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At least 1,747 records · Page 97Linked to original sources

Stratigraphic sections of the Phosphoria formation in Idaho, 1947-48, Part I

The Permian Phosphoria formation of the western states contains one of the world's largest reserves of phosphate. Although previous investigations (see especially Mansfield, 1927), including reconnaissance geologic mapping and sampling, established the location of most of the important deposits and their quality of scattered localities, they were not sufficiently detailed to permit a comparison of the merits of individual deposits or an appraisal of the reserves of phosphate rock that might be available under present economic conditions. Because the growing importance of the western phosphate deposits requires a better, more detailed understanding of their distribution and quality, the Geological Survey began in 1947 a comprehensive investigation, including (1) reconnaissance geologic mapping, mostly in Montana, of areas in which the Phosphoria formation could occur but where it had not previously been looked for or found; (2) geologic mapping, mostly in Montana, at a scale no smaller than 1:62,500, of several areas known to contain the Phosphoria formation but not previously mapped except in reconnaissance fashion; (3) geologic and topographic mapping, at a scale of 1:12,000, of some of the richest, thickest, and most accessible deposits; (4) measuring, describing, and sampling all beds of the phosphatic and shaly parts, and in some places the full thickness, of the Phosphoria formation and its stratigraphic equivalents at one or two localities per township over the entire field; (5) chemical and spectrographic analysis of the samples for phosphate, fluorine, minor metals, oil, and rock-forming constituents; and (6) petrologic and geochemical studies of the rocks and minerals of the formation. These studies are designed to define the regional and local geologic structures in which the phosphate bed lie, to provide a basis for the estimation of reserves of the inferred class over the entire region, and to determine the origin of the rocks and the elements contained in them. The data collected are not of the detail required to plan actual mining operations, but it is hoped they will guide industry in the selection of individual deposits worthy of further exploration. Most of the field work contemplated as a part of this investigation is now completed. Although the data will not be compiled or published in final form for some years to come, segments of the data, accompanied by little or no interpretation, will be published as preliminary maps or reports as they are assembled. The present report is the first of a series presenting in abbreviated form the description and analyses of the beds measured and sampled at various localities in southeastern Idaho (pl. 1). Companion reports presenting segments of the data from Montana, Wyoming, and Utah (Swanson and others, 1952, and McKelvey and others, 1952a and 1952b) are being released at the same time as this report, and others are in preparation.

Idaho↗

Non-invasive genetic sampling of Southern Mule Deer ( Odocoileus hemionus fuliginatus ) reveals limited movement across California State Route 67 in San Diego County

—The Southern Mule Deer is a mobile but non-migratory large mammal found throughout southern California and is a covered species in the San Diego Multi-Species Conservation Plan. We assessed deer movement and population connectivity across California State Route 67 and two smaller roads in eastern San Diego County using non-invasive genetic sampling. We collected deer scat pellets between April and November 2015, and genotyped pellets at 15 microsatellites and a sex determination marker. We successfully genotyped 71 unique individuals from throughout the study area and detected nine recapture events. Recaptures were generally found close to original capture locations (within 1.5 km). We did not detect recaptures across roads; however, pedigree analysis detected 21 first order relative pairs, of which approximately 20% were found across State Route 67. Exact tests comparing allele frequencies between groups of individuals in pre-defined geographic clusters detected significant genetic differentiation across State Route 67. In contrast, the assignment-based algorithm of STRUCTURE supported a single genetic cluster across the study area. Our data suggest that State Route 67 may reduce, but does not preclude, movement and gene flow of Southern Mule Deer.

California↗

Geology and ground water for land-use planning in the Eagle River-Chugiak area, Alaska

The Eagle River — Chugiak area is a rapidly growing residential part of the Greater Anchorage Area Borough, south-central Alaska. High-density, urban development in some parts of the area may be restricted because of the nature of the surficial geologic materials and their hydrologic characteristics. This report assembles all information collected by the U.S. Geological Survey on the geology and ground-water resources of the Eagle River — Chugiak area. The study area lies mostly within the Cook Inlet — Susitna Lowland and consists of low hills and intervening channels, hummocky ridges, sloping alluvial fans, and low-lying tidal flats that border Knik Arm. The eastern part of the area lies on the steep slopes of the Chugach Mountains. Drainage is generally to the west and northwest, except that locally the slopes drain southwesterly to the Eagle River, the major stream of the area.

