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At least 1,657 records · Page 92Linked to original sources

Cascadia subducting plate fluids channelled to fore-arc mantle corner: ETS and silica deposition

In this study we first summarize the constraints that on the Cascadia subduction thrust, there is a 70 km gap downdip between the megathrust seismogenic zone and the Episodic Tremor and Slip (ETS) that lies further landward; there is not a continuous transition from unstable to conditionally stable sliding. Seismic rupture occurs mainly offshore for this hot subduction zone. ETS lies onshore. We then suggest what does control the downdip position of ETS. We conclude that fluids from dehydration of the downgoing plate, focused to rise above the fore-arc mantle corner, are responsible for ETS. There is a remarkable correspondence between the position of ETS and this corner along the whole margin. Hydrated mineral assemblages in the subducting oceanic crust and uppermost mantle are dehydrated with downdip increasing temperature, and seismic tomography data indicate that these fluids have strongly serpentinized the overlying fore-arc mantle. Laboratory data show that such fore-arc mantle serpentinite has low permeability and likely blocks vertical expulsion and restricts flow updip within the underlying permeable oceanic crust and subduction shear zone. At the fore-arc mantle corner these fluids are released upward into the more permeable overlying fore-arc crust. An indication of this fluid flux comes from low Poisson's Ratios (and V p / V s ) found above the corner that may be explained by a concentration of quartz which has exceptionally low Poisson's Ratio. The rising fluids should be silica saturated and precipitate quartz with decreasing temperature and pressure as they rise above the corner.

Journal of Geophysical Research↗

Twentieth century warming of the tropical Atlantic captured by Sr-U paleothermometry

Coral skeletons are valuable archives of past ocean conditions. However, interpretation of coral paleotemperature records is confounded by uncertainties associated with single-element ratio thermometers, including Sr/Ca. A new approach, Sr-U, uses U/Ca to constrain the influence of Rayleigh fractionation on Sr/Ca. Here we build on the initial Pacific Porites Sr-U calibration to include multiple Atlantic and Pacific coral genera from multiple coral reef locations spanning a temperature range of 23.15–30.12°C. Accounting for the wintertime growth cessation of one Bermuda coral, we show that Sr-U is strongly correlated with the average water temperature at each location ( r 2 = 0.91, P < 0.001, n = 19). We applied the multispecies spatial calibration between Sr-U and temperature to reconstruct a 96 year long temperature record at Mona Island, Puerto Rico, using a coral not included in the calibration. Average Sr-U derived temperature for the period 1900–1996 is within 0.12°C of the average instrumental temperature at this site and captures the twentieth century warming trend of 0.06°C per decade. Sr-U also captures the timing of multiyear variability but with higher amplitude than implied by the instrumental data. Mean Sr-U temperatures and patterns of multiyear variability were replicated in a second coral in the same grid box. Conversely, Sr/Ca records from the same two corals were inconsistent with each other and failed to capture absolute sea temperatures, timing of multiyear variability, or the twentieth century warming trend. Our results suggest that coral Sr-U paleothermometry is a promising new tool for reconstruction of past ocean temperatures.

Puerto Rico↗

Contrasting volcanism in Hawaiʻi and the Galápagos

The archipelagos of Hawai&lsquo;i and the Gal&aacute;pagos originated at mantle hotspots, yet the volcanoes that make up the island chains differ in most respects. Some of the most important differences include the dynamics of magma supply, characteristics of magma storage and transport, morphology, and compositional and structural evolution. Of particular significance in the Gal&aacute;pagos is the lack of well-developed rift zones, which may be related to higher rates of pre-eruptive inflation compared to Hawai&lsquo;i, and the absence of widespread flank instability&mdash;a common feature of Hawai&lsquo;i's volcanoes. The close proximity of the Gal&aacute;pagos to a mid-ocean-ridge system may account for many of the differences between Hawaiian and Gal&aacute;pagos volcanoes. The Gal&aacute;pagos archipelago is built on young, thin oceanic crust, which might allow for contemporaneous growth of numerous volcanoes, and its volcanoes are fed by a mix of plume and asthenospheric melt sources. Hawaiian volcanoes, in contrast, grew in the middle of the Pacific Plate on older, thicker crust, where localized changes in mantle and lithosphere structure and composition did not exert dominant control over volcano evolution.

