Geology Reports⌕ Search

SEARCH · Geology Reports

Results for “Planning”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 1,675 records · Page 93Linked to original sources

Climate-smart invasive species management for 21st century global change challenges

Addressing the global challenges of climate change and biotic invasions requires understanding their interactions and implications for natural resource management. To facilitate and support invasive species management in a changing climate, we review how climate change and invasions interact to impact the planning, action, and outcomes of invasive species management. Climate change is affecting which species natural resource managers need to assess, monitor, and target by facilitating the introduction of new potential invasive species and altering pathways of introduction and spread. Climate-driven shifts in seasonal conditions and phenological events disrupt and require more flexible management timelines. Climate change may reduce the efficacy and feasibility of current treatment methods and create a need to shift management goals as native ecosystems become more vulnerable to disturbance. Additionally, extreme climate events can compound the spread and impacts of biological invasions, making invasive species management a necessary part of extreme event preparation and response planning. As a solution to these challenges, we propose climate-smart invasive species management, which we define as the approaches that managers and decision-makers can take to address the interactive effects of climate change and invasions. Climate-smart invasive species management includes considering shifts in species ranges, abundance, and impacts to inform monitoring, treatment, and regulation of potential and new invaders at multiple scales. Managers can also adjust the timing of and approach to treatment as efficacy and feasibility change, promote resilient ecosystems through climate-smart restoration, and consider the effects of climate change when setting management goals. Furthermore, climate adaptation funds could expand avenues of funding and support for invasive species management. Explicitly considering the interactions of climate change and biological invasions within organizational decision-making and policy will lead to more effective management and can promote more resilient landscapes.

Global Change Biology↗

Avian movements and wetland connectivity in landscape conservation

The current conservation crisis calls for research and management to be carried out on a long-term, multi-species basis at large spatial scales. Unfortunately, scientists, managers, and agencies often are stymied in their effort to conduct these large-scale studies because of a lack of appropriate technology, methodology, and funding. This issue is of particular concern in wetland conservation, for which the standard landscape approach may include consideration of a large tract of land but fail to incorporate the suite of wetland sites frequently used by highly mobile organisms such as waterbirds (e.g., shorebirds, wading birds, waterfowl). Typically, these species have population dynamics that require use of multiple wetlands, but this aspect of their life history has often been ignored in planning for their conservation. We outline theoretical, empirical, modeling, and planning problems associated with this issue and suggest solutions to some current obstacles. These solutions represent a tradeoff between typical in-depth single-species studies and more generic multi-species studies. They include studying within- and among-season movements of waterbirds on a spatial scale appropriate to both widely dispersing and more stationary species; multi-species censuses at multiple sites; further development and use of technology such as satellite transmitters and population-specific molecular markers; development of spatially explicit population models that consider within-season movements of waterbirds; and recognition from funding agencies that landscape-level issues cannot adequately be addressed without support for these types of studies.

Conservation Biology↗

Monitoring regional effects of high pressure injection of wastewater in a limestone aquifer