Alaska↗

Application of in vitro extraction studies to evaluate element bioaccessibility in soils from a transect across the United States and Canada

In vitro bioaccessibility tests (IVBA) are inexpensive, physiologically-based extraction tests designed to estimate the bioaccessibility of elements along ingestion exposure pathways. Published IVBA protocols call for the testing to be done on the <250-??m fraction of soil, as these particles are most likely to adhere to the hands of children and be ingested. Most IVBA in the literature to date have been applied to soil samples from highly contaminated sites or to spiked samples, and relatively little work has been done to evaluate bioaccessibility of elements in a wide variety of uncontaminated 'background' soils. In 2004, the US Geological Survey and the Geological Survey of Canada sampled soils along north-south and east-west transects across the two countries to test and refine sampling and analytical protocols recommended for the planned soil geochemical survey of North America. Samples were collected at 220 sites selected randomly at approximately 40-km intervals. The focus of the investigation presented in this paper was twofold: (1) to begin to examine variations in bioaccessibility of As, Cd, Cr, Ni and Pb in a number of 'background' (i.e., unpolluted) soils from around North America and (2) to determine if there are significant differences that would preclude using the standard size fraction of <2 mm for extraction with a simulated gastric fluid as an expeditious and inexpensive bioaccessibility screening tool for the large numbers of future samples to be collected by this continental-scale project. A subset of 20 soil samples collected along the north-south transect at a depth of 0-5 cm was used for this study. Two separate size fractions (<2 mm and <250 ??m) were extracted using a simulated human gastric fluid consisting of a solution of HCl and glycine adjusted to a pH of 1.5. In general, the leachate results for the <2-mm size fraction were not substantially different than those for the <250-??m size fraction for concentrations of As, Cd, Cr, Ni and Pb. Leachate concentrations for Cd, Ni and Pb appear to be controlled to some extent by the total concentration of the element in soil. Bioaccessibility of the elements in this study decreased in the order, Cd > Pb > Ni > As > Cr.

Applied Geochemistry↗

Can shale safely host US nuclear waste?

"Even as cleanup efforts after Japan’s Fukushima disaster offer a stark reminder of the spent nuclear fuel (SNF) stored at nuclear plants worldwide, the decision in 2009 to scrap Yucca Mountain as a permanent disposal site has dimmed hope for a repository for SNF and other high-level nuclear waste (HLW) in the United States anytime soon. About 70,000 metric tons of SNF are now in pool or dry cask storage at 75 sites across the United States [Government Accountability Office, 2012], and uncertainty about its fate is hobbling future development of nuclear power, increasing costs for utilities, and creating a liability for American taxpayers [Blue Ribbon Commission on America’s Nuclear Future, 2012].However, abandoning Yucca Mountain could also result in broadening geologic options for hosting America’s nuclear waste. Shales and other argillaceous formations (mudrocks, clays, and similar clay-rich media) have been absent from the U.S. repository program. In contrast, France, Switzerland, and Belgium are now planning repositories in argillaceous formations after extensive research in underground laboratories on the safety and feasibility of such an approach [Blue Ribbon Commission on America’s Nuclear Future, 2012; Nationale Genossenschaft für die Lagerung radioaktiver Abfälle (NAGRA), 2010; Organisme national des déchets radioactifs et des matières fissiles enrichies, 2011]. Other nations, notably Japan, Canada, and the United Kingdom, are studying argillaceous formations or may consider them in their siting programs [Japan Atomic Energy Agency, 2012; Nuclear Waste Management Organization (NWMO), (2011a); Powell et al., 2010]."

