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

Effects of land use on greenhouse gas flux in playa wetlands and associated watersheds in the High Plains, USA

In the High Plains, U.S., native prairie conversion to cropland agriculture has resulted in a loss of service delivery capabilities from most depressional wetlands as a result of sedimentation. Restoring historic hydrological conditions to affected wetlands may rejuvenate some services, however, there may be tradeoffs due to emissions of CH 4 and N 2 O. We evaluated the influence of two predominant conservation programs (Wetlands Reserve Program, WRP and Conservation Reserve Program, CRP) on gas emissions (CO 2 , CH 4 , N 2 O) from 42 playas and uplands in the High Plains of Nebraska. Because playa restoration through the WRP is most prevalent in the Rainwater Basin (RWB), we studied 27 playas/uplands among reference condition, cropland, and WRP land uses. We studied 15 playas/uplands within native grassland, cropland, and CRP land uses in the Western High Plains (WHP) of Nebraska. Emissions were collected bi-weekly from April-October of 2012 and 2013 from four landscape positions extending outward from the wetland center into upland. In RWB playas, CH 4 and N 2 O emissions were similar among land uses but CO 2 was 28% higher in cropland than WRP wetlands. Cropland uplands emitted 648% more N 2 O than reference and WRP uplands. Overall, net CO 2-equiv emissions were lower in playas/uplands in WRP, suggesting that benefits of playa restoration may include climate mitigation services as well as increased water storage capacity and biodiversity provisioning. In the WHP, cropland and grassland playas emitted 46 and 23 times more CH 4 , respectively, than CRP in 2013. Playas in CRP emitted 43% less N 2 O than cropland playas. In 2013, net emissions for cropland and native grassland playas were 75% and 39% greater, respectively, than CRP playas. In the WHP, the benefits of lower gas emissions must be appropriately weighted against tradeoffs of ecosystem services related to shorter hydroperiods as a result of reduced runoff into playas in CRP.

Agricultural Sciences↗

Rearing performance of juvenile brown trout Salmo trutta fed a bioprocessed soybean meal diet with differing velocity regimes

This 121-day experiment evaluated the rearing performance of brown trout Salmo trutta fed one of two isonitrogenous and isocaloric diets (46% protein, 16% lipid) and reared at velocities of either 2.8 or 16.1 cm/s. Fishmeal was the primary protein source for the reference diet, which was compared to a bioprocessed soybean meal ingredient that replaced approximately 67% of the fishmeal in the experimental diet. At the end of the experiment, there were no significant differences in gain, percent gain, feed conversion rates, nor specific growth rates between the dietary treatments. There were also no significant differences in intestinal morphology, splenosomatic, hepatosomatic, and viscerosomatic indices related to diet composition. However, gain, percent gain, feed fed, and specific growth rate were all significantly greater in brown trout reared at the higher velocity. No significant differences in any of the other variables measured were observed between the velocity treatments. There were no significant interactions between diet and velocity in any of the variables. Based on the results of this study, bioprocessed soybean meal can replace at least 67% of the fish meal in brown trout diets, regardless of the rearing velocities used in this study. Higher rearing velocities are recommended to maximize juvenile brown trout growth rates.

Open Journal of Animal Sciences↗

Clams as CO2 generators: The Potamocorbula amurensis example in San Francisco Bay

Respiration and calcium carbonate production by the invasive Asian clam, Potamocorbula amurensis , were calculated to assess their importance as CO 2 sources in northern San Francisco Bay. Production, calculated using monthly population density and size structure measured at three sites over 7 yr and a shell length/CaCO 3 conversion factor, averaged 221(±184)g CaCO 3 m −2 yr −1 . Net calcium carbonate production by this exotic bivalve releases CO 2 at a mean rate of 18(±17)g C m −2 yr −1 . Respiration by P. amurensis , estimated from secondary production, releases additional CO 2 at a mean rate of 37(±34)g C m −2 yr −1 . Therefore, total net CO 2 production by P. amurensis averages 55(±51)g C m −2 yr −1 in an estuarine domain where net primary production consumes only 20g inorganic C m −2 yr −1 . CO 2 production by P. amurensis in northern San Francisco Bay is an underestimate of the total CO 2 supply from the calcified zoobenthic communities of San Francisco Bay, and results from other studies have suggested that this rate is not unusual for temperate estuaries. Global extrapolation yields a gross CO 2 production rate in the world's estuaries of 1x10 14 g C yr −1 , which suggests that calcified benthic organisms in estuaries generate CO 2 equal in magnitude to the CO 2 emissions from the world's lakes or from planetary volcanism (the net source is determined by the highly variable rate of CO 2 consumption by carbonate dissolution). This biogenic CO 2 source is increasing because of the continuing global translocation of mollusks and their successful colonization of new habitats.