Book chapter↗

Basins in ARC-continental collisions

Arc-continent collisions occur commonly in the plate-tectonic cycle and result in rapidly formed and rapidly collapsing orogens, often spanning just 5-15 My. Growth of continental masses through arc-continent collision is widely thought to be a major process governing the structural and geochemical evolution of the continental crust over geologic time. Collisions of intra-oceanic arcs with passive continental margins (a situation in which the arc, on the upper plate, faces the continent) involve a substantially different geometry than collisions of intra-oceanic arcs with active continental margins (a situation requiring more than one convergence zone and in which the arc, on the lower plate, backs into the continent), with variable preservation potential for basins in each case. Substantial differences also occur between trench and forearc evolution in tectonically erosive versus tectonically accreting margins, both before and after collision. We examine the evolution of trenches, trench-slope basins, forearc basins, intra-arc basins, and backarc basins during arc-continent collision. The preservation potential of trench-slope basins is low; in collision they are rapidly uplifted and eroded, and at erosive margins they are progressively destroyed by subduction erosion. Post-collisional preservation of trench sediment and trench-slope basins is biased toward margins that were tectonically accreting for a substantial length of time before collision. Forearc basins in erosive margins are usually floored by strong lithosphere and may survive collision with a passive margin, sometimes continuing sedimentation throughout collision and orogeny. The low flexural rigidity of intra-arc basins makes them deep and, if preserved, potentially long records of arc and collisional tectonism. Backarc basins, in contrast, are typically subducted and their sediment either lost or preserved only as fragments in melange sequences. A substantial proportion of the sediment derived from collisional orogenesis ends up in the foreland basin that forms as a result of collision, and may be preserved largely undeformed. Compared to continent-continent collisional foreland basins, arc-continent collisional foreland basins are short-lived and may undergo partial inversion after collision as a new, active continental margin forms outboard of the collision zone and the orogen whose load forms the basin collapses in extension.

Book chapter↗

Surface detection probability of leatherback turtles at the Rio de La Plata and its Maritime Front: Implications for density estimates

The Río de la Plata and its Maritime Front (RLPMF) serve as a key, seasonal feeding area for leatherback sea turtles ( Dermochelys coriacea ) in the Southwestern Atlantic Ocean. While leatherback turtles can be frequently observed in these waters, there is little data on regional abundances and relative densities, which hinders threat assessments and the development of effective conservation strategies. Consequently, given that in this region parameters needed for in-water leatherback turtle density estimates have not been previously published, the objective of this study was to investigate the surface availability bias, g(0). This parameter requires region-specific considerations for factors like aggregation behaviour and environmental conditions. To address these gaps, our study assessed leatherback turtle aggregations in the RLPMF using satellite tag data and direct drone observations. Through satellite tracking, surfacing behaviour data of six leatherback turtles, g(0) was estimated to be 0.3183. This analysis represents the first of its kind in the region, providing an important contribution to sea turtle conservation studies. It enables substantial progress in characterising surface time, which is essential for understanding leatherback diving and surface behaviour in the region and for improving relative density estimates in the Southwestern Atlantic Ocean. Furthermore, this contribution represents a resource for planning more effective conservation strategies to mitigate threats and promote population recovery.

