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Applications of research from the U.S. Geological Survey program, assessment of regional earthquake hazards and risk along the Wasatch Front, Utah

INTERACTIVE WORKSHOPS: ESSENTIAL ELEMENTS OF THE EARTHQUAKE HAZARDS RESEARCH AND REDUCTION PROGRAM IN THE WASATCH FRONT, UTAH: Interactive workshops provided the forum and stimulus necessary to foster collaboration among the participants in the multidisciplinary, 5-yr program of earthquake hazards reduction in the Wasatch Front, Utah. The workshop process validated well-documented social science theories on the importance of interpersonal interaction, including interaction between researchers and users of research to increase the probability that research will be relevant to the user's needs and, therefore, more readily used. REDUCING EARTHQUAKE HAZARDS IN UTAH: THE CRUCIAL CONNECTION BETWEEN RESEARCHERS AND PRACTITIONERS: Complex scientific and engineering studies must be translated for and transferred to nontechnical personnel for use in reducing earthquake hazards in Utah. The three elements needed for effective translation, likelihood of occurrence, location, and severity of potential hazards, and the three elements needed for effective transfer, delivery, assistance, and encouragement, are described and illustrated for Utah. The importance of evaluating and revising earthquake hazard reduction programs and their components is emphasized. More than 30 evaluations of various natural hazard reduction programs and techniques are introduced. This report was prepared for research managers, funding sources, and evaluators of the Utah earthquake hazard reduction program who are concerned about effectiveness. An overview of the Utah program is provided for those researchers, engineers, planners, and decisionmakers, both public and private, who are committed to reducing human casualties, property damage, and interruptions of socioeconomic systems. PUBLIC PERCEPTIONS OF THE IMPLEMENTATION OF EARTHQUAKE MITIGATION POLICIES ALONG THE WASATCH FRONT IN UTAH: The earthquake hazard potential along the Wasatch Front in Utah has been well defined by a number of scientific and engineering studies. Translated earthquake hazard maps have also been developed to identify areas that are particularly vulnerable to various causes of damage such as ground shaking, surface rupturing, and liquefaction. The implementation of earthquake hazard reduction plans are now under way in various communities in Utah. The results of a survey presented in this paper indicate that technical public officials (planners and building officials) have an understanding of the earthquake hazards and how to mitigate the risks. Although the survey shows that the general public has a slightly lower concern about the potential for economic losses, they recognize the potential problems and can support a number of earthquake mitigation measures. The study suggests that many community groups along the Wasatch Front, including volunteer groups, business groups, and elected and appointed officials, are ready for action-oriented educational programs. These programs could lead to a significant reduction in the risks associated with earthquake hazards. A DATA BASE DESIGNED FOR URBAN SEISMIC HAZARDS STUDIES: A computerized data base has been designed for use in urban seismic hazards studies conducted by the U.S. Geological Survey. The design includes file structures for 16 linked data sets, which contain geological, geophysical, and seismological data used in preparing relative ground response maps of large urban areas. The data base is organized along relational data base principles. A prototype urban hazards data base has been created for evaluation in two urban areas currently under investigation: the Wasatch Front region of Utah and the Puget Sound area of Washington. The initial implementation of the urban hazards data base was accomplished on a microcomputer using dBASE III Plus software and transferred to minicomputers and a work station. A MAPPING OF GROUND-SHAKING INTENSITIES FOR SALT LAKE COUNTY, UTAH: This paper documents the development of maps showing a

Professional Paper↗

Synopsis of wetland functions and values: bottomland hardwoods with special emphasis on eastern Texas and Oklahoma

Bottomland hardwood wetlands are the natural cover type of many floodplain ecosystems in the southeastern United States. They are dynamic, productive systems that depend on intermittent flooding and moving water for maintenance of structure and function. Many of the diverse functions performed by bottomland hardwoods (e.g., flood control, sediment trapping, fish and wildlife habitat) are directly or indirectly valued by humans. Balanced decisions regarding bottomland hardwoods are often hindered by a limited ability to accurately specify the functions being performed by these systems and, furthermore, by an inability to evaluate these functions in economic terms. This report addresses these informational needs. It focuses on the bottomland hardwoods of eastern Texas and Oklahoma, serving as an introduction and entry to the literature. It is not intended to serve as a substitute for reference to the original literature. The first section of the report is a review of the major functions of bottomland hardwoods, grouped under the headings of hydrology, water quality, productivity, detritus, nutrients, and habitat. Although the hydrology of these areas is diverse and complex, especially with respect to groundwater, water storage at high flows can clearly function to attenuate peak flows, with possible reductions in downstream flooding damage. Water moving through a bottomland hardwood system carries with it various organic and inorganic constituents, including sediment, organic matter, nutrients, and pollutants. When waterborne materials are introduced to bottomland hardwoods (from river flooding or upland runoff), they may be retained, transformed, or transported. As a result, water quality may be significantly altered and improved. The fluctuating and flowing water regime of bottomland hardwoods is associated with generally high net primary productivity and rapid fluxes of organic matter and nutrients. These, in turn, support secondary productivity in the bottomland hardwoods and downstream through detrital export. A large number of studies detail the extensive utilization of bottomland hardwoods by animals. Several basic habitat components contribute to this support function, including: 1. Fluctuating water levels and permanent bodies of water, 2. Hard mast (e.g., acorns), 3. Dens and cavities, 4. High soil fertility, 5. Diversity of food and cover, 6. Predominance of woody plant communities, 7. Close proximity of diverse structural features, and 8. Linear features providing movement corridors. The second section of the report focuses on the bottomlands of eastern Texas and Oklahoma, including topics such as climate, soils, water resources, historical perspective, vegetation, and fauna. Considerable attention is given to structural characteristics in this section, in order to provide contrasts with bottomland hardwood ecosystems in other areas. In general, the bottomland hardwoods of eastern Texas and Oklahoma are very similar to those elsewhere in the southeastern United States. Differences include the occurrence and relative importance of some community types and plant species and the greater importance of reservoir construction as a source of bottomland hardwoods loss in eastern Texas and Oklahoma. Again, information on faunal utilization is extensive relative to the information available concerning other functions.