More than 10 billion gallons (38 × 10 6 m 3 ) of acid industrial liquid waste has been injected in about 11 years under high pressure into a saline-water-filled part of a limestone aquifer of low transmissivity between 1,400 and 1,700 feet (430 and 520 m) below land surface near Pensacola, Florida. A similar waste disposal system is planned for the same zone at a site about 8.5 miles (13.7 km) to the east. The injection zone is the lower limestone of the Floridan aquifer. The lower limestone is overlain by a confining layer of plastic clay about 220 feet (67 m) thick at the active injection site and underlain by another confining layer of shale and clay. The upper confining layer is overlain by the upper limestone of the Floridan aquifer. The active injection system consists of two injection wells about a quarter of a mile (0.4 km) apart and three monitor wells. Two of the monitor wells (deep monitors) are used to observe hydraulic and geochemical effects of waste injection in the injection zone at locations about 1.5 miles (2.4 km) south and 1.9 miles (3.1 km) north of the center of the injection site. The third well (shallow monitor), used to observe any effects in the upper limestone, is about 100 feet (30 m) from one of the injection wells. Since 1972 the injection zone has also been monitored at a test well at the planned new injection site. Three more monitor wells in the injection zone were activated in early 1974 at sites 17 miles (27 km) northeast, 22 miles (35 km) east and 33 miles (53 km) northeast of the injection site. The six deep monitors provide a system for evaluating the regional effects of injecting wastes. No change in pressure or water quality due to injection was, by mid-1974, evident in the upper limestone at the injection site, but static pressures in the lower limestone at the site had increased 8 fold since injection began in 1963. Chemical analyses indicated probable arrival of the diluted waste at the south monitor well in 1973. By mid-1974 waste evidently had not reached the north monitor well. Calculations indicate that by mid-1974 pressure effects from waste injection extended radially more than 40 miles (64 km) from the injection site. By mid-1974 pressure effects of injection were evident from water-level measurements made at the five deep monitor wells nearest the active injection site. No effects were recognized at the well 33 miles (53 km) away. Less than 20 miles (32 km) northeast of the active injection site, the lower limestone contains fresh water. Changes in the pressure regime due to injection indicate a tendency for northeastward movement of the fresh-water/salt-water interface in the lower limestone.

Groundwater↗

Hybrid-optimization algorithm for the management of a conjunctive-use project and well field design

Hi-Desert Water District (HDWD), the primary water-management agency in the Warren Groundwater Basin, California, plans to construct a waste water treatment plant to reduce future septic-tank effluent from reaching the groundwater system. The treated waste water will be reclaimed by recharging the groundwater basin via recharge ponds as part of a larger conjunctive-use strategy. HDWD wishes to identify the least-cost conjunctiveuse strategies for managing imported surface water, reclaimed water, and local groundwater. As formulated, the mixed-integer nonlinear programming (MINLP) groundwater-management problem seeks to minimize water delivery costs subject to constraints including potential locations of the new pumping wells, California State regulations, groundwater-level constraints, water-supply demand, available imported water, and pump/recharge capacities. In this study, a hybrid-optimization algorithm, which couples a genetic algorithm and successive-linear programming, is developed to solve the MINLP problem. The algorithm was tested by comparing results to the enumerative solution for a simplified version of the HDWD groundwater-management problem. The results indicate that the hybrid-optimization algorithm can identify the global optimum. The hybrid-optimization algorithm is then applied to solve a complex groundwater-management problem. Sensitivity analyses were also performed to assess the impact of varying the new recharge pond orientation, varying the mixing ratio of reclaimed water and pumped water, and varying the amount of imported water available. The developed conjunctive management model can provide HDWD water managers with information that will improve their ability to manage their surface water, reclaimed water, and groundwater resources.

California↗

Biodegradation of disinfection byproducts as a potential removal process during aquifer storage recovery

The biodegradation potential of two drinking water disinfection byproducts was investigated using aquifer materials obtained from approximately 100 and 200 meters below land surface in an aerobic aquifer system undergoing aquifer storage recovery of treated surface water. No significant biodegradation of a model trihalomethane compound, chloroform, was observed in aquifer microcosms under aerobic or anaerobic conditions. In contrast, between 16 and 27 percent mineralization of a radiolabeled model haloacetic acid compound, chloroacetic acid, was observed. These results indicate that although the potential for biodegradation of chloroacetic acid exists in deep aquifer systems, chloroform entrained within these aquifers or formed in situ will tend to persist. These results have important implications for water managers planning to meet anticipated lowered permissible levels of tri-halomethanes in drinking water.The biodegradation potential of two drinking water disinfection byproducts was investigated using aquifer materials obtained from approximately 100 and 200 meters below land surface in an aerobic aquifer system undergoing aquifer storage recovery of treated surface water. No significant biodegradation of a model trihalomethane compound, chloroform, was observed in aquifer microcosms under aerobic or anaerobic conditions. In contrast, between 16 and 27 percent mineralization of a radiolabeled model haloacetic acid compound, chloroacetic acid, was observed. These results indicate that although the potential for biodegradation of chloroacetic acid exists in deep aquifer systems, chloroform entrained within these aquifers or formed in situ will tend to persist. These results have important implications for water managers planning to meet anticipated lowered permissible levels of trihalomethanes in drinking water.Aquifer-storage-recovery injection water often contains disinfection byproducts. Results are presented from a study in which two model disinfection byproducts, chloroform and chloroacetic acid, were used to examine biodegradation by indigenous microorganisms. The recharge system studied was near Las Vegas, NV, where the aquifers are recharged artificially during the winter months. Microcosms were constructed using aquifer material recovered from two layers. Results showed that no significant biodegradation of chloroform occurred under aerobic or anaerobic conditions, but chloroacetic acid was biodegraded under both aerobic and anaerobic conditions.