Río de la Plata and its Maritime Front↗

Black Scoter habitat use along the southeastern coast of the United States

While the Atlantic Coast of the United States and Canada is a major wintering area for sea ducks, knowledge about their wintering habitat use is relatively limited. Black Scoters have a broad wintering distribution and are the only open water species of sea duck that is abundant along the southeastern coast of the United States. Our study identified variables that affected Black Scoter ( Melanitta americana ) distribution and abundance in the Atlantic Ocean along the southeastern coast of the United States. We used aerial survey data from 2009 to 2012 provided by the United States Fish and Wildlife Service to identify variables that influenced Black Scoter distribution. We used indicator variable selection to evaluate relationships between Black Scoter habitat use and a variety of broad- and fine-scale oceanographic and weather variables. Average time between waves, ocean floor slope, and the interaction of bathymetry and distance to shore had the strongest association with southeastern Black Scoter distribution.

Florida, Georgia, North Carolina, South Carolina, ↗

Carbon dynamics of river corridors and the effects of human alterations

Research in stream metabolism, gas exchange, and sediment dynamics indicates that rivers are an active component of the global carbon cycle and that river form and process can influence partitioning of terrestrially derived carbon among the atmosphere, geosphere, and ocean. Here we develop a conceptual model of carbon dynamics (inputs, outputs, and storage of organic carbon) within a river corridor, which includes the active channel and the riparian zone. The exchange of carbon from the channel to the riparian zone represents potential for storage of transported carbon not included in the “active pipe” model of organic carbon (OC) dynamics in freshwater systems. The active pipe model recognizes that river processes influence carbon dynamics, but focuses on CO 2 emissions from the channel and eventual delivery to the ocean. We also review how human activities directly and indirectly alter carbon dynamics within river corridors. We propose that dams create the most significant alteration of carbon dynamics within a channel, but that alteration of riparian zones, including the reduction of lateral connectivity between the channel and riparian zone, constitutes the most substantial change of carbon dynamics in river corridors. We argue that the morphology and processes of a river corridor regulate the ability to store, transform, and transport OC, and that people are pervasive modifiers of river morphology and processes. The net effect of most human activities, with the notable exception of reservoir construction, appears to be that of reducing the ability of river corridors to store OC within biota and sediment, which effectively converts river corridors to OC sources rather than OC sinks. We conclude by summarizing knowledge gaps in OC dynamics and the implications of our findings for managing OC dynamics within river corridors.

Ecological Monographs↗

Piping plovers demonstrate regional differences in nesting habitat selection patterns along the U.S. Atlantic coast

Habitat studies that encompass a large portion of a species’ geographic distribution can explain characteristics that are either consistent or variable, further informing inference from more localized studies and improving management successes throughout the range. We identified landscape characteristics at Piping Plover nests at 21 sites distributed from Massachusetts to North Carolina and compared habitat selection patterns among the three designated U.S. recovery units (New England, New York–New Jersey, and Southern). Geomorphic setting, substrate type, and vegetation type and density were determined in situ at 928 Piping Plover nests (hereafter, used resource units) and 641 random points (available resource units). Elevation, beach width, Euclidean distance to ocean shoreline, and least-cost path distance to low-energy shorelines with moist substrates (commonly used as foraging habitat) were associated with used and available resource units using remotely sensed spatial data. We evaluated multivariate differences in habitat selection patterns by comparing recovery unit-specific Bayesian networks. We then further explored individual variables that drove disparities among Bayesian networks using resource selection ratios for categorical variables and Welch’s unequal variances t-tests for continuous variables. We found that relationships among variables and their connections to habitat selection were similar among recovery units, as seen in commonalities in Bayesian network structures. Furthermore, nesting Piping Plovers consistently selected mixed sand and shell, gravel, or cobble substrates as well as areas with sparse or no vegetation, irrespective of recovery unit. However, we observed significant differences among recovery units in the elevations, distances to ocean, and distances to low-energy shorelines of used resource units. Birds also exhibited increased selectivity for overwash habitats and for areas with access to low-energy shorelines along a latitudinal gradient from north to south. These results have important implications for conservation and management, including assessment of shoreline stabilization and habitat restoration planning as well as forecasting effects of climate change.