Oklahoma;Texas↗

Comparisons of likelihood and machine learning methods of individual classification

Classification methods used in machine learning (e.g., artificial neural networks, decision trees, and k -nearest neighbor clustering) are rarely used with population genetic data. We compare different nonparametric machine learning techniques with parametric likelihood estimations commonly employed in population genetics for purposes of assigning individuals to their population of origin (“assignment tests”). Classifier accuracy was compared across simulated data sets representing different levels of population differentiation (low and high F ST ), number of loci surveyed (5 and 10), and allelic diversity (average of three or eight alleles per locus). Empirical data for the lake trout ( Salvelinus namaycush ) exhibiting levels of population differentiation comparable to those used in simulations were examined to further evaluate and compare classification methods. Classification error rates associated with artificial neural networks and likelihood estimators were lower for simulated data sets compared to k -nearest neighbor and decision tree classifiers over the entire range of parameters considered. Artificial neural networks only marginally outperformed the likelihood method for simulated data (0–2.8% lower error rates). The relative performance of each machine learning classifier improved relative likelihood estimators for empirical data sets, suggesting an ability to “learn” and utilize properties of empirical genotypic arrays intrinsic to each population. Likelihood-based estimation methods provide a more accessible option for reliable assignment of individuals to the population of origin due to the intricacies in development and evaluation of artificial neural networks. In recent years, characterization of highly polymorphic molecular markers such as mini- and microsatellites and development of novel methods of analysis have enabled researchers to extend investigations of ecological and evolutionary processes below the population level to the level of individuals (e.g., Bowcock et al. 1994 ; Estoup and Angers 1998 ; Jarne and Lagoda 1996 ). Analyses of individual-based genotypic information could substantially improve our understanding of evolutionary phenomena and contribute to effective management of natural populations (review in Bernatchez and Duchesne 2000 ). The use of individual-based methods remained largely unexplored in animal populations until recently due to a lack of highly polymorphic markers ( Bernatchez and Duchesne 2000 ; Smouse and Chevillon 1998 ). Traditional analytical methods in population genetics rely almost exclusively on descriptors of genetic characterizations of populations ( Bernatchez and Duchesne 2000 ) and not on individual genotypes. “Assignment tests” are designed to determine population membership for individuals. One particular application based on a likelihood estimate (LE) was introduced by Paetkau et al. (1995 ; see also Vásquez-Domínguez et al. 2001) to assign an individual to the population of origin on the basis of multilocus genotype and expectations of observing this genotype in each potential source population. The LE approach can be implemented statistically in a Bayesian framework as a convenient way to evaluate hypotheses of plausible genealogical relationships (e.g., that an individual possesses an ancestor in another population) ( Dawson and Belkhir 2001 ; Pritchard et al. 2000 ; Rannala and Mountain 1997 ). Other studies have evaluated the confidence of the assignment ( Almudevar 2000 ) and characteristics of genotypic data (e.g., degree of population divergence, number of loci, number of individuals, number of alleles) that lead to greater population assignment ( Bernatchez and Duchesne 2000 ; Cornuet et al. 1999 ; Haig et al. 1997 ; Shriver et al. 1997; Smouse and Chevillon 1998 ). Main statistical and conceptual differences between methods leading to the use of an assignment test are given in, for example, Cornuet et al. (1999) and Rosenberg et al. (2001) . However, the relative power of those tests has certainly not been fully appreciated and empirical comparisons are scarce ( Eldridge et al. 2001 ). Assignment tests can also be considered as surrogates at the individual level (sensu Hansen et al. 2001a ) for other statistical tools developed earlier, such as mixed-stock analysis (e.g., Pella and Masuda 2001 ; Pella and Milner 1987 ). Detailed theoretical comparison of the interests and limitations of both methods are still lacking, but empirical studies have revealed correlations between outputs of methods ( Knutsen et al. 2001 ; Potvin and Bernatchez 2001 ). Assignment tests have been widely used in different applications, including determination of degree of population differentiation or to establish the relationship among