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At least 1,765 records · Page 98Linked to original sources

Pathway models could aid management of contaminants

Heavy metal and trace organic contaminants are often cited as factors that could affect the riclmess of the biological community of San Francisco Bay as well as the health of resident organisms. Silver (Ag), selenium (Se), mercury (Hg), copper (Cu), nickel (Ni), chromium (Cr), and cadmium (Cd) are among the trace elements of current regulatory interest. All these elements can be toxic to estuarine organisms in minute quantities. However, understanding their toxicity in nature has proven a difficult challenge. In general, it is difficult to prove how pollutants are affecting ecosystems. The undisturbed "baseline" condition in San Francisco Bay is not always well enough understood to identify whether certain processes are affected or unaffected by contamination. Sources of disturbance (flow diversions, drought, invasion of exotic species, etc.) occur in addition to chemical contamination. Responses to contamination in individual organisms, populations, and commumties are seldom pollutant-specific, and the complex responses to moderate levels of contamination are not well known.

California↗

Choosing indicators of natural resource condition: A case study in Arches National Park, Utah, USA

Heavy visitor use in many areas of the world have necessitated development of ways to assess visitation impacts. Arches National Park recently completed a Visitor Experience and Resource Protection (VERP) plan. Integral to this plan was developing a method to identify biological indicators that would both measure visitor impacts and response to management actions. The process used in Arches for indicator selection is outlined here as a model applicable to many areas facing similar challenges. The steps were: (1) Vegetation types most used by visitors were identified. Impacted and unimpacted areas in these types were sampled, comparing vegetation and soil factors. (2) Variables found to differ significantly between compared sites were used as potential indicators. (3) Site-specific criteria for indicators were developed, and potential indicators evaluated using these criteria. (4) Chosen indicators were further researched for ecological relevancy. (5) Final indicators were chosen, field tested, and monitoring sites designated. In Arches, indicators were chosen for monitoring annually (soil crust index, soil compaction, number of used social trails and soil aggregate stability) and every five years (vegetation cover and frequency; ground cover; soil chemistry; and plant tissue chemistry).

Environmental Management↗

Monitoring vegetation phenology using MODIS

Accurate measurements of regional to global scale vegetation dynamics (phenology) are required to improve models and understanding of inter-annual variability in terrestrial ecosystem carbon exchange and climate–biosphere interactions. Since the mid-1980s, satellite data have been used to study these processes. In this paper, a new methodology to monitor global vegetation phenology from time series of satellite data is presented. The method uses series of piecewise logistic functions, which are fit to remotely sensed vegetation index (VI) data, to represent intra-annual vegetation dynamics. Using this approach, transition dates for vegetation activity within annual time series of VI data can be determined from satellite data. The method allows vegetation dynamics to be monitored at large scales in a fashion that it is ecologically meaningful and does not require pre-smoothing of data or the use of user-defined thresholds. Preliminary results based on an annual time series of Moderate Resolution Imaging Spectroradiometer (MODIS) data for the northeastern United States demonstrate that the method is able to monitor vegetation phenology with good success.

Remote Sensing of Environment↗

Drivers of disperser immigration into cooperatively breeding carnivore groups

Dispersal is a fundamental process that shapes social groups by affecting genetic diversity, group composition, and social dynamics through immigration and subsequent settlement. In group-living animals, dispersal involves more than just leaving 1 group and arriving at another because dispersers also need to be accepted at an established group for successful dispersal to occur. Understanding how and why new individuals integrate into established social groups remains a key question, particularly when the benefits to existing members are unclear. This question persists in part because the ecological and social conditions that shape disperser settlement remain poorly understood. We leveraged an existing harvest regime and examined 18 years of life-history data from a wild population of cooperatively breeding gray wolves ( Canis lupus ) to understand immigration dynamics of group-living. Specifically, we tested how social and environmental conditions within groups predicted the likelihood that a disperser successfully immigrated into a group, analyzing how breeder turnover, annual harvest, group size, and genetic relatedness influenced that decision. Turnover of breeding males had the strongest effect on the probability of disperser settlement, suggesting that the loss of key social roles may create opportunities for new individuals to join groups. We also found an interaction between group size and harvest. By quantifying conditions that shape immigrant settlement, we highlight a mechanism influencing the stability and structure of cooperatively breeding groups. Unlike studies focused on individual dispersal decisions, our research highlights how variation in ecological and social conditions shape settlement into groups by dispersers.