Connecticut, Delaware, Maryland, Massachusetts, ne↗

Telemetry reveals migratory drivers and disparate space use across seasons and age-groups in American horseshoe crabs

Identifying mechanisms that underpin animal migration patterns and examining variability in space use within populations is crucial for understanding population dynamics and management implications. In this study, we quantified the migration rates, seasonal changes in migratory connectivity, and residency across population demographics (age and sex) to understand the proximate cues of migration timing in American horseshoe crabs ( Limulus polyphemus ). Juvenile ( n = 25) and adult ( n = 70) horseshoe crabs were tracked with acoustic telemetry techniques for a 3-yr period in Moriches Bay, NY. Connectivity metrics and residency probability were quantified through spatial network analysis and empirically derived Markov Chain models (EDMC), respectively. The migratory probability of adult horseshoe crabs between Moriches Bay and the Atlantic Ocean was estimated to be 41.0% (95% CI: 34.0–59.8); in contrast, only 8% (95% CI: 1.2–31.6) of juveniles migrated into the ocean. Migration timing was influenced by the interaction of photoperiod and temperature, revealing seasonal differences in migration timing and a 50% narrower range of photoperiod and temperature over which fall migrations occurred compared to spring. Sex-specific differences in space use and connectivity within each season were largely absent; however, centralized habitats were important for maintaining connectivity across all seasons. EDMC results revealed that when standardized to the number of horseshoe crab detections on each receiver, the centrally located habitats in Moriches Bay and Inlet accounted for >50% of the total relative residency probability within most seasons, indicating these areas may be preferred by adult horseshoe crabs. Ontogenetic differences in maximum spatial extent, space use, and connectivity were observed in the bay, as juveniles exhibited lower linkages between locations ( n = 4) relative to adults ( n = 13) during the same temporal period. Our work highlights the application of novel quantitative approaches for addressing the movement dynamics of horseshoe crabs that can be readily applied to other taxa in the context of wildlife conservation.

New York↗

Upwelling buffers climate change impacts on coral reefs of the eastern tropical Pacific

Corals of the eastern tropical Pacific live in a marginal and oceanographically dynamic environment. Along the Pacific coast of Panamá, stronger seasonal upwelling in the Gulf of Panamá in the east transitions to weaker upwelling in the Gulf of Chiriquí in the west, resulting in complex regional oceanographic conditions that drive differential coral-reef growth. Over millennial timescales, reefs in the Gulf of Chiriquí recovered more quickly from climatic disturbances compared with reefs in the Gulf of Panamá. In recent decades, corals in the Gulf of Chiriquí have also had higher growth rates than in the Gulf of Panamá. As the ocean continues to warm, however, conditions could shift to favor the growth of corals in the Gulf of Panamá, where upwelling may confer protection from high-temperature anomalies. Here we describe the recent spatial and temporal variability in surface oceanography of nearshore environments in Pacific Panamá and compare those conditions with the dynamics of contemporary coral-reef communities during and after the 2016 coral-bleaching event. Although both gulfs have warmed significantly over the last 150 yr, the annual thermal maximum in the Gulf of Chiriquí is increasing faster, and ocean temperatures there are becoming more variable than in the recent past. In contrast to historical trends, we found that coral cover, coral survival, and coral growth rates were all significantly higher in the Gulf of Panamá. Corals bleached extensively in the Gulf of Chiriquí following the 2015–2016 El Niño event, whereas upwelling in the Gulf of Panamá moderated the high temperatures caused by El Niño, allowing the corals largely to escape thermal stress. As the climate continues to warm, upwelling zones may offer a temporary and localized refuge from the thermal impacts of climate change, while reef growth in the rest of the eastern tropical Pacific continues to decline.