California↗

The effect of long-term spatiotemporal variations in urbanization-induced eutrophication on a benthic ecosystem, Osaka Bay, Japan

Detailed spatiotemporal patterns of the influence of urbanization-induced eutrophication on a metazoan benthic community in Osaka Bay were determined using sediment cores and fossil ostracode assemblages from the last 200 yr. Results suggest that total abundance of ostracodes increased in the middle part of the bay as a result of the increase of food supply by eutrophication. Conversely, abundance decreased in the inner bay, likely because of bottom-water hypoxia by eutrophication. The variation in species composition among sites within the bay may have decreased because of the effect of eutrophication, i.e., the dominance of species that prefer food-rich environments throughout all sites. These eutrophication-induced changes occurred around 1900 as a result of Japan's industrial revolution and around 1960 as a result of rapid urbanization, depending upon location. ?? 2007, by the American Society of Limnology and Oceanography, Inc.

Limnology and Oceanography↗

Ecological and sampling constraints on defining landscape fire severity

Ecological definition and detection of fire severity are influenced by factors of spatial resolution and timing. Resolution determines the aggregation of effects within a sampling unit or pixel (alpha variation), hence limiting the discernible ecological responses, and controlling the spatial patchiness of responses distributed throughout a burn (beta variation). As resolution decreases, alpha variation increases, extracting beta variation and complexity from the spatial model of the whole burn. Seasonal timing impacts the quality of radiometric data in terms of transmittance, sun angle, and potential contrast between responses within burns. Detection sensitivity candegrade toward the end of many fire seasons when low sun angles, vegetation senescence, incomplete burning, hazy conditions, or snow are common. Thus, a need exists to supersede many rapid response applications when remote sensing conditions improve. Lag timing, or timesince fire, notably shapes the ecological character of severity through first-order effects that only emerge with time after fire, including delayed survivorship and mortality. Survivorship diminishes the detected magnitude of severity, as burned vegetation remains viable and resprouts, though at first it may appear completely charred or consumed above ground. Conversely, delayed mortality increases the severity estimate when apparently healthy vegetation is in fact damaged by heat to the extent that it dies over time. Both responses dependon fire behavior and various species-specific adaptations to fire that are unique to the pre-firecomposition of each burned area. Both responses can lead initially to either over- or underestimating severity. Based on such implications, three sampling intervals for short-term burn severity are identified; rapid, initial, and extended assessment, sampled within about two weeks, two months, and depending on the ecotype, from three months to one year after fire, respectively. Spatial and temporal conditions of sampling strategies constrain data quality and ecological information obtained about fire severity. Though commonly overlooked, such considerations determine the objectives and hypotheses that are appropriate for each application, and are especially important when building comparative studies or long-term reference databases on fire severity.

Fire Ecology↗

Factors associated with the severity of interacting fires in Yosemite National Park

In 1972, Yosemite National Park established a wilderness fire zone in which lightning fires were allowed to run their courses under prescribed conditions. This zone was expanded in 1973 to include the 16 209 ha Illilouette Creek basin, just to the southeast of Yosemite Valley. From 1973 through 2011, there have been 157 fires in the basin. Fire severity data were collected on all 28 of those fires that were larger than 40 ha. The proportion burned in each fire severity class was not significantly associated with fire return interval departure class. When areas were reburned, the proportion of unchanged severity fire decreased while the proportion of high severity fire increased. The proportion of fire severity of the subsequent fires was associated with the number of years since last burned, the burning index, and the severity of the previous fires. The main effects were significant for unchanged severity and low severity, and the interaction between return interval class and burning index class was significant for high severity. Most vegetation types remained the same when burned with unchanged, low, or moderate severity, while high severity often resulted in conversion to montane chaparral. The factors that were associated with reburn severity worked in combination with each factor influencing some aspect of severity. Managers and scientists can use this information to better understand the role fire plays in these ecosystems and how to best manage this dynamic ecological process.