Idaho↗

Crossroads of highly pathogenic H5N1: overlap between wild and domestic birds in the Black Sea-Mediterranean impacts global transmission

Understanding transmission dynamics that link wild and domestic animals is a key element of predicting the emergence of infectious disease, an event that has highest likelihood of occurring wherever human livelihoods depend on agriculture and animal trade. Contact between poultry and wild birds is a key driver of the emergence of highly pathogenic avian influenza (HPAI), a process that allows for host-switching and accelerated reassortment, diversification and spread of virus between otherwise unconnected regions. This study addresses questions relevant to the spillover of HPAI at a transmission hotspot: what is the nature of the wild bird-poultry interface in Egypt and adjacent Black Sea-Mediterranean countries and how has this contributed to outbreaks occurring worldwide? Using a spatio-temporal model of infection risk informed by satellite tracking of waterfowl and viral phylogenetics, this study identified ecological conditions that contribute to spillover in this understudied region. Results indicated that multiple ducks (Northern Shoveler and Northern Pintail) hosted segments that shared ancestry with HPAI H5 from both clade 2.2.1 and clade 2.3.4 supporting the role of Anseriformes in linking viral populations in East Asia and Africa over large-distances. Quantifying the interface between wild ducks and H5N1-infected poultry revealed an increasing interface in late winter peaking in early spring when ducks expanded their range before migration, with key differences in the timing of poultry contact risk between local and long-distance migrants.

Virus Evolution↗

Ignoring species availability biases occupancy estimates in single-scale occupancy models

Most applications of single-scale occupancy models do not differentiate between availability and detectability, even though species availability is rarely equal to one. Species availability can be estimated using multi-scale occupancy models; however, for the practical application of multi-scale occupancy models, it can be unclear what a robust sampling design looks like and what the statistical properties of the multi-scale and single-scale occupancy models are when availability is less than one. Using simulations, we explore the following common questions asked by ecologists during the design phase of a field study: (Q1) what is a robust sampling design for the multi-scale occupancy model when there are a priori expectations of parameter estimates? (Q2) what is a robust sampling design when we have no expectations of parameter estimates? and (Q3) can a single-scale occupancy model with a random effects term adequately absorb the extra heterogeneity produced when availability is less than one and provide reliable estimates of occupancy probability? Our results show that there is a tradeoff between the number of sites and surveys needed to achieve a specified level of acceptable error for occupancy estimates using the multi-scale occupancy model. We also document that when species availability is low (<0.40 on the probability scale), then single-scale occupancy models underestimate occupancy by as much as 0.40 on the probability scale, produce overly precise estimates, and provide poor parameter coverage. This pattern was observed when a random effects term was and was not included in the single-scale occupancy model, suggesting that adding a random-effects term does not adequately absorb the extra heterogeneity produced by the availability process. In contrast, when species availability was high (>0.60), single-scale occupancy models performed similarly to the multi-scale occupancy model. Users can further explore our results and sampling designs across a number of different scenarios using the RShiny app https://gdirenzo.shinyapps.io/multi-scale-occ/ . Our results suggest that unaccounted for availability can lead to underestimating species distributions when using single-scale occupancy models, which can have large implications on inference and prediction, especially for those working in the fields of invasion ecology, disease emergence, and species conservation.

Methods in Ecology and Evolution↗

Summary of oceanographic and water&ndash;quality measurements in West Falmouth Harbor and Buzzards Bay, Massachusetts, 2009&ndash;2010

This data report presents oceanographic and water-quality observations made at six locations in West Falmouth Harbor and Buzzards Bay, Massachusetts, from August 2009 to September 2010. Both Buzzards Bay and West Falmouth Harbor are estuarine embayments; the input of freshwater on the eastern margin of Buzzards Bay adjacent to Cape Cod and West Falmouth Harbor is largely due to groundwater. In West Falmouth Harbor, the groundwater that seeps into the harbor is characterized by relatively high levels of nitrate. This high nitrate load has modified the ecology of the harbor (Howes and others, 2006) and may be a significant source of nitrate to Buzzards Bay during seasons with low biological nitrate uptake. The U.S. Geological Survey undertook these measurements to improve understanding of circulation, residence time, and water quality in the harbor and bay. We set up and monitored multiple sites in both Buzzards Bay and West Falmouth Harbor, measuring depth, water velocity,salinity, pH, dissolved oxygen, chlorophyll-a, and nitrate concentration. In this report we present the processed time-series data at these locations and provide access to the data and metadata. The results will be used to understand circulation mechanisms and verify numerical models of hydrodynamics and biogeochemistry.

