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Source-linked reports with geographic coverage including United States.

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Advancing monitoring approaches to enhance tidal Chesapeake Bay habitat assessment for submerged aquatic vegetation, water clarity, chlorophyll a and dissolved oxygen

Water quality monitoring capacity has been declining for the Chesapeake Bay Program (CBP) at a time when information needs are growing, and data gaps exist to address critical decision-support for managers. The CBP Scientific Technical Assessment and Reporting Team is leading a Principal’s Staff Committee requested gap analyses toward understanding support needed to improve water quality monitoring and analysis programming. Advanced technologies and alternative monitoring approaches in the form of satellite-based measurements, Artificial Intelligence/Machine Learning (AI/ML) algorithms for data interpretation, continuous water quality in-situ sensor arrays, and community science efforts offer a growing portfolio of valuable opportunities for expanding data collections and analysis program capacities. However, since 1985, each of these options are examples of growing opportunities to enhance water quality assessments yet has seen limited adoption into elements of Chesapeake Bay water quality monitoring programs. Where new technologies have been adopted (e.g., shallow water continuous water quality monitoring), such temporally rich data streams have supported Bay health insights yet had limited use in regulatory water quality criteria assessment. This Scientific Technical Advisory Committee (STAC) supported workshop provided the ideal forum for engaging our CBP partnership regarding the maturity of new and evolving monitoring and analysis capacities to address program information needs while appreciating limitations with adopting new tools and approaches. Improving natural resources monitoring efficiency and effectiveness will expand the scientific and technical foundations for making robust, strategic choices on decisions for CBP Partnership community-based priorities, policies, and management actions. Workshop findings and recommendations reflect progress in science, technology, and analyses addressing long-standing programmatic limitations in data collection and analysis capacities. State-of-the-science updates highlighted in the workshop span the spectrum of efforts representing improvements, successes, remaining challenges toward operationalizing protocols, and guidance toward research, or adoption and implementation by monitoring programs.

Maryland, Pennsylvania, Virginia

Amphibian use of recently created wetlands in the Palouse region of northern Idaho, USA

Human development has resulted in the loss of natural wetlands in many regions and thus has led to amphibian habitat loss. Human-constructed wetlands are increasingly prevalent, particularly in human-modified landscapes, and can be used as breeding habitats by amphibians. It is important to identify factors influencing amphibian use of constructed wetlands to guide future wetland creation efforts. We examined wetland- and landscape-level factors influencing the presence and reproduction of native amphibians in 33 recently created (2–11 yold) wetlands within an urban-agricultural interface in northern Idaho, USA. We recorded wetland age, perimeter vegetation, and percentage of surrounding land cover as covariates and modeled detection and occupancy using Bayesian Multi-scale Occupancy Models for the three species we detected: Sierran Treefrog ( Pseudacris sierra ), Colombia Spotted Frog ( Rana luteiventris ), and Long-Toed Salamander ( Ambystoma macrodactylum ). Our results indicate that these three species can rapidly colonize recently created wetlands in an urban-agricultural interface. The effects of wetland- and landscape-scale features varied across species. Colombia Spotted Frog occupancy was greatest in older wetlands with some evidence for a negative association with more urbanized landscapes. Long Toed Salamanders and Sierran Treefrogs were not associated with wetland age but also showed some evidence of negative associations with urbanization. Long-Toed Salamanders showed evidence of using less vegetated wetlands while Sierran Treefrogs showed evidence of using more vegetated wetlands. Our results are consistent with multiple studies showing that wetlands in human-modified landscapes can provide amphibian breeding habitat, and they suggest that including vegetation plantings within recently created wetlands may promote amphibian colonization. Anecdotal observations also indicate that designing wetlands with sufficient hydroperiod for metamorphoses may be important for ensuring that newly created wetlands benefit amphibian populations.

Idaho

Occupancy rates of river otters (Lontra canadensis) in the St. Louis River Area of Concern

The St. Louis River Area of Concern (AOC), an estuarine system along the northeastern Minnesota-Wisconsin border, experienced significant ecological disturbances and degradation from unregulated industrial development during the 19 th and 20 th centuries. Recent restoration and remediation efforts in the AOC have led to substantial improvements in water quality, habitat, and fisheries populations. However, the status of wildlife populations following restoration efforts in the AOC remain largely unknown. We used remote cameras to estimate occupancy rates of river otters Lontra canadensis in the AOC and at two reference areas that had not been subjected to historical degradation. Because river otters occupy a high trophic level within these systems, we hypothesized that they would be an effective indicator species of overall habitat quality and recovery. Using data collected from June 2015 to February 2016, we developed single-season occupancy models for both summer and winter seasons. We found no differences in occupancy between the AOC and the reference sites, suggesting that river otter populations within the AOC were comparable to those in unaffected areas. Our results indicate that habitat restoration and remediation efforts in the St. Louis River estuary have been successful in promoting healthy wildlife populations.