Journal of the American Water Resources Associatio↗

Flood hazard awareness and hydrologic modelling at Ambos Nogales, United States–Mexico border

Appropriate land‐use, watershed‐management, and flood‐attenuation plans are critical in the cross‐border urban environment known collectively as Ambos Nogales. This paper summarizes methodologies for predicting the watershed response associated with land‐use change within a spatial and temporal context through the use of a hydrological model in a cross‐border setting. The KINEROS2 model is implemented via the Automated Geospatial Watershed Assessment 2.0 geographic information system interface to evaluate the watershed of Nogales, Arizona, and Nogales, Sonora, Mexico, to assess flood vulnerability by quantifying volumes of runoff and peak flow, based on alternative land‐use scenarios. Cross‐border geospatial data acquisition and input to models are described. Discussions about the KINEROS2 model results identify flood‐prone areas, simulate the impact of land‐use change, and evaluate the impact of potential flood‐control interventions in the Ambos Nogales watershed. Products from this research are being used in a comprehensive plan for sustainable development in Ambos Nogales.

Ambos Nogales watershed↗

Invisible hand of sampling for management: Underlying needs to survey a threatened seabird can bias aggregated data

Aim Surveying for a species of concern ahead of proposed activities that alter its habitat is routine practice in conservation and management. Such surveys may accumulate large datasets that could further elucidate trends in abundance and distribution. However, the as-needed surveying of proposed activities may impart a sample site selection bias on the data if used for another purpose. Management of a threatened, forest-nesting seabird offered an example of this. Here we assessed how resource management planning and survey requirements can bias clearance monitoring survey data collected prior to proposed timber harvests, if those data are used for other purposes. Location Oregon and Washington, USA. Taxon Marbled Murrelet ( Brachyramphus marmoratus ). Methods To assess how timber planning and other factors influenced marbled murrelet survey location selection, we used logistic regression models to examine habitat associations of marbled murrelet survey sites ( n = 9178) encompassing proposed timber harvests, and the survey stations ( n = 38,923) therein, across the murrelet's inland range in Washington and Oregon, USA between 1989 and 2021. We then simulated the effect this selective sampling might have on assessments of occupancy trends. Results Most habitat characteristics considered did influence where surveys were located, with distance to roads often being the strongest predictor of survey location. The strength of selection for each covariate changed over time, such that a habitat characteristic strongly influenced location selection in a year but was less influential in another year. The simulation analysis suggested that the non-random selection of survey sites could profoundly bias assessments of occupancy trends. Conclusions When using these clearance monitoring survey data– or any data–beyond their original purpose, careful consideration should be given to the scope of inference provided and analytical methods used, to ensure that observed trends are the product of biological processes and not biased by sampling artefacts.