Massachusetts↗

Hydrologic and landscape database for the Cache and White River National Wildlife Refuges and contributing watersheds in Arkansas, Missouri, and Oklahoma

A hydrologic and landscape database was developed by the U.S. Geological Survey, in cooperation with the U.S. Fish and Wildlife Service, for the Cache River and White River National Wildlife Refuges and their contributing watersheds in Arkansas, Missouri, and Oklahoma. The database is composed of a set of ASCII files, Microsoft Access&reg; files, Microsoft Excel&reg; files, an Environmental Systems Research Institute (ESRI) ArcGIS&reg; geodatabase, ESRI ArcGRID&reg; raster datasets, and an ESRI ArcReader&reg; published map. The database was developed as an assessment and evaluation tool to use in examining refuge-specific hydrologic patterns and trends as related to water availability for refuge ecosystems, habitats, and target species; and includes hydrologic time-series data, statistics, and hydroecological metrics that can be used to assess refuge hydrologic conditions and the availability of aquatic and riparian habitat. Landscape data that describe the refuge physiographic setting and the locations of hydrologic-data collection stations are also included in the database. Categories of landscape data include land cover, soil hydrologic characteristics, physiographic features, geographic and hydrographic boundaries, hydrographic features, regional runoff estimates, and gaging-station locations. The database geographic extent covers three hydrologic subregions&mdash;the Lower Mississippi&ndash;St Francis (0802), the Upper White (1101), and the Lower Arkansas (1111)&mdash;within which human activities, climatic variation, and hydrologic processes can potentially affect the hydrologic regime of the refuges and adjacent areas. Database construction has been automated to facilitate periodic updates with new data. The database report (1) serves as a user guide for the database, (2) describes the data-collection, data-reduction, and data-analysis methods used to construct the database, (3) provides a statistical and graphical description of the database, and (4) provides detailed information on the development of analytical techniques designed to assess water availability for ecological needs.

Arkansas;Missouri;Oklahoma↗

Temperature and water-quality diversity and the effects of surface-water connection in off-channel features of the Willamette River, Oregon, 2015–16

Water-quality conditions (including temperature) in the Willamette River and many of its adjacent off-channel features, such as alcoves and side channels, were monitored between river miles 67 (near Salem, Oregon) and 168 (near Eugene, Oregon) during the summers of 2015 and 2016. One or more parameters (water temperature, dissolved oxygen, pH, specific conductance, and [or] water depth) were continuously measured at sites in the main channel (9 sites in 2015; 5 sites in 2016) and select off-channel features (20 features in 2015; 22 features in 2016). This study was initiated in reaction to the unusually warm, dry weather and resulting low streamflows that occurred in the Pacific Northwest in 2015 and the need for flow managers to understand the effects of streamflow on water-quality conditions in off-channel features of the Willamette River. Field monitoring was focused on documenting water-quality conditions during low summer streamflows and during fluctuations in streamflow, including when side channels became alcoves and reconnected to become side channels again. Water in the main channel of the Willamette River upstream from river mile 50 near Newberg typically is well mixed during summer, with warm water temperatures (greater than 18 degrees Celsius) and high dissolved-oxygen concentrations (often greater than 7.7 milligrams per liter). During low summer flows, a diverse suite of off-channel features exists adjacent to the main channel of the Willamette River. Despite temporal and spatial variability within individual features, comparison of continuous water-temperature data between the main channel and off-channel features indicated that some off-channel features were consistently cooler than the main channel, some were consistently warmer than the main channel, and others frequently fluctuated between warmer or cooler than the main channel. Site-specific characteristics including upstream connection, depth, and presence or absence of aquatic or riparian vegetation were factors that seemed to affect the water quality of a feature. Results from this study showed a relation between the geomorphology, hydrology, ecology, and water quality of an off-channel feature. Data confirmed that many features that can be classified as cold-water refuges based on water-temperature standards also contained low concentrations of dissolved oxygen that may not be suitable for sensitive fish species. A simplified site classification scheme is proposed that links water-quality conditions in measured off-channel features with site-specific characteristics and summer streamflows. The site classification scheme was extended to create a theoretical process matrix that relates measured water-quality conditions to a list of the processes and site-specific characteristics that could create those conditions.