Minnesota, Wisconsin

No detection of Batrachochytrium salamandrivorans after non-native salamander putative pet release in Massachusetts, USA

The disease caused by the amphibian chytrid fungus Batrachochytrium salamandrivorans (Bsal) has caused mass mortality of salamanders across Europe (Stegen et al. 2017; amphibians are not known to be susceptible to the disease (Martel et al. 2014). Bsal puts North American amphibian biodiversity at risk (Martel et al. 2014; Gray et al. 2015) despite imports of potentially infected amphibians (USFWS 2016; WAPTR 2018; Grear et al. 2021). Recently, the U.S. has announced the finalization of the 2016 interim rule to the Lacey Act (USFWS 2016) to restrict imports of all species of salamanders from 20 genera to the list of injurious amphibians and has added 16 genera to the injurious amphibian list in a new interim rule in response to updated research on salamander susceptibility to Bsal infection (USFWS 2025). A large-scale survey across the USA failed to detect Bsal in over 10,000 individuals (Waddle et al. 2020), and ongoing efforts by North American colleges and universities are similarly conducting Bsal surveillance without more recent detection (e.g., Hyman and Hill 2024). Concerned amphibian and disease specialists nevertheless are preparing for a Bsal invasion into North America (Grant et al. 2017; Olson et al.2024). Despite the initial survey results, the risk of Bsal incursion into North America remains due to broad host susceptibility of North American amphibian species (Gray et al. 2023). The major driver of Bsal introduction risk in the U.S. is expected to be captive amphibian release (Cunningham et al. 2015; Grear et al. 2021). Bsal primarily affects salamanders but anuran species can also be vectors (e.g., Towe et al. 2021; Monzon et al. 2022; Gray et al. 2023; Olson et al. 2024), increasing the risk of a released amphibian carrying Bsal into the natural environment (Grear et al. 2021). An early survey of pet salamanders in the United States did not detect Bsal (Klocke et al. 2017), but even one animal released with Bsal could have a major effect on local amphibians. Early detection and rapid response can improve host outcomes (Bletz et al. 2024; Gray et al. 2018), but the lack of timely knowledge about unwanted release of non-native pets to natural systems causes inevitable delay. Herein, we describe our experience responding to a report of a released non-native amphibian species, common in the pet trade (Gerson 2012; Maximo et al. 2021). We suggest improvements to early detection and rapid response efforts for amphibians and amphibian disease

Massachusetts

Assessing hatchery infrastructure for invasive Dreissenid mussel vulnerability in eastern Washington

Zebra ( Dreissena polymorpha ) and quagga ( Dreissena rostriformis bugensis ) mussels have caused the highest economic costs among all aquatic invasive species in the United States (Washington Department of Fish and Wildlife (WDFW) 2016). Officials estimate that if zebra and quagga mussels become established in Washington, removal and management costs could exceed $100 million annually (WDFW 2024a). The Pacific Northwest’s first confirmed detection of quagga mussels occurred in September 2023, when quagga mussel larvae were identified in the Snake River near Twin Falls, Idaho, approximately 280 river kilometers upstream of the Washington border and 680 river kilometers upstream of the Snake-Columbia River confluence (Washington Invasive Species Council 2023). Subsequently, quagga mussel larvae have been detected in Idaho waters at Shoshone Falls Pool, Pillar Falls, and Twin Falls Reservoir located upriver of the Twin Falls hydroelectric facility (Idaho State Department of Agriculture 2024). Additionally, zebra mussels were found in aquarium moss balls at pet stores in Washington in 2021 and 2024. However, neither zebra nor quagga mussels have been detected in Washington’s natural waterways (WDFW 2024b).

Washington

Vessel surveys for marine birds in the Gulf of America (Gulf of Mexico): Protocol manual (2017–2025)

