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At least 199 records · Page 11Linked to original sources

An individual-based model for population viability analysis of humpback chub in Grand Canyon

We developed an individual-based population viability analysis model (females only) for evaluating risk to populations from catastrophic events or conservation and research actions. This model tracks attributes (size, weight, viability, etc.) for individual fish through time and then compiles this information to assess the extinction risk of the population across large numbers of simulation trials. Using a case history for the Little Colorado River population of Humpback Chub Gila cypha in Grand Canyon, Arizona, we assessed extinction risk and resiliency to a catastrophic event for this population and then assessed a series of conservation actions related to removing specific numbers of Humpback Chub at different sizes for conservation purposes, such as translocating individuals to establish other spawning populations or hatchery refuge development. Our results suggested that the Little Colorado River population is generally resilient to a single catastrophic event and also to removals of larvae and juveniles for conservation purposes, including translocations to establish new populations. Our results also suggested that translocation success is dependent on similar survival rates in receiving and donor streams and low emigration rates from recipient streams. In addition, translocating either large numbers of larvae or small numbers of large juveniles has generally an equal likelihood of successful population establishment at similar extinction risk levels to the Little Colorado River donor population. Our model created a transparent platform to consider extinction risk to populations from catastrophe or conservation actions and should prove useful to managers assessing these risks for endangered species such as Humpback Chub.

Arizona

Analysis of improved government geological map information for mineral exploration: Incorporating efficiency, productivity, effectiveness, and risk considerations

This bulletin/professional paper focuses on the value of geoscientific information and knowledge, as provided in published government bedrock geological maps, to the mineral exploration sector. An economic model is developed that uses an attribute- ranking approach to convert geological maps into domains of mineral favourability. Information about known deposits in these (or analogous) favourability domains allow the calculation of exploration search statistics that provide input into measures of exploration efficiency, productivity, effectiveness, risk, and cost stemming from the use of the published geological maps. Two case studies, the Flin Flon Belt (Manitoba and Saskatchewan) and the south Baffin Island area (Nunavut), demonstrate that updated, finer resolution maps can be used to identify more exploration campaign options, and campaigns thats are more efficient, more effective, and less risky than old, coarser resolution maps when used as a guide for mineral exploration. The Flin Flon Belt study illustrates that an updated, coarser resolution bedrock map enables improved mineral exploration efficiency, productivity, and effectiveness by locating 60% more targets and supporting an exploration campaign that is 44% more efficient. Refining the map resolution provides an additional 17% reduction in search effort across all favourable domains and a 55% reduction in search effort in the most favourable domain. The south Baffin Island case study projects a 40% increase in expected targets and a 27% reduction in search effort when the updated, finer resolution map is used in lieu of the old, coarser resolution map. On southern Baffin Island, the economic value of the up dated map ranges from CAN$2.28 million to CAN$15.21 million, which can be compared to the CAN$1.86 million that it cost to produce the map (a multiplier effect of up to eight).

Professional Paper

Guidance for modeling causes and effects in environmental problem solving

Environmental problems are difficult to solve because their causes and effects are not easily understood. When attempts are made to analyze causes and effects, the principal challenge is organization of information into a framework that is logical, technically defensible, and easy to understand and communicate. When decisionmakers attempt to solve complex problems before an adequate cause and effect analysis is performed there are serious risks. These risks include: greater reliance on subjective reasoning, lessened chance for scoping an effective problem solving approach, impaired recognition of the need for supplemental information to attain understanding, increased chance for making unsound decisions, and lessened chance for gaining approval and financial support for a program/ Cause and effect relationships can be modeled. This type of modeling has been applied to various environmental problems, including cumulative impact assessment (Dames and Moore 1981; Meehan and Weber 1985; Williamson et al. 1987; Raley et al. 1988) and evaluation of effects of quarrying (Sheate 1986). This guidance for field users was written because of the current interest in documenting cause-effect logic as a part of ecological problem solving. Principal literature sources relating to the modeling approach are: Riggs and Inouye (1975a, b), Erickson (1981), and United States Office of Personnel Management (1986).

Report

Balancing precision and risk: should multiple detection methods be analyzed separately in N-mixture models?