Gulf of Chiriqui, Gulf of Panama↗

The behaviour of 39 pesticides in surface waters as a function of scale

A portion of applied pesticides runs off agricultural fields and is transported through surface waters. In this study, the behaviour of 39 pesticides is examined as a function of scale across 14 orders of magnitude from the field to the ocean. Data on pesticide loads in streams from two US Geological Survey programs were combined with literature data from field and watershed studies. The annual load as percent of use (LAPU) was quantified for each of the fields and watersheds and was used as the normalization factor across watersheds and compounds. The in-stream losses of each pesticide were estimated for a model stream with a 15 day travel time (similar in characteristics to the upper Mississippi River). These estimated in-stream losses agreed well with the observed changes in apparent LAPU values as a function of watershed area. In general, herbicides applied to the soil surface had the greatest LAPU values and minimal in-stream losses. Soil-incorporated herbicides had smaller LAPU values and substantial in-stream losses. Insecticides generally had LAPU values similar to the incorporated herbicides, but had more variation in their in-stream losses. On the basis of the LAPU values of the 39 pesticides as a function of watershed area, a generalized conceptual model of the movement of pesticides from the field to the ocean is suggested. The importance of considering both field runoff and in-stream losses is discussed in relation to interpreting monitoring data and making regulatory decisions.

Hydrological Processes↗

Concentration-discharge relationships reflect chemostatic characteristics of US catchments

Concentration-discharge relationships have been widely used as clues to the hydrochemical processes that control runoff chemistry. Here we examine concentration-discharge relationships for solutes produced primarily by mineral weathering in 59 geochemically diverse US catchments. We show that these catchments exhibit nearly chemostatic behaviour; their stream concentrations of weathering products such as Ca, Mg, Na, and Si typically vary by factors of only 3 to 20 while discharge varies by several orders of magnitude. Similar patterns are observed at the inter-annual time scale. This behaviour implies that solute concentrations in stream water are not determined by simple dilution of a fixed solute flux by a variable flux of water, and that rates of solute production and/or mobilization must be nearly proportional to water fluxes, both on storm and inter-annual timescales. We compared these catchments' concentration-discharge relationships to the predictions of several simple hydrological and geochemical models. Most of these models can be forced to approximately fit the observed concentration-discharge relationships, but often only by assuming unrealistic or internally inconsistent parameter values. We propose a new model that also fits the data and may be more robust. We suggest possible tests of the new model for future studies. The relative stability of concentration under widely varying discharge may help make aquatic environments habitable. It also implies that fluxes of weathering solutes in streams, and thus fluxes of alkalinity to the oceans, are determined primarily by water fluxes. Thus, hydrology may be a major driver of the ocean-alkalinity feedback regulating climate change. Copyright ?? 2009 John Wiley & Sons, Ltd.

Hydrological Processes↗

Annual modulation of non-volcanic tremor in northern Cascadia

Two catalogs of episodic tremor events in northern Cascadia, one from 2006 to 2012 and the other from 1997 to 2011, reveal two systematic patterns of tremor occurrence in southern Vancouver Island: (1) most individual events tend to occur in the third quarter of the year; (2) the number of events in prolonged episodes (i.e., episodic tremor and slip events), which generally propagate to Vancouver Island from elsewhere along the Cascadia subduction zone, is inversely correlated with the amount of precipitation that occurred in the preceding 2 months. We rationalize these patterns as the product of hydrologic loading of the crust of southern Vancouver Island and the surrounding continental region, superimposed with annual variations from oceanic tidal loading. Loading of the Vancouver Island crust in the winter (when the land surface receives ample precipitation) and unloading in the summer tends to inhibit and enhance downdip shear stress, respectively. Quantitatively, for an annually variable surface load, the predicted stress perturbation depends on mantle viscoelastic rheology. A mechanical model of downdip shear stress on the transition zone beneath Vancouver Island—driven predominantly by the annual hydrologic cycle—is consistent with the 1997–2012 tremor observations, with peak-to-peak downdip shear stress of about 0.4 kPa. This seasonal dependence of tremor occurrence appears to be restricted to southern Vancouver Island because of its unique situation as an elongated narrow-width land mass surrounded by ocean, which permits seasonal perturbations in shear stress at depth.