This manual provides contextual background and detailed instructions for survey procedures that were used to collect, enter, archive, and analyze digitally-entered field data collected for marine birds during three large-vessel survey projects in the northern Gulf of America (also Gulf of Mexico, hereafter “Gulf”). Projects using this protocol included the Gulf of Mexico Marine Assessment Program for Protected Species (GoMMAPPS: 2017-2018), the Vessel Surveys for Abundance and Distribution of Marine Mammals and Seabirds (VSAD: 2023-2024), and certain repositioning legs of the Atlantic Marine Assessment Program for Protected Species (AMAPPS: 2021, 2023). Based substantially on Ballance and Force (2011), the protocol used in the Gulf is based on a standardized 300 m wide strip transect using software architecture available in program SeeBird (v.4.3.7), a data collection program developed by Robert Holland at the National Oceanic and Atmospheric Administration (NOAA) Southwest Fisheries Science Center, La Jolla, CA. Survey protocols relied on the digital entering of standardized metadata linked to sightings of seabirds (e.g., species, number, location, distance bin, association[s], behavior, flight direction, flight height, angle from ship, age, sex, plumage, and optional comments) as well as other protected species. SeeBird has additional modules that may be used to input data on mixed-species seabird flocks and flying fish (only the latter was used in the Gulf). SeeBird includes “user-driven” commands issued through the keyboard, touch screen, and/or mouse, many of which are aided by drop-down menus that prompt the user options that are available for input. In addition, the program features “event–driven” inputs updated at intervals selected by the user, and that also record exact time and location of such edits. We describe how SeeBird was adapted in the Gulf both to run directly via serial connections from the ship’s navigation system and to operate independently from the ship through a satellite-derived GPS feed. This user manual also gives information about: procedures used to document flying fish abundance on Gulf surveys; how to use the Beaufort scale for standardizing wind force and sea state environmental conditions; how to make and use a hand-held rangefinder for delimiting strip transect bin distances; additional functionalities in SeeBird for which user guides are not available; file-naming, file-archiving, and file location conventions used on Gulf marine bird surveys; protocols used in the Gulf for describing relative abundance of the macro-alga Sargassum as an environmental covariate; the standardized four-letter taxa codes (summarized in a SpeciesCode.txt file) used in the Gulf for denoting species, other taxonomic, and event categories as inputs to SeeBird; an Excel example spreadsheet that has successfully imported SeeBird’s ASCII text file; procedural steps to import, edit, and archive into Excel ASCII text files from SeeBird; initialization instructions for starting up program SeeBird on a Panasonic ToughBook™ that relies on integrated, satellite-derived GPS, and for writing “S” (seabirds + other taxa) and “E” (flying fish) ASCII files to a folder or subfolder other than the default root location on the laptop that contains program SeeBird; how to trouble-shoot miscellaneous start-up problems with program SeeBird; how to add new four-letter codes (into a SpeciesCode.txt file) when additional taxa or objects of interest are encountered. The primary objective of this manual is to archive a permanent, replicable history of survey methodology to facilitate continuity with comparable future projects that may be conducted in the Gulf. A secondary objective is to describe why and how program SeeBird was applied and adapted specifically for operating in Gulf survey conditions. As of late 2025, user guides for software program SeeBird were no longer readily accessible, so this manual serves also to address that gap.

Northern Gulf of America

Coastal barrier resilience and resistance: Analysis and metrics for characterizing coastal state

Barrier islands are shaped by a variety of short- and long-term environmental processes such as storms and relative sea-level rise. These islands, found along the estuarine-marine interface, provide ecosystem services including storm surge and wave attenuation, erosion protection to inland marshes, habitat for fish and wildlife, and recreation. Natural resource managers require actionable information on how barrier island resilience and resistance changes over time to understand how an island’s current state relates to past conditions and to inform restoration prioritization and implementation. The U.S. Geological Survey and The Water Institute collaborated on a study to develop indicators of resilience and resistance for barrier islands in Louisiana. Here, resilience captures island persistence on yearly to decadal time scales, and resistance captures persistence on event time scales of days to weeks. The indicators fall in two categories: Tier 1 Screening Metrics, that can be readily calculated from available data, are easily interpretable as an evaluation of barrier condition, and provide a high-level snapshot of overall barrier resilience and resistance; and Tier 2 Analysis Metrics, which are detailed metrics that required specialized analysis and interpretation and are more applicable to answering specific questions managers may have about barrier state. The research team derived Tier 1 resilience indicators from subaerial land and vegetation cover calculated from publicly available maps and products based on satellite imagery. By benchmarking the total land and vegetation extent against their respective historical maxima, this metric provides a snapshot of an island’s current state in the context of its long-term trajectory. The research team developed Tier 1 resistance indicators based on subaerial island configuration and water level recurrence as a proxy for evaluating island resistance to storms, which are the primary driver of short-term change. These Tier 1 metrics can be analyzed over time to provide a high-level assessment of how an island’s resistance decreases because of elevation loss or sea-level rise or increases due to restoration or natural recovery. The research team developed Tier 2 resilience and resistance indicators and associated analyses to provide detailed information for specific time periods or applications (e.g., wildlife management). These metrics include habitat coverage from high-resolution maps, which show composition changes over time to capture the evolving resilience of specific habitat types; high tide flooding analysis, which evaluate island area relative to specified flooding thresholds to characterize resistance in the short-term or, if analyzed over time, indicate changes in resilience; and hypsometric curve analysis, which allows managers to evaluate island area changes above their own elevation benchmarks of interest and similarly characterize resistance in the short-term or indicate changes in resilience if assessed over time. The research team calculated Tier 1 metrics of the barrier islands and headlands along the coast of Louisiana for the period of 1984 through 2021 and Tier 2 metrics for select times during that period depending on data available and quality. The results were captured in a report card for each barrier, which also includes an overview of the metrics and their interpretation; a restoration and storm history; and Tier 1 and Tier 2 metric analysis, including benchmarking against coastwide and regional values as well as to an island’s pre-restoration trajectory. These report cards provide a readily digestible synthesis of barrier condition and trajectory that coastal managers can use to support restoration prioritization and other decisions.