individuals within and among various taxonomic groupings (e.g., Bogdanowicz et al. 1997 ; Koskinen et al. 2001 ; Marshall et al. 2000 ; Müller 2000 ; Neraas and Spruell 2001 ; Nielsen et al. 2001b ; Polzhien et al. 2000 ; Primmer et al. 1999 ; Roeder et al. 2001 ; Roques et al. 1999 ; Schulte-Hostedde et al. 2001 ; Sefc et al. 2000 ; Spidle et al. 2001 ; Vásquez-Domínguez et al. 2001 ), including hybrids (e.g., Beaumont et al. 2001 ; Congiu et al. 2001 ; Randi et al. 2001 ), introgressed individuals (e.g., Martinez et al. 2001 ; Randi and Lucchini 2002 ), and ecotypes (e.g., Taylor et al. 2000 ). Applications of assignment tests also include [human] forensics (e.g., Evett and Weir 1998 ; Primmer et al. 2000 ), identification and/or source of dispersers (e.g., Davies et al. 1999 ; Eldridge et al. 2001 ; Galbusera et al. 2000 ; Petersson et al. 2001 ; Tsutsui et al. 2001 ; Vasemägi et al. 2001), phylogeographical analyses (e.g., King et al. 2001 ; Zeisset and Beebee 2001 ), and the evaluation of the contribution of stocked individuals to natural populations (e.g., Fritzner et al. 2001 ; Hansen et al. 2000 , 2001b ) and of supportive breeding programs ( Nielsen et al. 2001a ; Olsen et al. 2000 ). Fish are among the organisms that have received considerable attention using such tools (see Hansen et al. [2001a] for a review). Moreover, these techniques are now used for profiles of traits outside the limited scope of population genetics ( Thorrold et al. 2001 ). Methods of classification vary widely based on several criteria (e.g., Jain et al. 2000 ) ( Figure 1 ). Two basic classification processes are traditionally recognized in machine learning: supervised classifiers and unsupervised classifiers ( Figure 1 ; e.g., Duda et al. 2000 ; Jain et al. 2000 ). Supervised classifiers represent a group of methods whereby individual assignment is made to predefined classes (i.e., populations of origin). Unsupervised classification classes are unknown and are defined a posteriori on the basis of the degree of difference or similarity in attributes characterized from sampled individuals. Clustering methods (e.g., multidimensional scaling, principal component analysis) are examples of unsupervised classification. Applications of assignment testing in population genetics first used supervised parametric likelihood-based approaches ( Figure 1 ). Other machine learning classification methods are widely used in the physical and social sciences and in other biological disciplines (e.g. Boddy et al. 2000 ; Leung and Tran 2000 ; Manel et al. 1999 ; Raymer et al. 1997 ). Artificial neural networks (ANNs) are a popular technique used in machine learning (e.g., Boddy and Morris 1999 ; Duda et al. 2000 ; Lek and Guégan 2000 ; Ripley 1996 ). However, while recognized ( Hansen et al. 2001a ), ANN methods rarely have been employed for population genetics applications ( Aurelle 1999 ; Aurelle et al. 1999 ; Cornuet et al. 1996 ; Curtis et al. 2001 ; Giraudel et al. 2000 ; Grigull et al. 2001 ; Taylor et al. 1994 ; Whitler et al. 1994 ). Other popular classification methods in machine learning, such as decision trees (e.g., Bell 1996 , 1999 ; Duda et al. 2000 ; Mitchell 1997 ) and k -nearest neighbor analysis ( k -NN; e.g., Dasarathy 1991 ; Duda et al. 2000 ) have yet to be applied in population genetics ( Figure 1 ). Moreover, there has not been a directed effort to compare machine learning methodologies with the likelihood-based procedures widely used in population genetics. Cornuet et al. (1996) compared the relative merits of ANNs to discriminant analysis in an empirical study involving different populations and subspecies of honeybee ( Apis mellifera ). However, they did not compare LE and ANN supervised classifiers. Aurelle (1999) used the approach of Rannala and Mountain (1997) ( Figure 1 ) and ANN analysis using brown trout ( Salmo trutta ) microsatellite data; however, he did not provide a direct comparison of classification results or accuracies. Hansen et al. (2001a) briefly presented ANNs, but rejected their use without really testing their ability to classify individuals. The objective of this article is to describe several of the more widely used machine learning classifiers that may have utility when used with empirical population genetics data. We compare likelihood-based “assignment tests” ( Paetkau et al. 1995 ) with supervised machine learning classifiers including ANN, decision tree, and a k -NN clustering. Simulations were conducted which estimated and compared the assignment accuracy associated with different classifiers using ranges of parameter values (number of loci, allelic diversity, and interpopulation variance in allele frequency) typically encountered in natural populations. Comparative analyses were extended to empirical examples using lake trout ( Salvelinus namaycush ; Salmonidae).