Oregon↗

Evaluating species richness: biased ecological inference results from spatial heterogeneity in species detection probabilities

Accurate estimates of species richness are necessary to test predictions of ecological theory and evaluate biodiversity for conservation purposes. However, species richness is difficult to measure in the field because some species will almost always be overlooked due to their cryptic nature or the observer's failure to perceive their cues. Common measures of species richness that assume consistent observability across species are inviting because they may require only single counts of species at survey sites. Single-visit estimation methods ignore spatial and temporal variation in species detection probabilities related to survey or site conditions that may confound estimates of species richness. We used simulated and empirical data to evaluate the bias and precision of raw species counts, the limiting forms of jackknife and Chao estimators, and multi-species occupancy models when estimating species richness to evaluate whether the choice of estimator can affect inferences about the relationships between environmental conditions and community size under variable detection processes. Four simulated scenarios with realistic and variable detection processes were considered. Results of simulations indicated that (1) raw species counts were always biased low, (2) single-visit jackknife and Chao estimators were significantly biased regardless of detection process, (3) multispecies occupancy models were more precise and generally less biased than the jackknife and Chao estimators, and (4) spatial heterogeneity resulting from the effects of a site covariate on species detection probabilities had significant impacts on the inferred relationships between species richness and a spatially explicit environmental condition. For a real dataset of bird observations in northwestern Alaska, the four estimation methods produced different estimates of local species richness, which severely affected inferences about the effects of shrubs on local avian richness. Overall, our results indicate that neglecting the effects of site covariates on species detection probabilities may lead to significant bias in estimation of species richness, as well as the inferred relationships between community size and environmental covariates.

Ecological Applications↗

A Quantitative Threats Analysis for the Florida Manatee ( Trichechus manatus latirostris )

The Florida manatee (Trichechus manatus latirostris) is an endangered marine mammal endemic to the southeastern United States. The primary threats to manatee populations are collisions with watercraft and the potential loss of warm-water refuges. For the purposes of listing, recovery, and regulation under the Endangered Species Act (ESA), an understanding of the relative effects of the principal threats is needed. This work is a quantitative approach to threats analysis, grounded in the assumption that an appropriate measure of status under the ESA is based on the risk of extinction, as quantified by the probability of quasi-extinction. This is related to the qualitative threats analyses that are more common under the ESA, but provides an additional level of rigor, objectivity, and integration. In this approach, our philosophy is that analysis of the five threat factors described in Section 4(a)(1) of the ESA can be undertaken within an integrated quantitative framework. The basis of this threats analysis is a comparative population viability analysis. This involves forecasting the Florida manatee population under different scenarios regarding the presence of threats, while accounting for process variation (environmental, demographic, and catastrophic stochasticity) as well as parametric and structural uncertainty. We used the manatee core biological model (CBM) for this viability analysis, and considered the role of five threats: watercraft-related mortality, loss of warm-water habitat in winter, mortality in water-control structures, entanglement, and red tide. All scenarios were run with an underlying parallel structure that allowed a more powerful estimation of the effects of the various threats. The results reflect our understanding of manatee ecology (as captured in the structure of the CBM), our estimates of manatee demography (as described by the parameters in the model), and our characterization of the mechanisms by which the threats act on manatees. As an example of the type of results generated, we estimated that the probability of the manatee population falling to less than 250 adults on either the Atlantic or Gulf coasts (from a current statewide population size of near 3300) within 100 years is 8.6%. Complete removal of the watercraft threat alone would reduce this risk to 0.4%; complete removal of the warm-water threat to 4.2%; removal of both threats would reduce the risk to 0.1%. The modeling approach we have taken also allows us to consider partial removal of threats, as well as removal of multiple threats simultaneously. We believe the measure we have proposed (probability of quasi-extinction over y years, with quasi-extinction defined as dropping below a threshold of z on either coast) is a suitable measure of status that integrates a number of the elements that are relevant to interpretation under the ESA (it directly integrates risk of extinction and reduction of range, and indirectly integrates loss of genetic diversity). But the identification of the time frame of interest and the tolerable risk of quasi-extinction are policy decisions, and an ecology-based quasi-extinction threshold has not yet been determined. We have endeavored to provide results over a wide range of these parameters to give decision-makers useful information to assess status. This assessment of threats suggests that watercraft-related mortality is having the greatest impact on manatee population growth and resilience. Elimination of this single threat would greatly reduce the probability of quasi-extinction. Loss of warm-water is also a significant threat, particularly over the long-term. Red tide and entanglement, while noticeable threats, have had less of an impact on the manatee population. The effect of water control structures may have already been largely mitigated. We did not, however, consider an exhaustive list of threats. Other threats (e.g., reduction of food resources due to storms and development) may play a