Louisiana

Appendix 6: Overview of iPOM 2.0: Updates to wolf abundance estimation in Montana

Montana Fish, Wildlife and Parks (MFWP) uses the integrated Patch Occupancy Model (iPOM) to estimate statewide and regional wolf abundance. During the early years of recovery, wolf abundance was tracked using minimum counts. As the population increased, limitations of this method became apparent, motivating development of a model-based approach for estimating abundance. iPOM development began in 2006, was operationalized in 2013, and has been used in its current form (iPOM 1.0) since 2021. Since its inception, iPOM has been developed and presented as an adaptive modeling framework intended to evolve as new data and analytical methods become available1. Here, we briefly present ongoing work to produce the next iteration of iPOM, hereafter iPOM 2.0, and summarize major model updates and resulting preliminary wolf abundance estimates. iPOM uses models for occupancy, territory size, and pack size, along with monitoring data collected by MFWP wolf specialists and potential wolf sightings reported by deer and elk hunters during the 5-week general rifle season each Nov-Dec. These monitoring data, wolf sightings, and covariates for habitat and survey effort are used to model occupancy of packs on a statewide grid of 600-km 2 cells. The area used by wolves is then estimated as each cell’s occupancy estimate multiplied by grid cell area. iPOM estimates pack abundance by dividing this area by predicted territory sizes, and in-pack wolf abundance by multiplying pack abundance by estimated group size. This is combined with a lone wolf rate to estimate total wolf abundance (see Sells et al. 1 for a full description of iPOM 1.0). This technical summary provides a high-level overview of the proposed iPOM updates and their implications for wolf abundance estimates. The estimates presented here represent results as of June 2026 and are provided to inform upcoming discussions surrounding harvest management and regulations (e.g., season dates, quotas, methods). Results are preliminary and remain subject to final model refinement and peer review.

Montana

Final project peport for “Mapping riparian vegetation response to climate change on the San Carlos Apache Reservation and Upper Gila River watershed to inform restoration priorities: 1935 to present – Phase 2: Focus on tamarisk vegetation”

Riparian ecosystems play a critical role in supporting wildlife habitats, maintaining water quality, and sustaining ecological resilience in arid landscapes. In the Upper Gila River level-4 Hydrologic Unit Code (HUC-4; Identification Number – 1504) watershed of Arizona and New Mexico, and across areas of the San Carlos Apache Tribe of the San Carlos Apache Reservation (hereafter, Tribe/Tribal – entity; or Reservation - place), riparian ecosystems have been substantially altered by the widespread expansion of tamarisk ( Tamarix spp.), an invasive and non-native riparian species. Tamarisk has high water use and increased flammability, making it a growing concern as droughts intensify across the southwestern United States (U.S.). Recent research indicates that tamarisk is increasingly stressed under prolonged drought conditions, which can elevate wildfire risk and further degrade riparian habitat. In response, the U.S. Geological Survey (USGS) Western Geographic Science Center, in collaboration with the Tribe, developed remote sensing–based tools to map riparian vegetation composition and monitor vegetation condition over time. These tools enable accurate identification of tamarisk extent, detection of vegetation stress, and comparison with native species such as cottonwood and willow. This information directly supports restoration and management actions, including targeted tamarisk removal, protection of endangered species habitat, and prioritization of areas for native vegetation recovery. The tools also provide insight into how riparian vegetation responds to changing climate and hydrologic conditions, strengthening long-term planning for riparian forest management. Findings from this work demonstrate that riparian vegetation responses vary across river systems, indicating differences in plant composition and hydro-climatic conditions. Tamarisk on both the Gila and San Carlos Rivers generally exhibit greater declines in greenness in response to higher temperature as well as lower precipitation and river flow, while cottonwood ( Populus fremontii ) and willow (Salix spp.) are particularly sensitive to changes in discharge along the San Carlos River and respond more directly to both high and low flows, with more moderate responses to precipitation and temperature. By providing actionable, science-based information, this research supports climate adaptation planning, wildfire risk reduction, and improved riparian ecosystem health, with benefits that extend beyond the Reservation to regional water and wildlife conservation efforts.

Arizona, New Mexico

Interspecific brood parasitism of a greater sage-grouse brood by chukar in Nevada

Greater sage-grouse ( Centrocercus urophasianus ; hereafter, sage-grouse) populations have declined across their range, resulting in high conservation concerns among state and federal wildlife managers. While interspecific nest parasitism by chukar ( Alectoris chukar ) on sage-grouse nests has been observed previously, the parasitic effects benefiting or harming the reproduction of either species are unknown. Additionally, while chukar eggs have been documented in sage-grouse nests previously, we know of no documented occurrences of chukar chicks parasitizing sage-grouse broods. Here, we report a novel observation of interspecific brood parasitism on a 9-day-old sage-grouse brood by a chukar chick in the Virginia Mountains of northwestern Nevada. Because chukar are an introduced exotic species whose western North American distribution largely overlaps sage-grouse distribution, understanding the dynamics and implications of brood parasitism may inform wildlife management strategies and conservation efforts for sage-grouse throughout their range.