Oregon, Washington↗

The Maryland Coastal Plain Aquifer Information System: A GIS-based tool for assessing groundwater resources

Groundwater is the source of drinking water for ∼1.4 million people in the Coastal Plain Province of Maryland (USA). In addition, groundwater is essential for commercial, industrial, and agricultural uses. Approximately 0.757 × 109 L d –1 (200 million gallons/d) were withdrawn in 2010. As a result of decades of withdrawals from the coastal plain confined aquifers, groundwater levels have declined by as much as 70 m (230 ft) from estimated prepumping levels. Other issues posing challenges to long-term groundwater sustainability include degraded water quality from both man-made and natural sources, reduced stream base flow, land subsidence, and changing recharge patterns (drought) caused by climate change. In Maryland, groundwater supply is managed primarily by the Maryland Department of the Environment, which seeks to balance reasonable use of the resource with long-term sustainability. The chief goal of groundwater management in Maryland is to ensure safe and adequate supplies for all current and future users through the implementation of appropriate usage, planning, and conservation policies. To assist in that effort, the geographic information system (GIS)–based Maryland Coastal Plain Aquifer Information System was developed as a tool to help water managers access and visualize groundwater data for use in the evaluation of groundwater allocation and use permits. The system, contained within an ESRI ArcMap desktop environment, includes both interpreted and basic data for 16 aquifers and 14 confining units. Data map layers include aquifer and ­confining unit layer surfaces, aquifer extents, borehole information, hydraulic properties, time-series groundwater-level data, well records, and geophysical and lithologic logs. The aquifer and confining unit layer surfaces were generated specifically for the GIS system. The system also contains select groundwater-quality data and map layers that quantify groundwater and surface-water withdrawals. The aquifer information system can serve as a pre- and postprocessing environment for groundwater-flow models for use in water-supply planning, development, and management. The system also can be expanded to include features that evaluate constraints to groundwater development, such as insufficient available drawdown, degraded groundwater quality, insufficient aquifer yields, and well-field interference. Ultimately, the aquifer information system is intended to function as an interactive Web-based utility that provides a broad array of information related to groundwater resources in Maryland’s coastal plain to a wide-ranging audience, including well drillers, consultants, academia, and the general public.

Special Paper of the Geological Society of America↗

Military geology unit of the U.S. Geological Survey during World War II

On June 24, 1942, the temporary Military Geology Unit of the U.S. Geological Survey was formalized after the U.S. Army Corps of Engineers requested them to prepare terrain intelligence studies to meet wartime priorities. The entire Military Geology Unit wartime roster was 114 professionals, including 88 geologists, 11 soil scientists, and 15 other specialists; 14 were women. Assisting staff (illustrators, typists, photographers, and others) totaled 43. The unit produced 313 studies, including 140 major terrain folios, 42 other major special reports, and 131 minor studies. These reports contain about 5,000 maps, 4,000 photographs and figures, 2,500 large tables, and 140 terrain diagrams. Most products were designed in the beginning for general strategic planning in Washington and later for detailed strategic planning overseas; they utilized graphics and nontechnical, telegraphic-style tabular texts. The Military Geology Unit's principal effort was the preparation of the terrain folios titled Strategic Engineering Studies. They varied somewhat in content and format, but the key components usually were introduction, terrain appreciation, rivers, road and airfield construction, construction materials, and water resources. The folios, produced at an average rate of about one per week and at an average cost of $2,500, were compiled from scientific journals, books, maps, and photographs available in the Washington area by a team of 3 to 8 scientists; 8 to 12 teams might be working concurrently. MGU personnel took great pride in never having missed a delivery deadline.

Book chapter↗

Preventing and controlling nonnative species invasions to bend the curve of global freshwater biodiversity loss