Journal of Heredity↗

Profiling lunar dust dissolution in aqueous environments: The design concept

Published studies and internal NASA reports indicate that when native lunar dust is suspended in an aqueous solution a variety of metal and other ions are released. This release has implications for future lunar missions, ranging from effects on mission hardware, effects on life support systems, possible direct effects on human health, and effects on research experiments such as plant growth experiments, space biology experiments and any activities that may involve the use of water sourced from the lunar poles. Furthermore, such contaminants could become concentrated or chemically altered to a more hazardous form during a variety of lunar mission activities, including everything from space suit cleaning to lunar industrial materials extraction. The exact profile of the release of ions from lunar dust and the nature of the partially dissolved particles has not been explored. Any model of this dissolution must be based on an understanding of the unique micromorphology of lunar dust, including its glassy nature, agglutinate features, high surface area and the presence of small deposits of elemental iron (nanophase iron) located near the surface of the grain particles. Dust has a very high surface area available for interaction with water. For this reason, on first exposure to water, an immediate pulsed release of ions could occur, with more prolonged release taking place over months or years. The few studies that have been conducted previously have been limited in both the time scales examined and in the selection of ions that were measured. The proposed investigation is a comprehensive materials science investigation, using the most modern analytical tools to catalogue all metals given off from lunar dust in various aqueous solutions and their time profiles of release from the very short term to the very long term. The product of the proposed study will be a comprehensive database determined from NASA curated samples collected from the Apollo landing sites that can be applied to research in both living systems and non-living systems on the moon. The methods developed in the proposed study will also establish standards for analysis of lunar dust samples returned from future manned missions (Artemis and others) and future robotic missions. The knowledge gained from this basic materials science investigation will have broad impact on the design of engineered human safety and health systems.

Acta Astronautica↗

The gap between experts, farmers and non-farmers on perceived environmental vulnerability and the influence of values and beliefs

Science has played a mixed role in guiding conservation and sustainability-oriented decision-making by individuals, policymakers, institutions, and governments. Not all science-based conservation and sustainability initiatives that address issues facing humanity and ecosystems and global problems have gained public support. Conservation decisions and policy prescriptions are and may be based on perceptions about and experiences with the environment, local land use, and ecosystems that may not align with or be grounded in science or evidence from experts in the field. Values, beliefs, and perceptions associated with nature play a critical role in how individuals view biodiversity conservation, sustainability, and natural resource management . This study first examines the gap between experts (scientists and other field experts) and the public (farmers and non-farmers) about the state of water and land resources, wildlife and associated habitats, and aquatic biodiversity in the Smoky Hill River Watershed in western Kansas. Second, the study examines the role that values and beliefs play in shaping environmental perceptions for farmers and non-farmers. Analysis confirms that a gap between experts and farmers/non-farmers does exist, especially with respect to the state of the Ogallala Aquifer, playas, rivers and streams, lakes and reservoirs, native grasslands, wildlife habitats, farmland, native fish populations, and wildlife species. Ordered-logistic regression analyses, meanwhile, indicate that farmer and non-farmer perceptions about the state of the local environment are influenced by traditional and self-interested values, as well as environmental values and beliefs, but less so by religiosity and political ideology. Despite broad takeaways, results exhibited heterogeneity across the farmer and non-farmer subpopulations. If environmental professionals cannot align ecological data, stakeholders’ values/perceptions, and policies, then the existing body of technical research and management on sustainability in natural and social sciences may be of little value.

Journal of Environmental Management↗

Method to characterize inorganic particulates in lung tissue biopsies using field emission scanning electron microscopy

Humans accumulate large numbers of inorganic particles in their lungs over a lifetime. Whether this causes or contributes to debilitating disease over a normal lifespan depends on the type and concentration of the particles. We developed and tested a protocol for in situ characterization of the types and distribution of inorganic particles in biopsied lung tissue from three human groups using field emission scanning electron microscopy (FE-SEM) combined with energy dispersive spectroscopy (EDS). Many distinct particle types were recognized among the 13 000 particles analyzed. Silica, feldspars, clays, titanium dioxides, iron oxides and phosphates were the most common constituents in all samples. Particles were classified into three general groups: endogenous , which form naturally in the body; exogenic particles, natural earth materials; and anthropogenic particles, attributed to industrial sources. These in situ results were compared with those using conventional sodium hypochlorite tissue digestion and particle filtration. With the exception of clays and phosphates, the relative abundances of most common particle types were similar in both approaches. Nonetheless, the digestion/filtration method was determined to alter the texture and relative abundances of some particle types. SEM/EDS analysis of digestion filters could be automated in contrast to the more time intensive in situ analyses.

Toxicology Mechanisms and Methods↗

Slow recovery in desert perennial vegetation following prolonged human disturbance

Questions: How long may it take for desert perennial vegetation to recover from prolonged human disturbance and how do different plant community variables (i.e. diversity, density and cover) change during the recovery process? Location: Sonoran Desert, Arizona, USA. Methods: Since protection from grazing from 1907 onwards, plant diversity, density and cover of perennial species were monitored intermittently on ten 10 m x 10 m permanent plots on Tumamoc Hill, Tucson, Arizona, USA. Results: The study shows an exceptionally slow recovery of perennial vegetation from prolonged heavy grazing and other human impacts. Since protection, overall species richness and habitat heterogeneity at the study site continued to increase until the 1960s when diversity, density and cover had been stabilized. During the same period, overall plant density and cover also increased. Species turnover increased gradually with time but no significant relation between any of the three community variables and precipitation or Palmer Drought Severity Index (PDSI) was detected. Conclusions: It took more than 50 yr for the perennial vegetation to recover from prolonged human disturbance. The increases in plant species richness, density, and cover of the perennial vegetation were mostly due to the increase of herbaceous species, especially palatable species. The lack of a clear relationship between environment (e.g. precipitation) and community variables suggests that site history and plant life history must be taken into account in examining the nature of vegetation recovery processes after disturbance.