Nevada

Review of Grasse River Lake Sturgeon habitat use and possible post-Superfund remediation agency actions

The Grass River (hereafter Grasse River) historically served as a major source of fisheries production for the Saint Lawrence River (hereafter St. Lawrence River) basin, providing critical spawning habitat and support for other life history stages of numerous species including the culturally and ecologically significant Lake Sturgeon ( Acipenser fulvescens ). Decades of environmental degradation resulted in designation of the lower Grasse River as the Grasse River Superfund site and part of the St. Lawrence River Area of Concern (AOC) at Massena/Akwesasne. The primary problems were severe contamination of sediments and fish, with numerous environmental beneficial use impairments (BUIs) including losses and degradation of habitat and diminished animal populations that limited fisheries production and reduced ecosystem services provided by the Grasse River. Efforts to restore the lower Grasse River within the AOC were initiated in 2019 to remove or isolate contaminants, repair damaged habitats, and rebuild fish and wildlife populations. The purpose of this report is to 1) summarize the history and contemporary status of environmental conditions and fisheries in the Grasse River, with an emphasis on Lake Sturgeon; 2) summarize remediation and restoration activities and how they may affect fisheries habitat and populations; and 3) discuss potential options for continued habitat remediation in addition to currently proposed restoration actions.

New York

Wind River subbasin restoration: Annual report of U.S. Geological Survey activities January 2024 through December 2024

We sampled juvenile wild Oncorhynchus mykiss (Steelhead Trout) in headwater streams of the Wind River, Washington, to characterize population attributes and investigate life-history metrics, particularly migratory patterns, and early life-stage survival. Additionally, this sampling provides an index of abundance of non-native Brook Trout Salvelinus confluentus . We used passive integrated transponder (PIT) tagging and a series of instream PIT-tag interrogation systems (PTISs) to track juveniles and adults. The Wind River subbasin is considered a wild Steelhead refuge by Washington Department of Fish and Wildlife (WDFW). No hatchery Steelhead Trout have been released in the Wind River subbasin since 1997, and hatchery adults are estimated at less than one percent of spawners in most years. Over 25 years of Steelhead Trout status and trend monitoring and research in the subbasin is contributing to understanding of population response to numerous restoration actions in the subbasin, including removal of Hemlock Dam from Trout Creek in 2009, which had an inadequate adult ladder and contributed to increased water temperatures, to near lethal levels for salmonids. Data from our study, and companion work by WDFW, are contributing to the Columbia Basin Fish and Wildlife Program (2009) Research, Monitoring, and Evaluation (RM&E) Strategy of Fish Population Status Monitoring. Specifically, this work addresses the sub-strategies of 1) Assessing the Status and Trends of Diversity of Natural Origin Fish Populations and Uncertainties Research regarding differing life histories of a wild Steelhead Trout population, 2) Assessing the Status and Trend of Adult Natural Origin Fish Populations, and 3) Monitoring and Evaluating the Effectiveness of Tributary Habitat Actions Relative to Environmental, Physical, or Biological Performance Objectives. During summer and fall 2024, we PIT-tagged 2,075 Steelhead Trout parr (age-0 and age-1), in the Trout Creek and upper Wind River watersheds. Age-0 and age-1 parr were at high abundance due to strong spawner numbers in 2023 and 2024 (Estimate of 932 in 2023; and a moderate number of spawners in 2024 though an estimate is not available at this time; 24-year median = 619; Charlie Cochran, WDFW Fish Biologist, personal commun., 2025). An additional 100 parr (age-0 and age-2 or older) were tagged to provide fish for estimating detection efficiencies at PTISs. Steelhead Trout parr were recaptured and detected through repeat headwater sampling, smolt trapping, instream PTISs and Columbia River mainstem PIT-tag detection. We maintained and upgraded six instream PTISs to detect PIT-tagged Steelhead Trout parr, smolts, and adults, providing data for population assessments, and life-cycle research. Detection data from PIT-tagged adult Steelhead Trout at our four primary PTISs allow assessment of adult escapement to tributary watersheds within the Wind River subbasin. Most adult Steelhead detected were tagged by WDFW at an adult trap in the lower Wind River and some as smolts at screw traps. Adult Steelhead Trout detection efficiency estimates at our primary PTIS in Trout Creek have been greater than 99 percent during eight of the past ten years and have exceeded 97% at our primary PTIS in the Wind River during nine of the past ten years. Adult escapement estimates to tributary watersheds are helping evaluate the efficacy of the 2009 removal of Hemlock Dam from rkm 2.0 of Trout Creek. Detections at the instream PTISs have shown trends of age-0 and age-1 Steelhead Trout parr emigration from natal areas during summer and fall, in addition to the expected movement of parr and smolts in spring. Our data suggest that most fish from a cohort that migrate downstream will do so at age-1 for additional rearing in the subbasin. We have estimated that from 15% to 56% of parr tagged as age-0 fish in headwater areas make downstream migrations at age-1 for additional rearing (median = 29%). We have estimated that from 1% to 27% of Steelhead Trout parr, tagged as age-1 fish, make downstream migrations during fall (median = 3.5%): this is especially pronounced in the upper Wind River portion of the watershed (median 10%). These findings raise questions about parr rearing habitat and whether migrations are density- or habitat-quality driven, and answers to such questions are long-term goals of this study as active and passive habitat restoration occurs. Repeat sampling at sites in the subbasin within and between years has enabled assessment of juvenile Steelhead Trout growth patterns. Growth rates (relative change in weight) of age-0 PIT-tagged parr during summer have been similar across the subbasin, though slightly lower in the Trout Creek watershed (Trout Creek sites, 0.57 - 1.25%/day, Wind River sites = 0.94 – 2.48%/day). Summer growth rates have been lower for age-1 parr in the Trout Creek watershed than the upper Wind River watershed (Trout Creek sites, = 0.03 - 0.14%/day, Wind River sites = 0.05 – 0.19%/day). Yearly relative growth was similar across the subbasin for both age-0 and age-1 tagged parr. During 2024 range of mean daily relative change in weight from the previous year for age-0 tagged fish was: Trout Creek sites = 0.96 – 1.41%/day, Wind River sites = 0.80 – 1.30 %/day; and for age1 tagged fish was: Trout Creek sites = 0.37 - 0.50 %/day, Wind River sites = no age-1 tagged recaptures. Non-native Brook Trout are present in the subbasin, chiefly the Trout Creek watershed. Mean percent-of-catch that is Brook Trout, at four sample sites in Trout Creek, has declined from the period 1998 – 2003 to the period 2011 – 2024 (range of decrease = 19 - 82%). Percent-of-catch (of 64 samples, 52 < 10%; 3 > 20%) and number of Brook Trout at the Trout Creek sites from 2011 through 2024, though variable, have generally declined. Habitat restoration evaluation efforts are critical to ensure efficient use of money and resources but require long-term monitoring of population metrics. Detailed viable salmonid population and life-history data, such as that provided by PIT-tagging and instream PTIS networks inform fisheries policy and management and enable assessment of long-term effects of habitat restoration actions such as the removal of Hemlock Dam on Trout Creek and proposed major instream habitat restoration in the upper Wind River.