California↗

Limits to ponderosa pine regeneration following large high-severity forest fires in the United States Southwest

High-severity fires in dry conifer forests of the United States Southwest have created large (>1000 ha) treeless areas that are unprecedented in the regional historical record. These fires have reset extensive portions of Southwestern ponderosa pine (Pinus ponderosa Lawson & C. Lawson var. scopulorum Engelm.) forest landscapes. At least two recovery options following high-severity fire are emerging. One option is for post-fire successional pathways to move toward a return to the pre-fire forest type. Alternatively, an area may transition to persistent non-forested ecosystems. We studied regeneration patterns of ponderosa pine following eight fires in Arizona and New Mexico, USA, that burned in dry conifer forests dominated by ponderosa pine during a recent 18-year regional drought period, 1996 to 2013. Our a priori hypotheses were: 1) the most xeric areas within these severely burned dry conifer forests are least likely to regenerate to the pre-fire forest type due to persistent post-fire moisture stress; and 2) areas farther away from conifer seed sources have a lower likelihood of regeneration, even if these areas are climatically favorable for post-fire ponderosa pine establishment. We evaluated our hypotheses using empirical data and generalized linear mixed-effects models. We found that low-elevation, xeric sites are more limiting to conifer regeneration than higher-elevation mesic sites. Areas >150 m from a seed source are much less likely to have ponderosa pine regeneration. Spatial interpolations of modeled post-fire regeneration of ponderosa pine across the study landscapes indicate expansive areas with low likelihood of pine regeneration following high-severity fire. We discuss multiple post-fire successional pathways following high-severity fire, including potentially stable transitions to non-forest vegetation types that may represent long-term type conversions. These findings regarding landscape changes in Southwest forests in response to fires and post-fire regeneration patterns during early-stage climate warming contribute to the development of better-informed ecosystem management strategies for forest adaptation or mitigation under projected hotter droughts in this region.

Arizona, New Mexico↗

Sea-level rise in a coastal marsh: Linking increasing tidal inundation, decreasing soil strength and increasing pond expansion

Coastal marsh conversion into ponds, which may be triggered by sea-level rise, is considered an important driver of marsh loss and their valuable ecosystem services. Previous studies have focused on the role of wind waves in driving the expansion of interior marsh ponds, through lateral erosion of marsh edges surrounding the ponds. Here, we propose another mechanism between sea-level rise, increasing marsh inundation, and decreasing marsh soil strength (approximated here as resistance to shear and penetration stress), that further contributes to marsh erosion and pond expansion. Our field measurements in the Blackwater marshes (Maryland, USA), a microtidal marsh system with organic-rich soils, indicate that (1) an increase in tidal inundation time of the marsh surface above a certain threshold (around 50 % of the time) is associated with a substantial loss of strength of the surficial soils; and (2) this decrease in soil strength is strongly related to the amount of belowground vegetation biomass, which is also found to decrease with increasing tidal inundation at pond bottoms, where the soil has a very low strength. Our finding of decreasing marsh soil strength along a spatial gradient of increasing marsh inundation coincides with a gradient of increasing historical marsh loss by pond expansion, suggesting that feedbacks between sea-level rise, increasing marsh inundation and decreasing marsh soil strength combine to amplify marsh erosion and pond expansion.

Maryland↗

Emulation of long-term changes in global climate: application to the late Pliocene and future

Multi-millennial transient simulations of climate changes have a range of important applications, such as for investigating key geologic events and transitions for which high-resolution palaeoenvironmental proxy data are available, or for projecting the long-term impacts of future climate evolution on the performance of geological repositories for the disposal of radioactive wastes. However, due to the high computational requirements of current fully coupled general circulation models (GCMs), long-term simulations can generally only be performed with less complex models and/or at lower spatial resolution. In this study, we present novel longterm “continuous” projections of climate evolution based on the output from GCMs, via the use of a statistical emulator. The emulator is calibrated using ensembles of GCM simulations, which have varying orbital configurations and atmospheric CO2 concentrations and enables a variety of investigations of long-term climate change to be conducted, which would not be possible with other modelling techniques on the same temporal and spatial scales. To illustrate the potential applications, we apply the emulator to the late Pliocene (by modelling surface air temperature – SAT), comparing its results with palaeo-proxy data for a number of global sites, and to the next 200 kyr (thousand years) (by modelling SAT and precipitation). A range of CO2 scenarios are prescribed for each period. During the late Pliocene, we find that emulated SAT varies on an approximately precessional timescale, with evidence of increased obliquity response at times. A comparison of atmospheric CO2 concentration for this period, estimated using the proxy sea surface temperature (SST) data from different sites and emulator results, finds that relatively similar CO2 concentrations are estimated based on sites at lower latitudes, whereas higher-latitude sites show larger discrepancies. In our second illustrative application, spanning the next 200 kyr into the future, we find that SAT oscillations appear to be primarily influenced by obliquity for the first ∼ 120 kyr, whilst eccentricity is relatively low, after which precession plays a more dominant role. Conversely, variations in precipitation over the entire period demonstrate a strong precessional signal. Overall, we find that the emulator provides a useful and powerful tool for rapidly simulating the long-term evolution of climate, both past and future, due to its relatively high spatial resolution and relatively low computational cost. However, there are uncertainties associated with the approach used, including the inability of the emulator to capture deviations from a quasi-stationary response to the forcing, such as transient adjustments of the deep-ocean temperature and circulation, in addition to its limited range of fixed ice sheet configurations and its requirement for prescribed atmospheric CO2 concentrations.