Arizona↗

Earthquakes

One of the most frightening and destructive phenomena of nature that man experiences is a severe earthquake and its terrible aftereffects. Since long before man existed, probably for more than 4 billion years, the forces within the Earth that produce earthquakes have played an active role in shaping the Earth's surface. These unpredictable catastrophic movements of the Earth have caused a great number of human casualties and extensive property damage. Today man is challenging the assumption that earthquakes must present an uncontrollable and unpredictable hazard to life and property. Scientists have begun to explore the means of predicting earthquakes. Sites of greatest hazard are being identified, and definite progress is being made in designing structures that will withstand the effects of earthquakes.

General Information Product↗

Size of the California Brown Pelican Metapopulation During a Non-El Nino Year

Overall, we estimated a total metapopulation within the geographical range of the California brown pelican subspecies (Pelecanus occidentalis californicus) as about 70,680 ? 2,640 breeding pairs (mean ? SD). Little change in at least three decades is indicated in the total metapopulation south of the Southern California Bight (SCB) subpopulation, but significant improvements in the breeding subpopulation size in the SCB reported elsewhere, support the present high numbers observed in this northernmost subpopulation. The largest breeding aggregation within the entire range (consisting of three immediately adjacent sub-colonies), at the San Lorenzo Archipelago, consisted of about 17,225 breeding pairs, or about 24.4% of the metapopulation in 2006. Other, smaller colonies are no less important, however, although each subpopulation defined by us seemed to have a single or small number of large 'core' breeding colonies, plus many smaller colonies (for example, in 2006, one colony consisted of only 2 breeding pairs). Small colonies (< about 70 nests) comprised about 35.6% of the total occupied colonies, but only about 0.87% of the total estimated numbers (values corrected for detectability). The modal colony-size throughout the range was much smaller (about 230 to 1,300 breeding pairs, depending on subpopulation), indicating that small, scattered colonies and sub-colonies, especially on the range peripheries, function in brown pelican population dynamics and are no less important from a conservation viewpoint. These smaller breeding colonies probably represent some colonies of antiquity, but also range expansions and contractions that occur within the typically-defined metapopulation, and local manifestations of source-sink phenomena. Given such dynamics, even unoccupied islands within the range in 2006 have conservation importance from the viewpoint of such dynamics as potential alternate nesting sites. Natural variations in the estimated population levels seem to be related to the natural cycles of El Ni?o/Southern Oscillation (ENSO) phenomena where very low breeding populations (as low as no nesting in many areas) might be expected to occur in these same areas censused in 2006 at least 40% of the time. From the 2006 aerial survey, extensive commercial and sport-fishing activity, resort/tourist developments and associated human activities along the coastal areas and at offshore islands, and extensive aquacultural (and to a lesser degree, agricultural) developments seen from the Rio Colorado Delta region, Sonora, south at least through San Blas, Nayarit (the southern terminus of our 2006 aerial survey) may result in substantial loss of breeding habitat. Juvenile (young of the 2005 breeding season) plus subadult brown pelicans comprised 28.1% ? 0.33% (mean ? 95% CI) of the total numbers in age-ratio samples. Thus, our overall metapopulation estimate for P. o. californicus in 2006 was 195,900 ? 7,225 individuals.

Open-File Report↗

Eastern equine encephalomyelitis

Eastern equine encephalitis (EEE) is caused by infection with an RNA virus classified in the family Togaviridae. The virus is also referred to as an “arbovirus” because virus replication takes place within mosquitoes that then transmit the disease agent to vertebrate hosts such as birds and mammals, including humans. The term arbovirus is shortened nomenclature for arthropod (insect) borne (transmitted) viruses. Culiseta melanura is the most important mosquito vector; it silently (no disease) transmits and maintains the virus among birds. However, several other mosquito species can transmit this virus, including the introduced Asian tiger mosquito. New hosts become infected when they enter this endemic natural cycle and are fed upon by an infected mosquito. Therefore, the presence of mosquito habitat, the feeding habits of different mosquito species, and the activity patterns of vertebrate hosts are among the important factors for disease transmission.