Journal of Geophysical Research B: Solid Earth↗

Seismic evidence for a slab tear at the Puerto Rico Trench

The fore-arc region of the northeast Caribbean plate north of Puerto Rico and the Virgin Islands has been the site of numerous seismic swarms since at least 1976. A 6 month deployment of five ocean bottom seismographs recorded two such tightly clustered swarms, along with additional events. Joint analyses of the ocean bottom seismographs and land-based seismic data reveal that the swarms are located at depths of 50–150 km. Focal mechanism solutions, found by jointly fitting P wave first-motion polarities and S/P amplitude ratios, indicate that the broadly distributed events outside the swarm generally have strike- and dip-slip mechanisms at depths of 50–100 km, while events at depths of 100–150 km have oblique mechanisms. A stress inversion reveals two distinct stress regimes: The slab segment east of 65°W longitude is dominated by trench-normal tensile stresses at shallower depths (50–100 km) and by trench-parallel tensile stresses at deeper depths (100–150 km), whereas the slab segment west of 65°W longitude has tensile stresses that are consistently trench normal throughout the depth range at which events were observed (50–100 km). The simple stress pattern in the western segment implies relatively straightforward subduction of an unimpeded slab, while the stress pattern observed in the eastern segment, shallow trench-normal tension and deeper trench-normal compression, is consistent with flexure of the slab due to rollback. These results support the hypothesis that the subducting North American plate is tearing at or near these swarms. The 35 year record of seismic swarms at this location and the recent increase in seismicity suggest that the tear is still propagating.

Puerto Rico↗

The land-sea interface: A source of high-quality phytoplankton to support secondary production

Coastal-estuarine systems are among the most productive marine ecosystems and their special role in producing harvestable fish and shellfish has been attributed to high primary production fueled by nutrient runoff from land and efficient trophic transfer. Here we ask if phytoplankton species composition and their food quality based on the percentage of long-chain essential fatty acids (LCEFA) is another factor contributing to high secondary production in these ecosystems. We used long-term measurements of major phytoplankton taxonomic groups and estimated their content of LCEFA along the salinity gradient in coastal-estuarine ecosystems, with emphasis on Chesapeake Bay and the Baltic Sea, and an oceanic transect. Our data show that cyanobacteria with low nutritional quality often dominate at low-salinity regions, while intermediate to higher salinity regions produce diatoms and dinoflagellates that have a higher content of LCEFA and are thus a higher-quality food resource for consumers. Higher salinity regions have less pronounced seasonal changes in the percentage of phytoplankton LCEFA compared to low salinity regions, providing a stable supply of nutritious phytoplankton to consumers. The phytoplankton LCEFA content is similarly high in coastal upwelling systems and it decreases further offshore in oligotrophic oceanic regions dominated by picophytoplankton. Our results from a broad range of coastal-ecosystem types show that ecosystems at the land-sea interface provide a valuable service by producing phytoplankton enriched in the biochemicals essential for consumers. High primary production, coupled with high quality of that production, explain why the production of fish and shellfish is high where land and sea meet.