Climate of the Past↗

Antecedent flow conditions and nitrate concentrations in the Mississippi River basin

The relationship between antecedent flow conditions and nitrate concentrations was explored at eight sites in the 2.9 million square kilometers (km 2 ) Mississippi River basin, USA. Antecedent flow conditions were quantified as the ratio between the mean daily flow of the previous year and the mean daily flow from the period of record (Qratio), and the Qratio was statistically related to nitrate anomalies (the unexplained variability in nitrate concentration after filtering out season, long-term trend, and contemporaneous flow effects) at each site. Nitrate anomaly and Qratio were negatively related at three of the four major tributary sites and upstream in the Mississippi River, indicating that when mean daily streamflow during the previous year was lower than average, nitrate concentrations were higher than expected. The strength of these relationships increased when data were subdivided by contemporaneous flow conditions. Five of the eight sites had significant negative relationships ( p ≤ 0.05) at high or moderately high contemporaneous flows, suggesting nitrate that accumulates in these basins during a drought is flushed during subsequent high flows. At half of the sites, when mean daily flow during the previous year was 50 percent lower than average, nitrate concentration can be from 9 to 27 percent higher than nitrate concentrations that follow a year with average mean daily flow. Conversely, nitrate concentration can be from 8 to 21 percent lower than expected when flow during the previous year was 50 percent higher than average. Previously documented for small, relatively homogenous basins, our results suggest that relationships between antecedent flows and nitrate concentrations are also observable at a regional scale. Relationships were not observed (using all contemporaneous flow data together) for basins larger than 1 million km 2 , suggesting that above this limit the overall size and diversity within these basins may necessitate the use of more complicated statistical approaches or that there may be no discernible basin-wide relationship with antecedent flow. The relationships between nitrate concentration and Qratio identified in this study serve as the basis for future studies that can better define specific hydrologic processes occurring during and after a drought (or high flow period) which influence nitrate concentration, such as the duration or magnitude of low flows, and the timing of low and high flows.

Mississippi River Basin↗

Social sensing a volcanic eruption: Application to Kīlauea, 2018

Protecting lives and livelihoods during volcanic eruptions is the key challenge in volcanology, conducted primarily by volcano monitoring and emergency management organisations, but it is complicated by scarce knowledge of how communities respond in times of crisis. Social sensing is a rapidly developing practice that can be adapted for volcanology. Here we use social sensing of Twitter (currently known as X) posts to track changes in social action and reaction throughout the 2018 eruption of Kīlauea on the island of Hawai`i. The volume of relevant posts very rapidly increases in early May, coincident with the beginning of the eruption; automated sentiment analysis shows a simultaneous shift towards more negative emotions being expressed in post text. Substantial negative trends in sentiment are evident in reaction to high-impact events, including the destruction of a popular residential area and injuries sustained by tourists viewing the eruption. Topics of local Twitter conversation reveal societal actions, including the sharing of hazard warnings, mitigation actions, and aid announcements. Temporal trends in societal actions reflect patterns in volcanic activity (e.g. the peak and waning of eruptive activity), civil protection actions (e.g. risk mitigation actions and the communication of official warnings), and socioeconomic pressures (e.g. the destruction of homes). Local tweets detailing eruption damage and disruption display a similar temporal trend to independent estimates of the number of buildings in contact with lava. We show how hazard and risk information is discussed and reacted to on Twitter, which helps inform our understanding of community response actions and aids situational awareness, and outline how our approach could be adapted for use in real time.