Eos, Transactions, American Geophysical Union↗

Understanding gaps in early detection of and rapid response to invasive species in the United States: A literature review and bibliometric analysis

While concepts regarding invasive species establishment patterns and eradication possibilities have long been a topic of invasion biology, the specific terminology referring to early detection of and rapid response to (EDRR) invasive species emerged in scientific literature during the early 2000s. Since then, the EDRR approach has expanded to include a suite of detection, planning, and management tools. By conducting a systematic literature review, we attempt to characterize the field of EDRR in the United States and its territories as reflected by publication records. Specifically, we assessed publication data such as the number of publications per year, the most common journals where papers were published, and the relationship between author’s keywords for studies focusing on aquatic and terrestrial habitats. For publications that used invasive species occurrence or abundance data (whether collected for the purposes of the respective publication or acquired from another data source), we manually vetted additional information such as focal taxa, data collection years and locations, sources of other data used, and whether data or code were deposited in open access formats. We also conducted network analyses for the author institutions that coauthored papers together most frequently and for the references most cited by EDRR publications. Overall, we found that silos existed in terms of which author institutions worked together, which existing literature was cited, and which topics were frequently explored. We also found evidence of substantial gaps in data access and use. For example, although a wide variety of data sources for invasive species occurrences are available, these sources were seldom cited by published literature, and newly collected data was not often deposited into invasive species databases or other open-source data repositories. Considering the continued advocation for a centralized national EDRR information system, our study suggests that facilitating access to data, decision support tools, and other informational resources represents a key opportunity for improving EDRR capabilities.

Ecological Informatics↗

Toward a US framework for continuity of satellite observations of Earth's climate and for supporting societal resilience

There is growing urgency for improved public and commercial services to support a resilient, secure, and thriving United States (US) in the face of mounting decision-support needs for environmental stewardship and hazard response, as well as for climate change adaptation and mitigation. Sustained space-based Earth observations are critical infrastructure to support the delivery of science and decision-support information with local, national, and global utility. This is reflected in part through the United States' sustained support of a suite of weather and land-imaging satellites. However, outside of these two areas, the US lacks an overarching, systematic plan or framework to identify, prioritize, fund, and implement sustained space-based Earth observations to meet the Nation's full range of needs for science, government policy, and societal support. To aid and accelerate the discussion on our nation's needs, challenges and opportunities associated with sustained critical space-based Earth observations, the Keck Institute for Space Studies (KISS) sponsored a multi-week think-tank study to offer ways forward. Based on this study, the KISS study team suggests the establishment of a robust coordination framework to help address US needs for sustained Earth observations. This coordination framework could account for: (a) approaches to identify and prioritize satellite observations needed to meet US needs for science and services, (b) the rapidly evolving landscape of space-based Earth viewing architecture options and technology improvements with increasing opportunities and lower cost access to space, and (c) the technical and programmatic underpinnings required for proper and comprehensive data stewardship to support a wide range of research and public services.

Earth's Future↗

A GIS modeling method applied to predicting forest songbird habitat

We have developed an approach for using “presence” data to construct habitat models. Presence data are those that indicate locations where the target organism is observed to occur, but that cannot be used to define locations where the organism does not occur. Surveys of highly mobile vertebrates often yield these kinds of data. Models developed through our approach yield predictions of the amount and the spatial distribution of good-quality habitat for the target species. This approach was developed primarily for use in a GIS context; thus, the models are spatially explicit and have the potential to be applied over large areas. Our method consists of two primary steps. In the first step, we identify an optimal range of values for each habitat variable to be used as a predictor in the model. To find these ranges, we employ the concept of maximizing the difference between cumulative distribution functions of (1) the values of a habitat variable at the observed presence locations of the target organism, and (2) the values of that habitat variable for all locations across a study area. In the second step, multivariate models of good habitat are constructed by combining these ranges of values, using the Boolean operators “and” and “or.” We use an approach similar to forward stepwise regression to select the best overall model. We demonstrate the use of this method by developing species-specific habitat models for nine forest-breeding songbirds (e.g., Cerulean Warbler, Scarlet Tanager, Wood Thrush) studied in southern Ohio. These models are based on species’ microhabitat preferences for moisture and vegetation characteristics that can be predicted primarily through the use of abiotic variables. We use slope, land surface morphology, land surface curvature, water flow accumulation downhill, and an integrated moisture index, in conjunction with a land-cover classification that identifies forest/nonforest, to develop these models. The performance of these models was evaluated with an independent data set. Our tests showed that the models performed better than random at identifying where the birds occurred and provided useful information for predicting the amount and spatial distribution of good habitat for the birds we studied. In addition, we generally found positive correlations between the amount of habitat, as predicted by the models, and the number of territories within a given area. This added component provides the possibility, ultimately, of being able to estimate population sizes. Our models represent useful tools for resource managers who are interested in assessing the impacts of alternative management plans that could alter or remove habitat for these birds.