Information and Technology Report↗

The National Ocean Biodiversity Strategy

President Biden has been clear that the ocean is central to life on Earth. As he has proclaimed, “the ocean powers millions of jobs; feeds and sustains us; and is a rejuvenating source of inspiration, exploration, and recreation.” The Biden-Harris Administration has worked hard to fulfill the President’s goal to protect and conserve at least 30% of U.S. waters by 2030. The ocean faces increased threats from warming, overfishing, increased acidity, and loss of biodiversity. It is now more important than ever to sustain the many benefits that the ocean, coasts, and Great Lakes provide, including food, a favorable climate, recreation, physical and mental health, and for many, a sense of cultural identity. Ocean life represents an irreplaceable heritage, the foundation of a habitable planet, and a vast trove of resources. Keeping our ocean healthy requires reliable information on the changing status of these living organisms, the drivers of biodiversity change, and options for effectively addressing those drivers. Over 2 million species are estimated to live in the ocean, yet only about 240,000 species have been described by scientists. Most of the ocean’s benefits result from those diverse species interacting with one another and the environment they create. To protect and conserve the ocean, we as a nation need to make better use of existing knowledge and prioritize acquiring new biodiversity knowledge to enable better policy and management decisions. The ability to monitor ocean species and habitats has expanded dramatically over the past decade, with innovations in technology, genomics, taxonomy, big data management and sharing, artificial intelligence, and machine learning. Yet large fractions of the U.S. ocean remain almost unknown. The National Ocean Biodiversity Strategy (strategy) reflects the urgent need to leverage these advances. The goals of this strategy must be guided by the nation’s diverse voices and ways of knowing, in order to maximize effective and equitable stewardship of the ocean’s diverse life and its benefits to people. The strategy is intended as a guiding document for government to advance three overarching goals: ● Goal 1: Drive delivery of ocean biodiversity knowledge at the national scale. Objectives include developing an Implementation Plan for achieving the strategy’s three goals; establishing a coordination mechanism to manage the implementation; and documenting gaps in biodiversity knowledge and the benefits of ocean biodiversity to people and economies. ● Goal 2: Strengthen tools and institutions to deliver ocean biodiversity knowledge. Objectives include establishing a robust information pipeline to support indicators and dynamic maps of ocean biodiversity, from the coasts to the deep sea. This pipeline should include expanded observing systems and comprehensive data management; science and technology solutions to accelerate the availability of biodiversity information; and plans to leverage previous investments to rebuild and expand the nation’s human capital and infrastructure to sustain foundational taxonomy and biodiversity science. ● Goal 3: Protect, conserve, restore, and sustainably use ocean biodiversity. Objectives include expanding the collection, delivery, and use of biodiversity knowledge to inform actions that advance ocean protection, conservation, restoration, and sustainable development. Government should lead in establishing and incentivizing diverse partnerships across scales and sectors to implement those actions and should educate and involve the public to discover and value the nation’s diverse ocean life. Achieving these goals will require commitments across society: new federal and private investments, coordination across sectors to address climate and equity challenges, and engagement of Indigenous Knowledge holders and frontline communities as full partners throughout planning and implementation. The Subcommittee on Ocean Science and Technology (SOST) IWG-Biodiversity will begin developing an Implementation Plan to describe and direct specific actions to implement the strategy. Successful implementation of the strategy will harmonize and expand collection and delivery of timely knowledge on ocean life to all of society. The strategy will also enable evidence-based management and protection of the ocean. Advancing the strategy will build human and institutional capital and partnerships that support both existing mandates and new needs to rebuild and sustain biodiversity, achieve healthy ocean ecosystems, and manage living resources. Implementing the strategy will deliver knowledge for monitoring, modeling, forecasting, and assessments that support food security, public health, and cultural values, and that more effectively protect, conserve, and restore nature.

Report↗

Bacterial community diversity and potential eco-physiological roles in toxigenic blooms composed of Microcystis, Aphanizomenon or Planktothrix

Cyanobacterial toxicity, cyanotoxins, and their impact on aquatic ecosystems and human health are well documented. In comparison, less is known about bloom-associated bacterial communities. Co-occurring bacteria can influence bloom development, physiology and collapse, and may also provide a niche for pathogenic bacteria. Existing research focuses on the cyanosphere of Microcystis -dominated blooms, despite the increasing prevalence of filamentous genera ( Aphanizomenon and Planktothrix ). This pilot study aimed to broaden our understanding of the bacterial consortia attached to morphologically distinct cyanobacteria (coccoid and filamentous) dominating phytoplankton communities and to explore their potential roles in amplifying the impacts of cyanobacterial blooms. We investigated four shallow freshwater bodies across three continents and two climate zones: an urban pond in the USA, a dammed reservoir and a natural lake in Poland, and an urban water body in Singapore. Amplicon sequencing (16S rRNA gene) was used to characterize bacterial communities, while shotgun metagenomics identified nitrogen- and phosphorus-cycling genes to infer potential eco-physiological functions. Cyanobacteria dominated bacterioplankton assemblages at all sites (>35.6%), with bloom composition influencing toxigenic profiles. A mixed bloom of Microcystis , Snowella , and Aphanizomenon had the broadest range of cyanotoxin synthetase genes ( mcy E, cyr J, ana F and sxt A). Microcystis blooms correlated with increased Roseomonas , while Planktothrix co-occurred with Flavobacterium – both bacteria likely contribute to nutrient-cycling within blooms and represent potential opportunistic pathogens for aquatic organisms and humans. The Microcystis cyanosphere exhibited the highest number of significant positive correlations with bacteria (19 relations), compared to Planktothrix and Aphanizomenon (11 and 2 relations, respectively). Non-diazotrophic blooms of Microcystis and Planktothrix showed greater abundances of nitrogen – ( ure B, gln A, nar B, and nar HZ) and phosphorus-cycling genes ( pho BHPR and ppk 1), indicating a strong dependence on associated bacteria for nutrient acquisition compared to diazotrophic Aphanizomenon . These findings suggest that Aphanizomenon -dominated blooms may be sustained by simpler microbiomes. Our results provide preliminary evidence of cyanosphere heterogeneity potentially shaped by the dominance or coexistence of three morphologically and eco-physiologically distinct genera of cyanobacteria. A comprehensive knowledge of the taxonomy and functional roles of bloom-associated microbiomes is therefore essential to understand bloom activity, evaluate the environmental threat, and develop effective strategies for prevention and mitigation.