Hawaii↗

Observing glacier elevation changes from spaceborne optical and radar sensors – an inter-comparison experiment using ASTER and TanDEM-X data

Observations of glacier mass changes are key to understanding the response of glaciers to climate change and related impacts, such as regional runoff, ecosystem changes, and global sea level rise. Spaceborne optical and radar sensors make it possible to quantify glacier elevation changes, and thus multi-annual mass changes, on a regional and global scale. However, estimates from a growing number of studies show a wide range of results with differences often beyond uncertainty bounds. Here, we present the outcome of a community-based inter-comparison experiment using spaceborne optical stereo (ASTER) and synthetic aperture radar interferometry (TanDEM-X) data to estimate elevation changes for defined glaciers and target periods that pose different assessment challenges. Using provided or self-processed digital elevation models (DEMs) for five test sites, 12 research groups provided a total of 97 spaceborne elevation-change datasets using various processing approaches. Validation with airborne data showed that using an ensemble estimate is promising to reduce random errors from different instruments and processing methods but still requires a more comprehensive investigation and correction of systematic errors. We found that scene selection, DEM processing, and co-registration have the biggest impact on the results. Other processing steps, such as treating spatial data voids, differences in survey periods, or radar penetration, can still be important for individual cases. Future research should focus on testing different implementations of individual processing steps (e.g. co-registration) and addressing issues related to temporal corrections, radar penetration, glacier area changes, and density conversion. Finally, there is a clear need for our community to develop best practices, use open, reproducible software, and assess overall uncertainty to enhance inter-comparison and empower physical process insights across glacier elevation-change studies.

The Cryosphere↗

Making fired bricks with spent equilibrium catalyst-a technical feasibility study

Fluid catalytic cracking in an oil refinery uses a catalyst, such as an alumino-silicate zeolite, in the conversion of heavy hydrocarbons to light hydrocarbons. A small fraction of the catalyst is continually replaced with fresh catalyst to maintain activity. In North America, more than 400 tons of spent alumino-silicate equilibrium catalyst (spent e-cat), and worldwide, more than 1,100 tons, are generated daily, most of which is disposed of in landfills (municipal and on-site facilities). In this study, three spent e-cat samples were tested in a value-added application that would utilize this waste in the manufacturing of fired bricks. The results of this study indicate that spent e-cat is a technically feasible raw material substitute for the clay and shale commonly used in fired brick production. Fired bricks produced with up to 30 wt% of spent e-cat showed good physical appearance and their water absorption properties met the ASTM C 62 specifications for building bricks of either the moderate- or severe-weathering grade.

Journal of Solid Waste Technology and Management↗

Depth of magma crystallization and fluid exsolution beneath the porphyry-skarn Cu deposits at Santa Rita and Hanover-Fierro, New Mexico, USA