Ecological Applications↗

Regional hydraulic geometry characteristics of stream channels in the Ouachita Mountains of Arkansas

Many stream channel infrastructure, habitat, and restoration projects are being undertaken on small streams throughout Arkansas by various Federal, State, and local agencies and by private organizations and businesses with limited data on local geomorphology and streamflow relations. Equations are needed that relate drainage area above stable stream reaches and the associated basin characteristics to bankfull streamflow and the associated channel dimensions. These equations, along with streambed material particle information, provide information that can improve stream channel projects. The U.S. Geological Survey and the Arkansas Natural Resources Commission in cooperation with the U.S. Army Corps of Engineers, Little Rock District, undertook a study to develop these equations for streams in the Ouachita Mountains of Arkansas. Seventeen streamgages operated by the U.S. Geological Survey, located on streams in the Ouachita Mountains, were selected for analysis. Regional hydraulic geometry curves that express the mathematical relation between the bankfull channel dimensions (cross-sectional area, top width, mean depth, and streamflow) and the contributing drainage areas were developed. Streambed material measurements were collected to develop descriptive statistics of the streambed particle-size distributions and percentages of substrate type at each study site. Stream reaches at each study site were classified to the Rosgen level II stream type based on the average of stream channel metrics collected from site cross sections and profiles. Of the 17 selected Ouachita Mountain stream reaches, 6 were classified as B stream types, and 11 were classified as C stream types. The B stream types have infrequently spaced pools; very stable plan forms, profiles, and banks; and narrow, gently sloping valleys, where bank vegetation is a moderate component of stability. The C stream types are meandering, point bar, riffle-pool channels associated with broad valleys having well-defined flood plains and terraces composed of alluvial soils, where bank vegetation is typically a high component of stability.

Arkansas↗

Effects of prescribed fire in the coastal prairies of Texas

Prescribed fire is widely applied for habitat management in coastal ecosystems. Fire management plans typically list a variety of objectives for prescribed burning, including succession management, promotion of native flora and fauna, providing habitat for species of importance, wildfire risk reduction (fuels management), as well as reduction and/or prevention of invasive species. In most cases, the information needed to determine the degree to which management objectives are met is not available. This study sought to provide an assessment of key objectives of fire management at the U.S. Fish and Wildlife Service (USFWS) Texas Mid-coast National Wildlife Refuge Complex. The main purpose of this work was to provide information and recommendations that will support Region 2 of the USFWS in the conduct of their fire and habitat management activities in the Western Gulf coast region. There were four main components of this project: (1) a historical analysis of the role of fire in this ecosystem, (2) the development of standard methodology for assessing and monitoring fire effects in this system, (3) an evaluation of the effects of prescribed burning on the habitat being managed, and (4) an evaluation of the effects of burning on select fauna of special concern. A team of researchers, including some from the U.S. Geological Survey (USGS), Southeast Missouri State University, and Louisiana State University were involved in the various components of this project. Extensive support by USFWS personnel, both at the Texas Mid-coast National Wildlife Refuge Complex and in the Regional Office (Region 2, USFWS), was a key component in this work. Data from the three years of this study were combined with the results of previous USGS studies performed at the site to strengthen our conclusions.

Open-File Report↗

Documentation of data collection in Currituck Sound, North Carolina and Virginia, 2006-2007

During 2006 and 2007, scientists from Elizabeth City State University, North Carolina Estuarine Research Reserve, the U.S. Fish and Wildlife Service, and the U.S. Geological Survey collected hydrologic and water-quality data at nine sites in and around Currituck Sound. Hydrologic and water-quality data were collected at five tributary sites--the Northwest River near Moyock, Tull Creek near Currituck, and Intracoastal Waterway near Coinjock in North Carolina, and the Albemarle and Chesapeake Canal near Princess Anne, and the North Landing River near Creeds in Virginia. In addition, data were collected at one site at the mouth of Currituck Sound (Currituck Sound at Point Harbor, North Carolina). Only water-quality data were collected at three sites in Currituck Sound and Back Bay-Currituck Sound near Jarvisburg, and Upper Currituck Sound near Corolla in North Carolina, and Back Bay near Back Bay in Virginia. The hydrologic data included water elevation and velocity, and discharge. The water-quality data included discrete samples and continuous measurements of water temperature, specific conductance, dissolved oxygen, pH, turbidity, and chlorophyll a. The hydrologic and water-quality data collected for this study were quality assured by the U.S. Geological Survey and stored in the National Water Information System database. The data collected for this project are being used to develop an unsteady multidimensional hydrodynamic and water-quality model of Currituck Sound by the U.S. Army Corps of Engineers. The purpose of this model is to provide the basis for planning and the development of best-management practices and restoration projects for Currituck Sound and its tributaries.