Washington

Lithium brine potential of North Dakota: Results from the 2025 sampling program

Lithium (Li), classified as a critical mineral and key in energy storage applications because of its high energy density, faces unprecedented demand. This has driven interest in unconventional sources of Li, especially brines from sedimentary basins. Accordingly, the spatial distribution of basinal brinehosted Li resources across North America is becoming better defined, including the Williston Basin underlying Saskatchewan, Canada. This has led to growing investment and exploration by industry throughout the 2020s; however, despite this interest, the Li potential of basinal brines of the Williston Basin in North Dakota remain underexplored. This work presents the results from the 2025 joint brine sampling campaign between the North Dakota Geological Survey, the United States Geological Survey (USGS), and The University of Texas at Austin. Twenty-seven fluid samples were collected from producing oil and water source wells from eight stratigraphic intervals across western North Dakota and analyzed for major cation and anion concentrations. Similar to southeastern Saskatchewan, the highest Li concentrations were identified in the Devonian Duperow Formation, with concentrations up to 179 mg/L being observed in a well commingled between the Duperow and Red River Formations. Some samples from the overlying Birdbear Formation exceeded 75 mg/L, whereas Li concentrations were lower in the Madison Group (33-44 mg/L) and the Three Forks (50 mg/L), Dawson Bay (43 mg/L), Winnipegosis (23 mg/L), and Red River (40.0 mg/L) Formations. This work indicates Li resource potential exists across the Williston Basin and advances our understanding of the Li distribution in basinal brines which could provide a new domestic source of this critical mineral.