Limnology and Oceanography↗

Why large cells dominate estuarine phytoplankton

Surveys across the world oceans have shown that phytoplankton biomass and production are dominated by small cells (picoplankton) where nutrient concentrations are low, but large cells (microplankton) dominate when nutrient-rich deep water is mixed to the surface. I analyzed phytoplankton size structure in samples collected over 25 yr in San Francisco Bay, a nutrient-rich estuary. Biomass was dominated by large cells because their biomass selectively grew during blooms. Large-cell dominance appears to be a characteristic of ecosystems at the land–sea interface, and these places may therefore function as analogs to oceanic upwelling systems. Simulations with a size-structured NPZ model showed that runs of positive net growth rate persisted long enough for biomass of large, but not small, cells to accumulate. Model experiments showed that small cells would dominate in the absence of grazing, at lower nutrient concentrations, and at elevated (+5°C) temperatures. Underlying these results are two fundamental scaling laws: (1) large cells are grazed more slowly than small cells, and (2) grazing rate increases with temperature faster than growth rate. The model experiments suggest testable hypotheses about phytoplankton size structure at the land–sea interface: (1) anthropogenic nutrient enrichment increases cell size; (2) this response varies with temperature and only occurs at mid-high latitudes; (3) large-cell blooms can only develop when temperature is below a critical value, around 15°C; (4) cell size diminishes along temperature gradients from high to low latitudes; and (5) large-cell blooms will diminish or disappear where planetary warming increases temperature beyond their critical threshold.

Limnology and Oceanography↗

Life-cycle model reveals sensitive life stages and evaluates recovery options for a dwindling Pacific salmon population

Population models, using empirical survival rates estimates for different life stages, can help managers explore whether various management options could stabilize a declining population or restore it to former levels of abundance. Here we used two decades of data on five life stages of the Cedar River, USA Sockeye Salmon, Oncorhynchus nerka , population to create and parameterize a life-cycle model. This formerly large but unproductive population is now in steep decline, despite hatchery enhancement. We gathered population-specific data on survival during five stages: 1) egg-to-fry, 2) fry-to-presmolt, 3) presmolt-to-adult return from the ocean, 4) adult en route from the ocean to the spawning grounds, and 5) reproduction. We ground-truthed the model to ensure its fit to the data, and then we modified survival and other parameters during various stages to examine future scenarios. Our analyses revealed that low survival of juveniles in Lake Washington (stage 2: averaging only 3% over the last 20 years), survival of adults returning to fresh water to spawn (stage 4), and survival of adults on spawning grounds to reproduce (stage 5) are likely limiting factors. Combined increases in these stages and others (specifically, the proportion of fish taken into the hatchery to be spawned) might also recover the population. As in other integrated hatchery populations, managers must weigh options relating to balancing the fraction of natural- and hatchery-origin fish, and our results showed that increasing the fraction of fish taken into the hatchery alone will not recover the population. Our model brings together population-specific data to help managers weigh conservation strategies and understand which stages and habitats are most limiting and how much survival must increase to achieve recovery targets. By extension, our analyses also reveal the utility of such models in other cases where stage-specific data are available.

North American Journal of Fisheries Management↗

Fish depth distributions in the Lower Mississippi River

A substantial body of literature exists about depth distribution of fish in oceans, lakes and reservoirs, but less is known about fish depth distribution in large rivers. Most of the emphasis on fish distributions in rivers has focused on longitudinal and latitudinal spatial distributions. Knowledge on depth distribution is necessary to understand species and community habitat needs. Considering this void, our goal was to identify patterns in fish benthic distribution along depth gradients in the Lower Mississippi River. Fish were collected over 14&thinsp;years in depths down to 27&thinsp;m. Fish exhibited non-random depth distributions that varied seasonally and according to species. Species richness was highest in shallow water, with about 50% of the 62 species detected no longer collected in water deeper than 8&thinsp;m and about 75% no longer collected in water deeper than 12&thinsp;m. Although richness was highest in shallow water, most species were not restricted to shallow water. Rather, most species used a wide range of depths. A weak depth zonation occurred, not as strong as that reported for deep oceans and lakes. Larger fish tended to occur in deeper water during the high-water period of an annual cycle, but no correlation was evident during the low-water period. The advent of landscape ecology has guided river research to search for spatial patterns along the length of the river and associated floodplains. Our results suggest that fish assemblages in large rivers are also structured vertically.

Lower Mississippi River↗