North Carolina, Virginia↗

Groundwater, surface-water, and water-chemistry data from C-aquifer monitoring program, northeastern Arizona, 2005-11

The C aquifer is a regionally extensive multiple-aquifer system supplying water for municipal, agricultural, and industrial use in northeastern Arizona, northwestern New Mexico, and southeastern Utah. An increase in groundwater withdrawals from the C aquifer coupled with ongoing drought conditions in the study area increase the potential for drawdown within the aquifer. A decrease in the water table and potentiometric surface of C aquifer is illustrated locally by the drying up of Obed Meadows, a natural peat deposit, and Hugo Meadows, a natural wetland, both south of Joseph City, Arizona. Continual increase in water use from the C aquifer, including a planned increase in pumpage by the City of Flagstaff, is justification for continued monitoring of the C-aquifer system in order to quantify physical and chemical responses to pumping stresses. Fifteen of the 35 C-aquifer wells analyzed had water-level data sufficient for percentage difference calculation for 2005&ndash;11. Change in water level as a percentage of the initial water-level measurement for these 15 wells ranged from about -0.2 to about -0.5 percent. For historical water-level data, changes in water levels were greatest around pumping centers, as indicated by a -97.0 feet (percentage difference of -16.5 percent) change over the period of record (1962&ndash;2005) for the Lake Mary 1 Well near Flagstaff, Arizona. In more rural areas of the C aquifer, water levels showed less change for both the temporal focus of this report (2005&ndash;11) and for historical values. Continuous records of surface-water discharge from 2005 to 2007 for three discontinued streamflow-gaging stations (Clear Creek near Winslow, AZ, 09399000; Clear Creek below McHood Lake near Winslow, AZ, 09399100; and Chevelon Creek near Winslow, AZ, 09398000) were tabulated. For the period of record, Clear Creek near Winslow, AZ, and Chevelon Creek near Winslow, AZ, showed seasonal discharge distributions indicative of natural streams in the southwestern United States. Clear Creek below McHood Lake near Winslow, AZ, showed discharge distribution indicative of perennial spring flow with little variation annually. Physical and chemical data collected during four baseflow investigations (summer 2005, summer 2006, summer 2008, and winter 2010) conducted on Clear Creek, Chevelon Creek, and a portion of the Little Colorado River were compiled and analyzed. Data from 7 sampling sites established on the Little Colorado River, 11 sites along Chevelon Creek, and 14 sites along Clear Creek were included. For the four baseflow investigations presented, a 2,000&ndash;3,000 microsiemens per centimeter increase in specific conductance was measured in Chevelon Creek from near its headwaters to the confluence with the Little Colorado River because of the contribution of highly conductive spring discharge. Clear Creek showed a less consistent pattern of increase in specific conductance with distance, but still exhibited changes on the order of 5,000 microsiemens per centimeter over just a few river miles. Water-chemistry data for selected wells and baseflow investigations sites are presented. No well samples analyzed exceeded the U.S. Environmental Protection Agency Maximum Contaminant Level standards for drinking water, but several samples exceeded Secondary Maximum Contaminant Level standards for chloride, fluoride, sulfate, iron, and total dissolved solids.