North Dakota

Effect of land cover type on 3D deformation recovery from synthetically deformed high-resolution satellite optical imagery

The limits of detection for earthquake surface deformation in the spatial domain have improved with advances in remote sensing imagery data availability, resolution, and analysis. Sub-pixel correlation and digital elevation model (DEM) differencing from sub-meter, earthquake-spanning satellite optical imagery has enhanced surface rupture mapping and deformation measurements. However, knowledge of measurement accuracy and uncertainty is limited. To address this, we construct orthophotos and digital elevation models (DEMs) from repeat high resolution (∼0.5 m) satellite optical imagery along two sections of the Garlock fault, California with clear fault geomorphology and differing land cover. We deform later sets of DEMs and images with synthetic earthquakes containing both diffuse and discrete horizontal and vertical displacements. Sub-pixel image correlation and DEM differencing demonstrate how vegetation degrades recovered displacement accuracy. In barren land cover, horizontal displacements are detectable to an expected ∼1/10th-pixel size. With shrubs, trees, and grass, detectable displacements increase to >1/2-pixel size, and filtering results by correlation score and using elevation values as input rather than image values improves accuracy. Vertical displacement detection thresholds remain lower in vegetation, at >1-pixel size. Higher slope angles degrade displacement recovery, worsened by vegetation. Diminishing seasonal separation improves accuracy over vegetated regions, though not to the level achieved in barren environments. These results will inform research and operational efforts on the utility of high resolution satellite optical imagery for detecting deformation in varied land cover. Furthermore, they reveal where alternative measurements, such as from LiDAR or radar interferometry, are required to mitigate the effects of vegetation and capture fine-scale crustal deformation.

California

Home ranges of economically important reef fishes at North Carolina artificial reefs

Home range is a vital component to understanding animal ecology and can vary with factors like species, body size, and habitat. Artificial reefs are increasingly used to supplement or enhance habitat for reef fish. Quantifying reef fish home range sizes and the factors affecting home ranges is thus critical to understanding the efficacy of artificial reefs to sustain communities that reflect those on natural reefs. We estimated home ranges of reef fishes at artificial reefs in the southeast United States, evaluated what factors affected those home ranges, and compared them to home ranges of similarly sized fish on natural reefs. From June–October 2021 and 2022, we deployed acoustic tags on five fishery targeted reef species, black sea bass ( Centropristis striata ), gag ( Mycteroperca microlepis ), greater amberjack ( Seriola dumerili ), almaco jack ( S. rivoliana ), and red snapper ( Lutjanus campechanus ), on four artificial reefs near Cape Lookout, North Carolina. Tagged fish were tracked using a fine-scale positioning system for ~ 120 days. Home ranges varied by species and fish size (i.e., total length). Black sea bass had the smallest home ranges (mean = 6266 m 2 ), gag and red snapper had moderate home ranges (38,265 m 2 and 53,553 m 2 , respectively), and almaco jack and greater amberjack had the largest (152,146 m 2 , and 414,107 m 2 , respectively). Black sea bass, gag, and red snapper displayed increased home range size with total length while greater amberjack and almaco jack home ranges remained relatively constant across lengths. Greater amberjack home ranges were further influenced by artificial reef complex area with an increase in reef area leading to a larger home range. Our data from artificial reefs showed considerable overlap in the relationship between home range and body size when compared to similarly sized predatory reef fish on natural reefs. This information will be vital in improving ecological understanding of how artificial reefs can influence area use of reef-associated species to help inform future artificial reef deployments. Moreover, these results provide an important comparison between artificial reefs and natural reefs as habitats for reef-associated species, a topic that will become increasingly important as the quantity of artificial structures in our oceans increases. deployments. Moreover, these results provide an important comparison between artificial reefs and natural reefs as habitats for reef-associated species, a topic that will become increasingly important as the quantity of artificial structures in our oceans increases.

North Carolina

Capturing the uncertainty of seismicity observations in earthquake rate estimates: Implications for probabilistic seismic hazard analysis and the USGS National Seismic Hazard Model

The rate of earthquakes in a region is a fundamental input to Probabilistic Seismic Hazard Analysis. We present a Monte Carlo method for computing that rate from seismicity catalogs while including a range of data and analysis uncertainties. This method is applied to regions for which the b value is assumed to be spatially invariant. Each region is broken down into epochs for which each epoch is estimated to have a uniform magnitude of completeness ( ⁠⁠ M c ). The distribution of earthquake rates for M ≥ M c is determined for each epoch by considering the Poisson likelihood of rates given the number of observed earthquakes with M ≥ M c ⁠ . We use a Monte Carlo process to include the uncertainty in b , ⁠ M c , and individual event magnitudes. The result for each epoch is the joint distribution of the Poisson rate of earthquakes with magnitudes larger than the minimum value used to calculate hazard ( ⁠⁠ M 1 ) and the Gutenberg–Richter b values, which control the extrapolation to other magnitudes. The rate for each region is either the duration‐weighted average over the epochs or, to better capture temporal variations, we also consider mixture models. The mixture models also provide an avenue to allow temporal variations in b values. To implement this joint distribution in a logic tree, we use the mean and 95% confidence branches, each of which is parameterized with an M ≥ M 1 rate and b value. We explore different ways of defining those branches, as well as non‐Gutenberg–Richter branches, and their impact on hazard estimates. The mean hazard, but not the fractiles, is robust with respect to these choices. To illustrate these new methods, we use synthetic data and catalogs from recent U.S. Geological Survey National Seismic Hazard Models for the Central and Eastern United States and for Puerto Rico and the U.S. Virgin Islands.

central and eastern United States, Puerto Rico, U.

