess the provision of erosion- and flood control services over a 9-year period. We describe how this coupling of data can form the base for an ecosystem services assessment across political boundaries that can be used by land-use planners. Results reveal potential disparities in environmental risks and burdens throughout the binational watershed in residential districts surrounding and between urban centers. The M-SEVI can be used as an important first step in addressing environmental justice for binational decision-making.

Arizona↗

A Great Lakes atmospheric mercury monitoring network: evaluation and design

As many as 51 mercury (Hg) wet-deposition-monitoring sites from 4 networks were operated in 8 USA states and Ontario, Canada in the North American Great Lakes Region from 1996 to 2010. By 2013, 20 of those sites were no longer in operation and approximately half the geographic area of the Region was represented by a single Hg-monitoring site. In response, a Great Lakes Atmospheric Mercury Monitoring (GLAMM) network is needed as a framework for regional collaboration in Hg-deposition monitoring. The purpose of the GLAMM network is to detect changes in regional atmospheric Hg deposition related to changes in Hg emissions. An optimized design for the network was determined to be a minimum of 21 sites in a representative and approximately uniform geographic distribution. A majority of the active and historic Hg-monitoring sites in the Great Lakes Region are part of the National Atmospheric Deposition Program (NADP) Mercury Deposition Network (MDN) in North America and the GLAMM network is planned to be part of the MDN. To determine an optimized network design, active and historic Hg-monitoring sites in the Great Lakes Region were evaluated with a rating system of 21 factors that included characteristics of the monitoring locations and interpretations of Hg data. Monitoring sites were rated according to the number of Hg emissions sources and annual Hg emissions in a geographic polygon centered on each site. Hg-monitoring data from the sites were analyzed for long-term averages in weekly Hg concentrations in precipitation and weekly Hg-wet deposition, and on significant temporal trends in Hg concentrations and Hg deposition. A cluster analysis method was used to group sites with similar variability in their Hg data in order to identify sites that were unique for explaining Hg data variability in the Region. The network design included locations in protected natural areas, urban areas, Great Lakes watersheds, and in proximity to areas with a high density of annual Hg emissions and areas with high average weekly Hg wet deposition. In a statistical analysis, relatively strong, positive correlations in the wet deposition of Hg and sulfate were shown for co-located NADP Hg-monitoring and acid-rain monitoring sites in the Region. This finding indicated that efficiency in regional Hg monitoring can be improved by adding new Hg monitoring to existing NADP acid-rain monitoring sites. Implementation of the GLAMM network design will require Hg-wet-deposition monitoring to be: (a) continued at 12 MDN sites active in 2013 and (b) restarted or added at 9 NADP sites where it is absent in 2013. Ongoing discussions between the states in the Great Lakes Region, the Lake Michigan Air Directors Consortium (a regional planning entity), the NADP, the U.S. Environmental Protection Agency, and the U.S. Geological Survey are needed for coordinating the GLAMM network.

Great Lakes↗

Are hotspots of evolutionary potential adequately protected in southern California?

Reserves are often designed to protect rare habitats, or "typical" exemplars of ecoregions and geomorphic provinces. This approach focuses on current patterns of organismal and ecosystem-level biodiversity, but typically ignores the evolutionary processes that control the gain and loss of biodiversity at these and other levels (e.g., genetic, ecological). In order to include evolutionary processes in conservation planning efforts, their spatial components must first be identified and mapped. We describe a GIS-based approach for explicitly mapping patterns of genetic divergence and diversity for multiple species (a "multi-species genetic landscape"). Using this approach, we analyzed mitochondrial DNA datasets from 21 vertebrate and invertebrate species in southern California to identify areas with common phylogeographic breaks and high intrapopulation diversity. The result is an evolutionary framework for southern California within which patterns of genetic diversity can be analyzed in the context of historical processes, future evolutionary potential and current reserve design. Our multi-species genetic landscapes pinpoint six hotspots where interpopulation genetic divergence is consistently high, five evolutionary hotspots within which genetic connectivity is high, and three hotspots where intrapopulation genetic diversity is high. These 14 hotspots can be grouped into eight geographic areas, of which five largely are unprotected at this time. The multi-species genetic landscape approach may provide an avenue to readily incorporate measures of evolutionary process into GIS-based systematic conservation assessment and land-use planning.

Biological Conservation↗

Quantifying home range habitat requirements for bobcats (Lynx rufus) in Vermont, USA

We demonstrate how home range and habitat use analysis can inform landscape-scale conservation planning for the bobcat, Lynx rufus , in Vermont USA. From 2005 to 2008, we outfitted fourteen bobcats with GPS collars that collected spatially explicit locations from individuals every 4 h for 3–4 months. Kernel home range techniques were used to estimate home range size and boundaries, and to quantify the utilization distribution (UD), which is a spatially explicit, topographic mapping of how different areas within the home range are used. We then used GIS methods to quantify both biotic (e.g. habitat types, stream density) and abiotic (e.g. slope) resources within each bobcat’s home range. Across bobcats, upper 20th UD percentiles (core areas) had 18% less agriculture, 42% less development, 26% more bobcat habitat (shrub, deciduous, coniferous forest, and wetland cover types), and 33% lower road density than lower UD percentiles (UD valleys). For each bobcat, we used Akaike’s Information Criterion (AIC) to evaluate and compare 24 alternative Resource Utilization Functions (hypotheses) that could explain the topology of the individual’s UD. A model-averaged population-level Resource Utilization Function suggested positive responses to shrub, deciduous, coniferous forest, and wetland cover types within 1 km of a location, and negative responses to roads and mixed forest cover types within 1 km of a location. Applying this model-averaged function to each pixel in the study area revealed habitat suitability for bobcats across the entire study area, with suitability scores ranging between −1.69 and 1.44, where higher values were assumed to represent higher quality habitat. The southern Champlain Valley, which contained ample wetland and shrub habitat, was a concentrated area of highly suitable habitat, while areas at higher elevation areas were less suitable. Female bobcat home ranges, on average, had an average habitat suitability score of near 0, indicating that home ranges consisted of both beneficial and detrimental habitat types. We discuss the application of habitat suitability mapping and home range requirements for bobcat conservation and landscape scale management.

Vermont↗