Frontiers in Microbiology↗

Integrating active restoration with environmental flows to improve native riparian tree establishment in the Colorado River Delta

Drastic alterations to river hydrology, land use change, and the spread of the nonnative shrub, tamarisk (Tamarix spp.), have led to the degradation of riparian habitat in the Colorado River Delta in Mexico. Delivery of environmental flows to promote native cottonwood (Populus spp.) and willow (Salix spp.) recruitment in human-impacted riparian systems can be unsuccessful due to flow-magnitude constraints and altered abiotic–biotic feedbacks. In 2014, an experimental pulse flow of water was delivered to the Colorado River in Mexico as part of the U.S.-Mexico binational agreement, Minute 319. We conducted a field experiment to assess the effects of vegetation removal, seed augmentation, and environmental flows, separately and in combination, on germination and first-year seedling establishment of cottonwood, willow, and tamarisk at five replicate sites along 5 river km. The relatively low-magnitude flow deliveries did not substantively restore natural fluvial processes of erosion, sediment deposition, and vegetation scour, but did provide wetted surface soils, shallow groundwater, and low soil salinity. Cottonwood and willow only established in wetted, cleared treatments, and establishment was variable in these treatments due to variable site conditions and inundation duration and timing. Wetted soils, bare surface availability, soil salinity, and seed availability were significant factors contributing to successful cottonwood and willow germination, while soil salinity and texture affected seedling persistence over the growing season. Tamarisk germinated and persisted in a wider range of environmental conditions than cottonwood and willow, including in un-cleared treatment areas. Our results suggest that site management can increase cottonwood and willow recruitment success from low-magnitude environmental flow events, an approach that can be applied in other portions of the Delta and to other human-impacted riparian systems across the world with similar ecological limitations.

Colorado River↗

Intact landscape promotes gene flow and low genetic structuring in the threatened Eastern Massasauga Rattlesnake

Genetic structuring of wild populations is dependent on environmental, ecological, and life-history factors. The specific role environmental context plays in genetic structuring is important to conservation practitioners working with rare species across areas with varying degrees of fragmentation. We investigated fine-scale genetic patterns of the federally threatened Eastern Massasauga Rattlesnake ( Sistrurus catenatus ) on a relatively undisturbed island in northern Michigan, USA. This species often persists in habitat islands throughout much of its distribution due to extensive habitat loss and distance-limited dispersal. We found that the entire island population exhibited weak genetic structuring with spatially segregated variation in effective migration and genetic diversity. The low level of genetic structuring contrasts with previous studies in the southern part of the species’ range at comparable fine scales (~7 km), in which much higher levels of structuring were documented. The island population's genetic structuring more closely resembles that of populations from Ontario, Canada, that occupy similarly intact habitats. Intrapopulation variation in effective migration and genetic diversity likely corresponds to the presence of large inland lakes acting as barriers and more human activity in the southern portion of the island. The observed genetic structuring in this intact landscape suggests that the Eastern Massasauga is capable of sufficient interpatch movements to reduce overall genetic structuring and colonize new habitats. Landscape mosaics with multiple habitat patches and localized barriers (e.g., large water bodies or roads) will promote gene flow and natural colonization for this declining species.

Michigan↗

Secondary forest within a timber plantation concession in Borneo contributes to a diverse mammal assemblage

Commercial tree plantations of fast-growing species have become increasingly important in Southeast Asia to meet global demand for wood and wood fiber products. There is a growing need to understand more about their value for wildlife and how they can be managed for biodiversity. We evaluated the effects of landscape attributes on mammal communities in a timber concession consisting of 83 % secondary forest and 17 % tree plantations in northern Sabah, Malaysia. Using camera traps, we compared mammalian species assemblages of secondary forest and commercial tree plantation stands and identified habitat predictors associated with total mammal species detections and species richness in the landscape mosaic. We used 87 camera stations deployed for 23 days across two major land-use types: 62 sites in secondary forest (previously logged natural forest) and 25 sites in tree plantations. We evaluated variation in species richness in these two major land-use categories and assessed the effects of natural and anthropogenic predictors on variation in total mammal detections and species richness. We detected at least 23 large and medium-sized mammal species over 2035 trap nights. Fourteen of those species were classified as threatened or near-threatened by the International Union for the Conservation of Nature. Rarefaction did not reveal differences in mammal species richness or diversity between camera sites placed in tree plantations and secondary forests, likely because most camera sites in tree plantations were close to secondary forest and comprised < 30 % of all sites. However, generalized linear models indicated lower mammal diversity as proportions of tree plantation and proximity to human settlements increased. Total mammal records, including those of threatened mammals, increased with greater proportions of secondary forest. Retention of larger tracts of secondary forest around plantation areas appears to be important to maintain mammalian species richness and contributes to the conservation value of commercial timber plantations. These findings may assist in the management of mammals of conservation concern and implementation of adaptive management plans to enhance biodiversity conservation in commercial plantations.