The depth level at which porphyry Cu–forming magmas fractionated and exsolved mineralizing fluids is actively debated. In the classic model, extensive magma fractionation occurs in large, upper crustal magma chambers, and concomitant fluid exsolution leads to forceful expulsion of residual magmas in the form of porphyry dikes, stocks, and breccia pipes, which subsequently serve as pathways for the mineralizing fluids. In contrast, some recent studies highlighting the role of deep crustal magma fractionation in the production of fertile magmas essentially deny the existence of upper crustal magma chambers at the time of mineralization. To address this, we conducted a detailed thermobarometric investigation of 13 intermediate to felsic, porphyritic intrusive rocks related to porphyry-skarn Cu mineralization at Santa Rita and Hanover-Fierro, New Mexico, United States, representing two premineralization magmas (61–60 Ma), seven synmineralization magmas (60–58 Ma), and four late- to postmineralization magmas (58–57 Ma). For each sample, the pressure of last magma crystallization before final magma ascent to the current exposure level was reconstructed based on Al-in-hornblende barometry of small hornblende inclusions trapped within quartz phenocrysts and through titanium-in-quartz (TitaniQ) thermobarometry of the host quartz phenocrysts themselves. Since quartz is one of the last crystallizing magmatic minerals, and no significant phenocryst growth could have occurred in small dikes and stocks after final magma emplacement, quartz phenocrysts and their contained hornblende inclusions record the depth of last magma crystallization before final magma ascent. When present, hornblende phenocrysts and hornblende inclusions within other major phenocrysts were also analyzed. Both quartz and hornblende barometers return consistent average pressures of 3.2 ± 0.4 kbar for the entire suite of pre- to postmineralization magmas, corresponding to depths of 11 to 14 km. The synmineralization magmas return even more consistent average pressures of 3.1 ± 0.2 kbar, corresponding to a depth of 12 ± 1 km. The volume of the mineralizing porphyry dikes and stocks at the emplacement level is far too small to have provided all the fluids and metals required to form the observed ore deposits. Therefore, the majority of the ore-forming fluids must have originated from the magmas that crystallized at 12 ± 1 km depth. The ore deposits, conversely, formed at ~5-km paleodepth. This implies that most of the mineralizing fluids traveled an average vertical distance of ~7 km from their magmatic source to the eventual site of ore precipitation. The relatively unaltered nature and low veining degree of deeper parts of mineralized porphyry dikes and stocks suggest that the fluid transport through these intrusive bodies occurred mostly at near-solidus conditions by means of fluid percolation along grain boundaries. In summary, our results suggest that (1) a large, upper crustal pluton exists ~7 km beneath the Santa Rita and Hanover-Fierro deposits; (2) abundant phenocryst crystallization occurred at this depth level; and (3) this pluton was the main source for the exsolution of ore-forming fluids. However, the investigated rocks have elevated whole-rock Sr/Y ratios, indicating magma fractionation at deep crustal levels. As a result, our preferred model is a combination of the two end-member models introduced above, with most magma fractionation having occurred in the deep crust and with residual, intermediate to felsic melts having ascended and accumulated at 11 to 14 km paleodepth, where they continued to crystallize with comparatively little crystal-liquid separation, before some of these magmas ascended further to shallow levels and quenched to porphyries.

New Mexico↗

Spatio-temporal population change of Arctic-breeding waterbirds on the Arctic Coastal Plain of Alaska

Rapid physical changes that are occurring in the Arctic are primary drivers of landscape change and thus may drive population dynamics of Arctic-breeding birds. Despite the importance of this region to breeding and molting waterbirds, lack of a comprehensive analysis of historic data has hindered quantifying avian population change. We estimated distribution, abundance, and spatially explicit population trend of 20 breeding waterbird species using 25 years (1992–2016) of aerial survey data collected on the Arctic Coastal Plain (ACP), Alaska. The ACP is an extensive wetland complex on Alaska’s North Slope that supports millions of breeding waterbirds and includes portions of the National Petroleum Reserve—Alaska and the Arctic National Wildlife Refuge. We summarized annual counts into approximately 6-km by 6-km grid cells and analyzed data with generalized linear mixed models that accounted for survey timing and spatio-temporal autocorrelation. Geese and swans were most abundant along the coast between Admiralty Bay and Prudhoe Bay. Sea ducks, generalist predators (i.e., jaeger, gulls, terns), and loons were most abundant between Utqiaġvik and Point Lay, Alaska. Important areas for most species included the coastal fringe near Teshekpuk Lake, the Colville River Delta, and Admiralty Bay. The National Petroleum Reserve—Alaska was an important area for all species examined. Conversely, density on the coastal plain of the Arctic National Wildlife Refuge was greater than average for 20% of species. Annual population growth rates over the 25-year survey period were variable: 13 increased (range: 1.4%–13.8%), one decreased (-3.4%), and six were stable. However, even species with no overall population trend had areas of changing population size, suggesting localized conditions affected waterbird distributions on the ACP. Our results can be used to better inform land use decisions, improve monitoring of waterbird populations, and increase understanding of avian response to ecological change in the Arctic.

Alaska↗

Collaborative decision-analytic framework to maximize resilience of tidal marshes to climate change