Neotectonic origins for the Meadow Bank scarp, Wabash Valley seismic zone USA

The Meadow Bank scarp (MBS) in southeastern Illinois is a linear geomorphic expression, ∼10 km long and ∼8 m high above a relatively flat landscape. It parallels an underlying northeast‐oriented Late‐Precambrian–Early‐Cambrian structural fabric, called the Wabash Valley fault zone, and is within an area of modern, historic, and paleo seismicity, called the Wabash Valley seismic zone. In addition, the MBS acts as a boundary of the Wabash River floodplain, as well as Pleistocene glacial outwash channels, which show evidence of frequent outburst flood events. To better understand the MBS’s equivocal origin in this complex geologic environment, we acquired a 917‐m‐long seismic‐reflection survey across its axis to assess the subsurface geologic configuration. The resultant image indicates a complex set of faults that antiformally fold and displace the top of Paleozoic bedrock by ∼12 m across the survey. Moreover, fault and/or fold deformation extends into the shallowest imaged Quaternary strata at ∼6 m below the ground surface. This suggests the MBS origin is related to underlying Quaternary reactivated, positively inverted faults rather than exclusively to glacial outburst flood erosion. These results provide rare paleoearthquake spatial constraints for central U.S. regional seismic hazard consideration.

Illinois

Evaluating hydrologic data products for scientific and management applications related to potential future streamflow conditions in the Upper Mississippi and Illinois Rivers

The hydrology of the Upper Mississippi and Illinois Rivers is a fundamental driver of ecosystem patterns and processes across a large portion of the United States. Quantitative hydrologic data for the main stems of these rivers underlie numerous scientific investigations, statistical models, and decision-making processes for local, State, and Federal agencies involved in the Upper Mississippi River Restoration program. Although historical hydrologic data exist, data representing potential future conditions of the Upper Mississippi and Illinois Rivers lack the resolution necessary to anticipate biotic and abiotic responses to altered hydrology and to determine resilient management actions. A source of future hydrologic scenarios is the readily available LOCA–VIC–mizuRoute hydrologic data products (named for the chain of models the data are produced from—localized constructed analogs, Variable Infiltration Capacity macroscale hydrological model, and the mizuRoute hydrologic routing model—that we shorten further to LVM in this report) that include simulated discharges for historic and future timeframes. The objective of this study is to assess the reliability of the hydrologic data products for their use in Upper Mississippi River Restoration program applications. Key study questions are (1) do the hydrologic data products reproduce characteristics of hydrology necessary to support ecological modeling and restoration decision-making applications within the Upper Mississippi River Restoration program? and (2) are there geographic differences in the reliability of the hydrologic data products? Seven characteristics of river hydrology were selected related to flow magnitude, seasonality, and regime for evaluation. The seven characteristics were calculated using observed and historical simulated hydrologic data at 19 U.S. Geological Survey streamgages throughout the basins of the Upper Mississippi and Illinois Rivers; two streamgages are located on the main stem of the Mississippi River and two streamgages are located on the main stem of the Illinois River. Statistical comparisons between observed and historical simulated characteristics indicated that the hydrologic data products did not reliably represent historical hydrologic conditions in the basin or main stem. The hydrologic data products we evaluated could not reliably capture the overall hydrologic regime or flow magnitudes; the latter is evidenced by substantial underestimates of discharge at most streamgages. Seasonal hydrologic characteristics were captured more reliably than flow magnitude, but overall correspondence was low for most streamgages. A weak latitudinal pattern in seasonal characteristics indicated the hydrologic data products poorly represent streamflow timing in snow-affected regions of the basin. Discrepancies in magnitude, seasonality, and regime indicate the potential for multiple sources of error. Because poor correspondence was present across all 19 streamgages, it was not possible to identify specific drivers of poor performance (that is, drainage area or geography). The modeling chain should be evaluated for biases associated with meteorologic forcing data, as well as hydrologic model formulation and calibration. We conclude that the hydrologic data products we evaluated appear unsuitable for applications tied to habitat and ecosystem restoration and management in the Upper Mississippi and Illinois Rivers. Plans to develop a future hydrology dataset for the Upper Mississippi River Restoration program would benefit from ongoing work to improve global climate model output downscaling methods, to improve hydrologic models, to make use of innovations in machine-learning approaches for projecting hydrology, and other efforts. The framework developed herein to evaluate hydrometeorological outputs generated using global climate models for a specific water resources application is a transferrable approach that could be applied to other data products and river systems.

Illinois, Indiana, Iowa, Minnesota, Missouri, Sout