Arizona↗

A proposed streamflow data program for Oklahoma

An evaluation of the streamflow data available in Oklahoma has been made to provide guidelines for planning future data-collection programs. The basic steps in the evaluation procedure were (1) definition of the long-terms goals of the streamflow-data program in quantitative form, (2) examination and analysis of streamflow data to determine which goals have been met, and (3) consideration of alternate programs and techniques to meet the remaining goals. The study defines the individual relation between certain statistical streamflow characteristics and selected basin parameters. This relation is a multiple regression equation that could be used on a statewide basis to compute a selected natural-flow characteristic at any site on a stream. The study shows that several streamflow characteristics can be estimated within an accuracy equivalent to 10 years of record by use of a regression related to at least three climatic or basin parameters for any basin of 50 square miles or more. The study indicates that significant changes in the scope and character of the data-collection program would enhance the possibility of attaining the remaining goals. A streamflow-data program based on the guidelines developed in this study is proposed for the future.

Open-File Report↗

The Loma Prieta, California, earthquake of October, 17, 1989: Marina District

During the earthquake, a total land area of about 4,300 km2 was shaken with seismic intensities that can cause significant damage to structures. The area of the Marina District of San Francisco is only 4.0 km2--less than 0.1 percent of the area most strongly affected by the earthquake--but its significance with respect to engineering, seismology, and planning far outstrips its proportion of shaken terrain and makes it a centerpiece for lessons learned from the earthquake. The Marina District provides perhaps the most comprehensive case history of seismic effects at a specific site developed for any earthquake. The reports assembled in this chapter, which provide an account of these seismic effects, constitute a unique collection of studies on site, as well as infrastructure and societal, response that cover virtually all aspects of the earthquake, ranging from incoming ground waves to the outgoing airwaves used for emergency communication. The Marina District encompasses the area bounded by San Francisco Bay on the north, the Presidio on the west, and Lombard Street and Van Ness Avenue on the south and east, respectively. Nearly all of the earthquake damage in the Marina District, however, occurred within a considerably smaller area of about 0.75 km2, bounded by San Francisco Bay and Baker, Chestnut, and Buchanan Streets. At least five major aspects of earthquake response in the Marina District are covered by the reports in this chapter: (1) dynamic site response, (2) soil liquefaction, (3) lifeline performance, (4) building performance, and (5) emergency services.

California↗

Water-quality monitoring strategy for Mount Hope Bay and the Taunton River Estuary, southeastern Massachusetts

The U.S. Geological Survey, in cooperation with the Massachusetts Department of Environmental Protection (MassDEP), began a study in 2018 to develop a water-quality monitoring strategy (WQMS) for Mount Hope Bay and the Taunton River Estuary in southeastern Massachusetts. MassDEP is interested in water-quality data in Mount Hope Bay and the Taunton River Estuary to characterize current water-quality conditions, assess nutrient-related effects, and capture conditions before and after planned upgrades to wastewater treatment facilities. The WQMS provides an overview of the environmental setting of Mount Hope Bay and the Taunton River Estuary and of dissolved oxygen and nutrient-related water-quality issues, reviews historical and existing monitoring data, and provides recommendations for future monitoring designed to meet five MassDEP management objectives: (1) support MassDEP’s review of coastal and marine dissolved oxygen criteria, (2) assess conditions within MassDEP waterbody assessment units in Mount Hope Bay and the Taunton River Estuary with respect to selected criteria in the Massachusetts Surface Water Quality Standards, (3) assess conditions along the freshwater/saltwater interface (salt wedge) of the Taunton River Estuary and delineate the boundary between the freshwater and saltwater waterbody assessment units, (4) estimate data requirements needed to determine nutrient loads flowing into Mount Hope Bay and the Taunton River Estuary, and (5) evaluate data requirements needed to support hydrodynamic and water-quality models for Mount Hope Bay and the Taunton River Estuary. This WQMS may be used by MassDEP to develop a statewide approach for monitoring estuaries in Massachusetts.

Massachusetts↗

Availability of water from the alluvial aquifer in part of the Green River Valley, King County, Washington

The Muckleshoot Indian Tribe plans (1982) to build a fish hatchery in part of a 1.56-square-mile area in the Green River valley, Washington, and use groundwater to operate it. Groundwater data were collected in the area and used in a U.S. Geological Survey two-dimensional groundwater-flow model calibrated to simulate the groundwater-flow system in the study area. Measured water levels in the alluvial aquifer were simulated to within 1 foot at 7 of 12 observation wells, and within 2 feet at all 12 wells. When pumping from the aquifer was simulated with the model, it was found that all water pumped from wells was derived from induced leakage from the Green River into the alluvium and reduced leakage through the alluvium to the Green River. Pumping from the alluvium may also reduce the flow of a tributary to the Green River.