Global Ecology and Conservation↗

Taming wildlife disease: bridging the gap between science and management

1.Parasites and pathogens of wildlife can threaten biodiversity, infect humans and domestic animals, and cause significant economic losses, providing incentives to manage wildlife diseases. Recent insights from disease ecology have helped transform our understanding of infectious disease dynamics and yielded new strategies to better manage wildlife diseases. Simultaneously, wildlife disease management (WDM) presents opportunities for large-scale empirical tests of disease ecology theory in diverse natural systems. 2.To assess whether the potential complementarity between WDM and disease ecology theory has been realized, we evaluate the extent to which specific concepts in disease ecology theory have been explicitly applied in peer-reviewed WDM literature. 3.While only half of WDM articles published in the past decade incorporated disease ecology theory, theory has been incorporated with increasing frequency over the past 40 years. Contrary to expectations, articles authored by academics were no more likely to apply disease ecology theory, but articles that explain unsuccessful management often do so in terms of theory. 4.Some theoretical concepts such as density-dependent transmission have been commonly applied, whereas emerging concepts such as pathogen evolutionary responses to management, biodiversity–disease relationships and within-host parasite interactions have not yet been fully integrated as management considerations. 5.Synthesis and applications. Theory-based disease management can meet the needs of both academics and managers by testing disease ecology theory and improving disease interventions. Theoretical concepts that have received limited attention to date in wildlife disease management could provide a basis for improving management and advancing disease ecology in the future.

Journal of Applied Ecology↗

Updates to the Madison Lake (Minnesota) CE–QUAL–W2 water-quality model for assessing algal community dynamics

A previously developed CE–QUAL–W2 model for Madison Lake, Minnesota, simulated the algal community dynamics, water quality, and fish habitat suitability of Madison Lake under recent (2014) meteorological conditions. Additionally, this previously developed model simulated the complex interplay between external nutrient loading, internal nutrient loading from sediment release of phosphorus, and the organic matter decomposition of the algal biomass. However, the partitioning of Cyanophyta within the modeling framework was simplified to one group and did not account for how different Cyanophyta populations are affected by light conditions, use of nitrogen, temperature growth ranges, and differences in settling rates. Properly capturing Cyanophyta dynamics is important given the potential risks posed by potential large algal blooms. For example, when Cyanophyta form large blooms, recreational activities can become restricted in certain areas because of thick algal scums or algal mats, in addition to the possible production of a class of toxins, known as cyanotoxins, capable of threatening human health, domestic animals, and wildlife. Therefore, we updated the model to partition the Cyanophyta into a group that fixed nitrogen and a second, more buoyant Cyanophyta group that did not independently fix nitrogen. The U.S. Geological Survey, in cooperation with the St. Croix Watershed Research Station (Science Museum of Minnesota) with support from the Environmental and Natural Resources Trust Fund of Minnesota (Legislative-Citizen Commission on Minnesota Resources), updated the Madison Lake CE–QUAL–W2 model to address the shortcomings of simulating Cyanophyta in the previously developed model and better characterize Cyanophyta into two groups. In addition to updating the Cyanophyta group differentiation, the part of the model that handles the simulation of algal community dynamics was updated while preserving model predictive capabilities for nutrients, water temperature, and dissolved oxygen. The calibration and validation of the model was done under recent meteorological conditions with large and persistent Cyanophyta blooms (2014 and 2016). Overall, the model simulations predicted the persistently large total phosphorus concentrations in the hypolimnion of Madison Lake and key differences in nutrient concentrations between 2014 and 2016. The Cyanophyta bloom persistence throughout the summer was also simulated by the model in 2014 and 2016, a critical goal of the model update. Finally, monthly total phosphorus budgets were calculated for the updated Madison Lake model for 2014 and 2016.

Minnesota↗

Global environmental databases from CEOS agencies

The Committee on Earth Observation Satellites (CEOS) is an international organization charged with coordinating international civil spaceborne missions designed to observe and study planet Earth. Comprising 44 space agencies and other national and international organizations, CEOS is recognized as the major international forum for the coordination of Earth observation satellite programs and for the interaction of these programs with users of satellite data worldwide. CEOS was created in 1984 in response to a recommendation from the Economic Summit of Industrialized Nations Working Group on Growth, Technology, and Employment’s Panel of Experts on Satellite Remote Sensing. This group recognized the multidisciplinary nature of satellite Earth observation and the value of coordination across all proposed missions. The CEOS members collect, maintain, apply, and make available data from space missions that encompass the atmospheric, terrestrial, and oceanographic fields. Collectively, these members possess petabytes of Earth observation data critical to understanding the Earth environment. Uses include monitoring oil slicks, evaluating human-induced changes to the atmosphere, determining mineral exploration areas, assessing the environmental effects of volcanic eruptions, measuring the growth of urban areas, determining where landscapes have changed because of urban growth trends, improving the efficiency of fishing as a world food stock, monitoring pest infestation, managing crop production, predicting climate and weather, and numerous other applications vital to industry, national infrastructures, and the world as a whole. The vast amount of satellite obtained, environmental data the CEOS members possess represents a fertile resource for researchers worldwide to exploit.

Conference Paper↗