The Emergency Recovery Plan for freshwater biodiversity recognizes that addressing nonnative species is one of six principal actions needed to bend the curve in freshwater biodiversity loss. This is because introduction rates of nonnative species continue to accelerate globally and where these species develop invasive populations, they can have severe impacts on freshwater biodiversity. The most effective management measure to protect freshwater biodiversity is to prevent introductions of nonnative species. Should a nonnative species be introduced, however, then its early detection and the implementation of rapid reaction measures can avoid it establishing and dispersing. If these measures are unsuccessful and the species becomes invasive, then control and containment measures can minimize its further spread and impact. Minimizing further spread and impact includes control methods to reduce invader abundance and containment methods such as screening of invaded sites and strict biosecurity to avoid the invader dispersing to neighbouring basins. These management actions have benefitted from developments in invasion risk assessment that can prioritize species according to their invasion risk and, for species already invasive, ensure that management actions are commensurate with assessed risk. The successful management of freshwater nonnative species still requires the overcoming of some implementation challenges, including nonnative species often being a symptom of degraded habitats rather than the main driver of ecological change, and eradication methods often being nonspecies specific. Given the multiple anthropogenic stressors in freshwaters, nonnative species management must work with other restoration strategies if it is to deliver the Emergency Recovery Plan for freshwater biodiversity.

Environmental Reviews↗

During Nearshore Event Experiment (DUNEX): A collaborative community field data collection effort

The DUring Nearshore Event eXperiment (DUNEX) is an academic, federal agency, and non-government collaborative community experiment supported by and planned under the U.S. Coastal Research Program (USCRP) to study nearshore coastal processes during storms. The motivation for DUNEX is to improve understanding, numerical representation, and prediction of storm processes and impacts; to exchange research ideas, to improve strategies for short- and long-term coastal resilience, and to develop more effective communication methods for coastal communities impacted by storms. This paper describes the DUNEX pilot study (Fall 2019) and the full experiment (Fall 2020) focused on storm measurements to be conducted along a 160-km stretch of the northern Outer Banks, North Carolina. The US Army Corps of Engineer’s Field Research Facility (FRF) will serve as the logistical base for the operation. Researchers may participate by planning and conducting an experiment, attending or leading a training session, or volunteering to assist with field work.

Conference Paper↗

US Costal Research Program: Building a research community to support coastal stakeholders

The U.S. Coastal Research Program (USCRP) was created to develop, coordinate, and enable a National science plan to address growing needs of coastal communities. Researchers from federal agencies, academia, industry, and non-governmental organizations work together to identify priorities that support coastal stakeholders in activities such as emergency response, resource management, planning, and engineering. By fostering existing partnerships and multi-agency collaborations, the USCRP increases the value and impact of these coastal research applications. Through user-driven topical workshops, the USCRP initiates conversation between users and researchers to help ensure that research addresses societal needs along the coastline. By leveraging and expanding federal funding, opportunities are created for coastal science and engineering university programs to advance their research directions, provide graduate student opportunities, and connect their work to National coastal priorities.

Conference Paper↗

Numerical model characterization of sediment transport potentials pre- and post-construction of an artificial island in Foggy Island Bay, Alaska

The anticipated construction of the Liberty Development Island near Prudhoe Bay, Alaska, has created a need to understand how the island may influence sediment transport patterns and deposition on the nearby Boulder Patch ecosystem. This study uses a numerical model to characterize sediment transport pathways in Foggy Island Bay with and without the artificial island in place. We present the Delft3D-based model setup and application that yields an improved quantification and understanding of the region’s hydrodynamic, wave, and sediment transport patterns. The results for the present show mainly east-west directed, alongshore transport of silt and clay. Insertion of the planned island results in limited changes to the overall hydrodynamic and sediment transport patterns within the Bay but reverses erosional tendencies across a boulder patch, situated within a kilometer of the planned construction location, to being net depositional.

Alaska↗

The Modern Geological Survey; a model for research, innovation, synthjesis: A USGS perspective

Geological Surveys have long filled the role of providing Earth system science data and knowledge. These functions are increasingly complicated by accelerating environmental and societal change. Here we describe the USGS response to these evolving conditions. Underpinning the USGS approach is the recognition that many of the issues facing the U.S. and the world involve the interaction among geologic, hydrologic, and biologic processes, and how these interactions in turn affect society. Therefore, a goal of USGS planning is fostering interdisciplinary science. This focus is occurring in part through implementation of the recommendations of strategic planning teams. The USGS has also put in place groups building a broad information technology infrastructure as well as identifying and disseminating new Earth science research tools. In addition, the USGS has established an analysis and synthesis center that brings together groups of scientists who address interdisciplinary Earth system science issues. The goal is for these building blocks to evolve towards a comprehensive USGS data and knowledge platform; EarthMAP (Earth Monitoring, Assessment, and Projection). We also recognize that the modern geological survey must be a member of a community of geological surveys contributing data to a global database of 3-dimensional biogeophysical observations and interpretations.