Open-File Report↗

Vegetation influences on infiltration in Hawaiian soils

Changes in vegetation communities caused by removing trees, introducing grazing ungulates, and replacing native plants with invasive species have substantially altered soil infiltration processes and rates in Hawaii. These changes directly impact run-off, erosion, plant-available water, and aquifer recharge. We hypothesize that broad vegetation communities can be characterized by distributions of field-saturated hydraulic conductivity (Kfs). We used 290 measurements of Kfs calculated from infiltration tests from 5 of the Hawaiian Islands to show this effect. We classified the data using 3 broad ecosystem categories: grasses, trees and shrubs, and bare soil. The soils of each site have coevolved with past and present ecological communities without significant mechanical disturbance by agriculture or urban development. Geometric mean values Kfs are 203 mm/hr for soils hosting trees and shrubs, 50 mm/hr for grasses, and 13 mm/hr for bare soil. Differences are statistically significant at the 95% confidence level. These examples show that it is feasible to make maps of relative Kfs based on field and ecosystem data. These ecosystem trends can be used to estimate ongoing changes to run-off and recharge from climate and land use change. Greater Kfs for ecosystems with primarily trees and shrubs suggests that management decisions concerning reforestation or other changes of vegetation can have substantial hydrologic impacts.

Hawaii↗

A community convention for ecological forecasting: Output files and metadata version 1.0

This paper summarizes the open community conventions developed by the Ecological Forecasting Initiative (EFI) for the common formatting and archiving of ecological forecasts and the metadata associated with these forecasts. Such open standards are intended to promote interoperability and facilitate forecast communication, distribution, validation, and synthesis. For output files, we first describe the convention conceptually in terms of global attributes, forecast dimensions, forecasted variables, and ancillary indicator variables. We then illustrate the application of this convention to the two file formats that are currently preferred by the EFI, netCDF (network common data form), and comma-separated values (CSV), but note that the convention is extensible to future formats. For metadata, EFI's convention identifies a subset of conventional metadata variables that are required (e.g., temporal resolution and output variables) but focuses on developing a framework for storing information about forecast uncertainty propagation, data assimilation, and model complexity, which aims to facilitate cross-forecast synthesis. The initial application of this convention expands upon the Ecological Metadata Language (EML), a commonly used metadata standard in ecology. To facilitate community adoption, we also provide a Github repository containing a metadata validator tool and several vignettes in R and Python on how to both write and read in the EFI standard. Lastly, we provide guidance on forecast archiving, making an important distinction between short-term dissemination and long-term forecast archiving, while also touching on the archiving of code and workflows. Overall, the EFI convention is a living document that can continue to evolve over time through an open community process.

Ecosphere↗

Tidal freshwater forested wetlands: Future research needs and an overview of restoration: Chapter 17

Studies of tidal freshwater forested wetlands are few in contrast to the diversity of conditions and information needs that exist for this ecosystem type. Basic information is lacking on the physiological ecology of major wetland tree species under natural settings, the structure and dynamics of pure and mixed species communities, soil-plant interactions, biogeochemistry, hydrology, soils, wildlife habitat, primary biotic and abiotic functions, and the response of these systems to natural and human-caused disruptions. Existing information is often not in a form that can be applied to ecosystem problems, especially those related to management, restoration, or creation of tidal swamps. Accordingly, there is a critical need for research on fundamental biotic and abiotic processes and functions in tidal forested wetland landscapes on a local and regional scale. In this chapter, we detail those research needs, and we highlight some restoration ideas for tidal freshwater forested wetlands with the hope that much additional research will follow.

Book chapter↗

Climate change can drive marine diseases

As an ultimate driver of marine ecosystem processes, climate change is expected to influence proximate disease drivers in marine systems. The observable effects of climate change, including changes in temperature, hypoxia, CO 2 accumulation, precipitation, and storm and cyclone frequencies and intensities, may directly act as proximate drivers of marine disease, especially in poikilotherms. These climate-driven changes are expected to result in the active and passive movement of pathogens and hosts into previously naïve geographical areas, thereby disrupting the long-evolved, stable host–pathogen relationships. Additionally, large-scale ecological changes stemming from climate change are expected to impact pathogen virulence and host susceptibilities. These real and anticipated changes present evolving challenges for resource managers who are charged with managing stochastic marine diseases in a constantly changing environment.