Decision makers that are responsible for stewardship of natural resources face many challenges, which are complicated by uncertainty about impacts from climate change, expanding human development, and intensifying land uses. A systematic process for evaluating the social and ecological risks, trade-offs, and cobenefits associated with future changes is critical to maximize resilience and conserve ecosystem services. This is particularly true in coastal areas where human populations and landscape conversion are increasing, and where intensifying storms and sea-level rise pose unprecedented threats to coastal ecosystems. We applied collaborative decision analysis with a diverse team of stakeholders who preserve, manage, or restore tidal marshes across the San Francisco Bay estuary, California, USA, as a case study. Specifically, we followed a structured decision-making approach, and we using expert judgment developed alternative management strategies to increase the capacity and adaptability to manage tidal marsh resilience while considering uncertainties through 2050. Because sea-level rise projections are relatively confident to 2050, we focused on uncertainties regarding intensity and frequency of storms and funding. Elicitation methods allowed us to make predictions in the absence of fully compatible models and to assess short- and long-term trade-offs. Specifically we addressed two questions. (1) Can collaborative decision analysis lead to consensus among a diverse set of decision makers responsible for environmental stewardship and faced with uncertainties about climate change, funding, and stakeholder values? (2) What is an optimal strategy for the conservation of tidal marshes, and what strategy is robust to the aforementioned uncertainties? We found that when taking this approach, consensus was reached among the stakeholders about the best management strategies to maintain tidal marsh integrity. A Bayesian decision network revealed that a strategy considering sea-level rise and storms explicitly in wetland restoration planning and designs was optimal, and it was robust to uncertainties about management effectiveness and budgets. We found that strategies that avoided explicitly accounting for future climate change had the lowest expected performance based on input from the team. Our decision-analytic framework is sufficiently general to offer an adaptable template, which can be modified for use in other areas that include a diverse and engaged stakeholder group.

California↗

Culturally induced range infilling of eastern redcedar: a problem in ecology, an ecological problem, or both?

The philosopher John Passmore distinguished between (1) “problems in ecology,” or what we might call problems in scientific understanding of ecological change, and (2) “ecological problems,” or what we might call problems faced by societies due to ecological change. The spread of eastern redcedar ( Juniperus virginiana ) and conversion of the central and southern Great Plains of North America to juniper woodland might be categorized as a problem in ecology, an ecological problem, or both. Here, we integrate and apply two interdisciplinary approaches to problem-solving—social-ecological systems thinking and ecocriticism—to understand the role of human culture in recognizing, driving, and responding to cedar’s changing geographic distribution. We interpret the spread of cedar as a process of culturally induced range infilling due to the ongoing social-ecological impacts of colonization, analyze poetic literary texts to clarify the concepts that have so far informed different cultural values related to cedar, and explore the usefulness of diverse interdisciplinary collaborations and knowledge for addressing social-ecological challenges like cedar spread in the midst of rapidly unfolding global change. Our examination suggests that it is not only possible, but preferable, to address cedar spread as both a scientific and a social problem. Great Plains landscapes are teetering between grassland and woodland, and contemporary human societies both influence and choose how to cope with transitions between these ecological states. We echo previous studies in suggesting that human cultural values about stability and disturbance, especially cultural concepts of fire, will be primary driving factors in determining future trajectories of change on the Great Plains. Although invasion-based descriptors of cedar spread may be useful in ecological research and management, language based on the value of restraint could provide a common vocabulary for effective cross-disciplinary and interdisciplinary communication about the relationship between culture and cedar, as well as an ethical framework for cross-cultural communication, decision-making, and management.

Ecology and Society↗

Incorporating climate change into restoration decisions: Perspectives from dam removal practitioners

Incorporating climate change into conservation and restoration decisions is increasingly important for natural resource managers and restoration practitioners to effectively address the underlying drivers of ecosystem change. Small dam removal is an example of a restoration tool that may offer multiple socioeconomic and ecological benefits in streams, including promoting climate resilience. With the pace of dam removals increasing, practitioners and researchers are well-poised to incorporate climate change into future dam removal decisions. Therefore, we surveyed dam removal practitioners across 14 states in the eastern United States to understand current practices of small dam removals, factors driving restoration decisions, and how climate change knowledge is incorporated into these decisions. We also aimed to identify barriers to and opportunities for knowledge exchange between practitioners and researchers. Of the 100 respondents, most (79%) consider climate change in their dam removal decisions to some extent. Despite this, many reported a lack of clear, relevant, and accessible data linking small dam removal to climate resilience benefits. Dam removal practitioners also indicated that they most often rely on climate change information garnered from conversations with colleagues, rather than from scientific research products. These results suggest that the co-production of relevant, salient research questions and readily accessible and interpretable research products (e.g., technical summaries, open access articles) may encourage practitioners to incorporate climate change science more consistently and efficiently into dam removal decisions. These findings may also translate to other stream restoration efforts to inform knowledge exchange and improve restoration outcomes in a changing climate.

Connecticut, Delaware, Kentucky, Maine, Maryland, ↗