Book chapter↗

Establishing the moon as a spectral radiance standard

A new automated observatory dedicated to the radiometry of the moon has been constructed to provide new radiance information for calibration of earth-orbiting imaging instruments, particularly Earth Observing System instruments. Instrumentation includes an imaging photometer with 4.5-in. resolution on a fully digital mount and a full-aperture radiance calibration source. Interference filters within 0.35–0.95 µm correspond to standard stellar magnitude systems, accommodate wavelengths of lunar spectral contrast, and approximate some band-passes of planned earth-orbiting instruments (ASTER, Landsat-7 ETM, MISR, MODIS, and SeaWIFS). The same equipment is used for lunar and stellar observations, with the use of an aperture stop in lunar imaging to comply with Nyquist's theorem and lengthen exposure times to avoid scintillation effects. A typical robotic night run involves observation of about 60 photometric standard stars and the moon; about 10 of the standard stars are observed repeatedly to determine atmospheric extinction, and the moon is observed several times. Observations are to be made on every photometric night during the bright half of the month for at least 4.5 years to adequately cover phase and libration variation. Each lunar image is reduced to absolute exoatmospheric radiance and reprojected to a fixed selenographic grid system. The collection of these images at various liberators and phase angles will be reduced to photometric models for each of the approximately 120 000 points in the lunar grid for each filter. Radiance models of the moon can then be produced for the precise geometry of an orbiting instrument observation. Expected errors are under 1% relative and 2.5% absolute. A second telescope operating from 1.0 to 2.5 µm is planned.

Journal of Atmospheric and Oceanic Technology↗

The 2023 US 50-State National Seismic Hazard Model: Overview and implications

The US National Seismic Hazard Model (NSHM) was updated in 2023 for all 50 states using new science on seismicity, fault ruptures, ground motions, and probabilistic techniques to produce a standard of practice for public policy and other engineering applications (defined for return periods greater than ∼475 or less than ∼10,000 years). Changes in 2023 time-independent seismic hazard (both increases and decreases compared to previous NSHMs) are substantial because the new model considers more data and updated earthquake rupture forecasts and ground-motion components. In developing the 2023 model, we tried to apply best available or applicable science based on advice of co-authors, more than 50 reviewers, and hundreds of hazard scientists and end-users, who attended public workshops and provided technical inputs. The hazard assessment incorporates new catalogs, declustering algorithms, gridded seismicity models, magnitude-scaling equations, fault-based structural and deformation models, multi-fault earthquake rupture forecast models, semi-empirical and simulation-based ground-motion models, and site amplification models conditioned on shear-wave velocities of the upper 30 m of soil and deeper sedimentary basin structures. Seismic hazard calculations yield hazard curves at hundreds of thousands of sites, ground-motion maps, uniform-hazard response spectra, and disaggregations developed for pseudo-spectral accelerations at 21 oscillator periods and two peak parameters, Modified Mercalli Intensity, and 8 site classes required by building codes and other public policy applications. Tests show the new model is consistent with past ShakeMap intensity observations. Sensitivity and uncertainty assessments ensure resulting ground motions are compatible with known hazard information and highlight the range and causes of variability in ground motions. We produce several impact products including building seismic design criteria, intensity maps, planning scenarios, and engineering risk assessments showing the potential physical and social impacts. These applications provide a basis for assessing, planning, and mitigating the effects of future earthquakes.