Book chapter↗

Genomic divergence, local adaptation, and complex demographic history may inform management of a popular sportfish species complex

The Neosho Bass ( Micropterus velox ), a former subspecies of the keystone top-predator and globally popular Smallmouth Bass ( M. dolomieu ), is endemic and narrowly restricted to small, clear streams of the Arkansas River Basin in the Central Interior Highlands (CIH) ecoregion, USA. Previous studies have detected some morphological, genetic, and genomic differentiation between the Neosho and Smallmouth Basses; however, the extent of neutral and adaptive divergence and patterns of intraspecific diversity are poorly understood. Furthermore, lineage diversification has likely been impacted by gene flow in some Neosho populations, which may be due to a combination of natural biogeographic processes and anthropogenic introductions. We assessed: (1) lineage divergence, (2) local directional selection (adaptive divergence), and (3) demographic history among Smallmouth Bass populations in the CIH using population genomic analyses of 50,828 single-nucleotide polymorphisms (SNPs) obtained through ddRAD-seq. Neosho and Smallmouth Bass formed monophyletic clades with 100% bootstrap support. We identified two major lineages within each species. We discovered six Neosho Bass populations (two nonadmixed and four admixed) and three nonadmixed Smallmouth Bass populations. We detected 29 SNPs putatively under directional selection in the Neosho range, suggesting populations may be locally adapted. Two populations were admixed via recent asymmetric secondary contact, perhaps after anthropogenic introduction. Two other populations were likely admixed via combinations of ancient and recent processes. These species comprise independently evolving lineages, some having experienced historical and natural admixture. These results may be critical for management of Neosho Bass as a distinct species and may aid in the conservation of other species with complex biogeographic histories.

Ecology and Evolution↗

Tidal extension and sea-level rise: recommendations for a research agenda

Sea-level rise is pushing freshwater tides upstream into formerly non-tidal rivers. This tidal extension may increase the area of tidal freshwater ecosystems and offset loss of ecosystem functions due to salinization downstream. Without considering how gains in ecosystem functions could offset losses, landscape-scale assessments of ecosystem functions may be biased toward worst-case scenarios of loss. To stimulate research on this concept, we address three fundamental questions about tidal extension: Where will tidal extension be most evident, and can we measure it? What ecosystem functions are influenced by tidal extension, and how can we measure them? How do watershed processes, climate change, and tidal extension interact to affect ecosystem functions? Our preliminary answers lead to recommendations that will advance tidal extension research, enable better predictions of the impacts of sea-level rise, and help balance the landscape-scale benefits of ecosystem function with costs of response.

Frontiers in Ecology and the Environment↗

Spatially explicit rangeland erosion monitoring using high-resolution digital aerial imagery

Nearly all of the ecosystem services supported by rangelands, including production of livestock forage, carbon sequestration, and provisioning of clean water, are negatively impacted by soil erosion. Accordingly, monitoring the severity, spatial extent, and rate of soil erosion is essential for long-term sustainable management. Traditional field-based methods of monitoring erosion (sediment traps, erosion pins, and bridges) can be labor intensive and therefore are generally limited in spatial intensity and/or extent. There is a growing effort to monitor natural resources at broad scales, which is driving the need for new soil erosion monitoring tools. One remote-sensing technique that can be used to monitor soil movement is a time series of digital elevation models (DEMs) created using aerial photogrammetry methods. By geographically coregistering the DEMs and subtracting one surface from the other, an estimate of soil elevation change can be created. Such analysis enables spatially explicit quantification and visualization of net soil movement including erosion, deposition, and redistribution. We constructed DEMs (12-cm ground sampling distance) on the basis of aerial photography immediately before and 1 year after a vegetation removal treatment on a 31-ha Pi&ntilde;on-Juniper woodland in southeastern Utah to evaluate the use of aerial photography in detecting soil surface change. On average, we were able to detect surface elevation change of &plusmn; 8&minus;9cm and greater, which was sufficient for the large amount of soil movement exhibited on the study area. Detecting more subtle soil erosion could be achieved using the same technique with higher-resolution imagery from lower-flying aircraft such as unmanned aerial vehicles. DEM differencing and process-focused field methods provided complementary information and a more complete assessment of soil loss and movement than any single technique alone. Photogrammetric DEM differencing could be used as a technique to quantitatively monitor surface change over time relative to management activities.

Utah↗