Washington↗

Species recovery and recolonization of past habitats: Lessons for science and conservation from sea otters in estuaries

Recovering species are often limited to much smaller areas than they historically occupied. Conservation planning for the recovering species is often based on this limited range, which may simply be an artifact of where the surviving population persisted. Southern sea otters ( Enhydra lutris nereis ) were hunted nearly to extinction but recovered from a small remnant population on a remote stretch of the California outer coast, where most of their recovery has occurred. However, studies of recently-recolonized estuaries have revealed that estuaries can provide southern sea otters with high quality habitats featuring shallow waters, high production and ample food, limited predators, and protected haul-out opportunities. Moreover, sea otters can have strong effects on estuarine ecosystems, fostering seagrass resilience through their consumption of invertebrate prey. Using a combination of literature reviews, population modeling, and prey surveys we explored the former estuarine habitats outside the current southern sea otter range to determine if these estuarine habitats can support healthy sea otter populations. We found the majority of studies and conservation efforts have focused on populations in exposed, rocky coastal habitats. Yet historical evidence indicates that sea otters were also formerly ubiquitous in estuaries. Our habitat-specific population growth model for California’s largest estuary—San Francisco Bay—determined that it alone can support about 6,600 sea otters, more than double the 2018 California population. Prey surveys in estuaries currently with (Elkhorn Slough and Morro Bay) and without (San Francisco Bay and Drakes Estero) sea otters indicated that the availability of prey, especially crabs, is sufficient to support healthy sea otter populations. Combining historical evidence with our results, we show that conservation practitioners could consider former estuarine habitats as targets for sea otter and ecosystem restoration. This study reveals the importance of understanding how recovering species interact with all the ecosystems they historically occupied, both for improved conservation of the recovering species and for successful restoration of ecosystem functions and processes.

California↗

Towards sustainable management of huntable migratory waterbirds in Europe

The EU Birds Directive and the African-Eurasian Waterbird Agreement provide an adequate legal framework for sustainable management of migratory waterbird populations. The main shortcoming of both instruments is that it leaves harvest decisions of a shared resource to individual Member States and Contracting Parties without providing a shared information base and mechanism to assess the impact of harvest and coordinate actions in relation to mutually agreed objectives. A recent update of the conservation status of waterbirds in the EU shows that almost half of the populations of species listed on Annex II of the Birds Directive have a declining short-term trend and over half of them are listed in Columns A and B of AEWA. This implies that their hunting could either only continue under the framework of an adaptive harvest management plan or their hunting should be regulated with the view of restoring them in favourable conservation status. We argue that a structured approach to decision-making (such as adaptive management) is needed, supported with adequate organisational structures at flyway scale. We review the experience with such an approach in North America and assess the applicability of a similar approach in the European context. We show there is no technical reason why adaptive harvest management could be not applied in the EU or even AEWA context. We demonstrate that an informed approach to setting allowable harvests does not require detailed demographic information. Essential to the process, however, are estimates of either the observed growth rate from a monitoring program or the growth rate expected under ideal conditions. In addition, periodic estimates of population size are needed, as well as either empirical information or reasonable assumptions about the form of density dependence. We show that such information exists for many populations, but improvements are needed to improve geographic coverage, reliability and timely data availability. We highlight the importance of the International Waterbird Census and specialised goose and seaduck monitoring in estimating population sizes and observed growth rate of the populations. We encourage further investments into the development of these schemes. We also recognise the importance of migration studies to improve our understanding of delineations of populations. We also highlight that, with a few exceptions, the available data does not allow the European Commission, competent authorities of the Members States or other AEWA Contracting Parties to assess levels of harvest and their sustainability and, therefore, regulate hunting accordingly. Therefore, we recommend that annual reporting on 2 harvest levels of waterbird populations would be gradually introduced in the EU and the AEWA region. We propose that future AEWA and EU action plans and management plans for Annex II species should apply the principles of adaptive harvest management framework and make provisions for setting up adequate monitoring and information management systems and organisational structures to manage the decision-making process. We suggest that internationally coordinated management structures are established to facilitate dialogue, learning and communication between stakeholders with different interests and cultural backgrounds.

Report↗