Earthquake Spectra↗

Variations in community exposure to lahar hazards from multiple volcanoes in Washington State (USA)

Understanding how communities are vulnerable to lahar hazards provides critical input for effective design and implementation of volcano hazard preparedness and mitigation strategies. Past vulnerability assessments have focused largely on hazards posed by a single volcano, even though communities and officials in many parts of the world must plan for and contend with hazards associated with multiple volcanoes. To better understand community vulnerability in regions with multiple volcanic threats, we characterize and compare variations in community exposure to lahar hazards associated with five active volcanoes in Washington State, USA—Mount Baker, Glacier Peak, Mount Rainier, Mount Adams and Mount St. Helens—each having the potential to generate catastrophic lahars that could strike communities tens of kilometers downstream. We use geospatial datasets that represent various population indicators (e.g., land cover, residents, employees, tourists) along with mapped lahar-hazard boundaries at each volcano to determine the distributions of populations within communities that occupy lahar-prone areas. We estimate that Washington lahar-hazard zones collectively contain 191,555 residents, 108,719 employees, 433 public venues that attract visitors, and 354 dependent-care facilities that house individuals that will need assistance to evacuate. We find that population exposure varies considerably across the State both in type (e.g., residential, tourist, employee) and distribution of people (e.g., urban to rural). We develop composite lahar-exposure indices to identify communities most at-risk and communities throughout the State who share common issues of vulnerability to lahar-hazards. We find that although lahars are a regional hazard that will impact communities in different ways there are commonalities in community exposure across multiple volcanoes. Results will aid emergency managers, local officials, and the public in educating at-risk populations and developing preparedness, mitigation, and recovery plans within and across communities.

Washington↗

Guidelines for volcano-observatory operations during crises: Recommendations from the 2019 Volcano Observatory Best Practices meeting

In November 2019, the fourth meeting on Volcano Observatory Best Practices workshop was held in Mexico City as a series of talks, discussions, and panels. Volcanologists from around the world offered suggestions for ways to optimize volcano-observatory crisis operations. By crisis, we mean unrest that may or may not lead to eruption, the eruption itself, or its aftermath, all of which require analysis and communications by the observatory. During a crisis, the priority of the observatory should be to acquire, process, analyze, and interpret data in a timely manner. A primary goal is to communicate effectively with the authorities in charge of civil protection. Crisis operations should rely upon exhaustive planning in the years prior to any actual unrest or eruptions. Ideally, nearly everything that observatories do during a crisis should be envisioned, prepared, and practiced prior to the actual event. Pre-existing agreements and exercises with academic and government collaborators will minimize confusion about roles and responsibilities. In the situation where planning is unfinished, observatories should prioritize close ties and communications with the land and civil-defense authorities near the most threatening volcanoes. To a large extent, volcanic crises become social crises, and any volcano observatory should have a communication strategy, a lead communicator, regular status updates, and a network of colleagues outside the observatory who can provide similar messaging to a public that desires consistent and authoritative information. Checklists permit tired observatory staff to fulfill their duties without forgetting key communications, data streams, or protocols that need regular fulfilment (Bretton et al. 2018; Newhall et al. 2020). Observatory leaders need to manage staff workload to prevent exhaustion and ensure that expertise is available as needed. Event trees and regular group discussions encourage multi-disciplinary thinking, consideration of disparate viewpoints, and documentation of all group decisions and consensus. Though regulations, roles and responsibilities differ around the world, scientists can justify their actions in the wake of an eruption if they document their work, are thoughtful and conscientious in their deliberations, and carry out protocols and procedures developed prior to volcanic unrest. This paper also contains six case studies of volcanic eruptions or observatory actions that illustrate some of the topics discussed herein. Specifically, we discuss Ambae (Vanuatu) in 2017–2018, Kīlauea (USA) in 2018, Etna (Italy) in 2018, Bárðarbunga (Iceland) in 2014, Cotopaxi (Ecuador) in 2015, and global data sharing to prepare for eruptions at Nyiragongo (Democratic Republic of Congo).

Hawaii↗