Using multiple detection methods can increase the number, kind, and distribution of individuals sampled, which may increase accuracy and precision and reduce cost of population abundance estimates. However, when variables influencing abundance are of interest, if individuals detected via different methods are influenced by the landscape differently, separate analysis of multiple detection methods may be more appropriate. We evaluated the effects of combining two detection methods on the identification of variables important to local abundance using detections of grizzly bears with hair traps (systematic) and bear rubs (opportunistic). We used hierarchical abundance models (N-mixture models) with separate model components for each detection method. If both methods sample the same population, the use of either data set alone should (1) lead to the selection of the same variables as important and (2) provide similar estimates of relative local abundance. We hypothesized that the inclusion of 2 detection methods versus either method alone should (3) yield more support for variables identified in single method analyses (i.e. fewer variables and models with greater weight), and (4) improve precision of covariate estimates for variables selected in both separate and combined analyses because sample size is larger. As expected, joint analysis of both methods increased precision as well as certainty in variable and model selection. However, the single-method analyses identified different variables and the resulting predicted abundances had different spatial distributions. We recommend comparing single-method and jointly modeled results to identify the presence of individual heterogeneity between detection methods in N-mixture models, along with consideration of detection probabilities, correlations among variables, and tolerance to risk of failing to identify variables important to a subset of the population. The benefits of increased precision should be weighed against those risks. The analysis framework presented here will be useful for other species exhibiting heterogeneity by detection method.

PLoS ONE

Towards improved code-based performance objectives for liquefaction hazard analysis

Ground failure due to liquefaction in loose sand deposits poses substantial risks to the built environment, and has caused significant damage in past earthquakes to a wide range of infrastructure. Advances in liquefaction hazard analysis in practice have largely stagnated in recent years; the state of practice remains rooted in simplified procedure s that ignore considerable uncertainties in liquefaction phenomena, and are largely conditional on single-return period ground motions. As a result, they lack any sort of liquefaction-specific design criteria or performance objective. Presented herein is a roadmap for using probabilistic liquefaction hazard analysis (PLHA) to address many of these limitations and improve liquefaction design guidelines. PLHA incorporates hazard contributions from the full ground motion hazard space in conjunction with probabilistic liquefaction models, to produce hazard curves for various types of liquefaction-related demands. In this study, PLHA is utilized to assess the current, implied liquefaction design levels at 76 study sites throughout the U.S. using ASCE 7 guidelines, by computing effective return periods of liquefaction factor of safety FSL, and liquefaction potential index LPI. The results indicate broad inconsistencies in these design levels across different parts of the U.S, with return periods varying from about 300 years in deterministically-capped parts of California, to nearly 3,000 years on the Pacific Northwest coast and in the Charleston Fault zone region. These results are also used to inform potential strategies for establishing consistent, liquefaction-specific design objectives in the future, based on return period averaging methods that weight the importance of a study site according to both the population and relative liquefaction hazard level.

Conference Paper

InFRM Flood Decision Support Toolbox user guide

Digital geospatial flood inundation mapping can be a powerful tool for flood risk management. Flood preparedness, communication, warning, response and mitigation can be enhanced by flood inundation mapping that shows floodwater extent and depth over the land surface. Flood inundation maps that accurately reflect observed and forecasted hydrodynamic conditions enable officials to make timely operational and public safety decisions before and during flood events. Real-time inundation maps, based on U.S. Geological Survey (USGS) real-time streamgage observations, National Weather Service (NWS) forecasts and US Army Corps of Engineers (USACE) flood operations, can significantly enhance a community’s flood warning and response operations and systems. These maps enable local officials to make more informed flood risk management decisions and enhance the communication of these decisions to the public, thereby reducing loss of life and property. In addition, flood inundation maps and scenario analysis can inform all parties of the potential risk associated with various flood management options, prior to an actual flood event.

Report

An acarologic survey and Amblyomma americanum distribution map with implications for tularemia risk in Missouri

In the United States, tickborne diseases occur focally. Missouri represents a major focus of several tickborne diseases that includes spotted fever rickettsiosis, tularemia, and ehrlichiosis. Our study sought to determine the potential risk of human exposure to human-biting vector ticks in this area. We collected ticks in 79 sites in southern Missouri during June 7–10, 2009, which yielded 1,047 adult and 3,585 nymphal Amblyomma americanum , 5 adult Amblyomma maculatum , 19 adult Dermacentor variabilis , and 5 nymphal Ixodes brunneus . Logistic regression analysis showed that areas posing an elevated risk of exposure to A. americanum nymphs or adults were more likely to be classified as forested than grassland, and the probability of being classified as elevated risk increased with increasing relative humidity during the month of June (30-year average). Overall accuracy of each of the two models was greater than 70% and showed that 20% and 30% of the state were classified as elevated risk for human exposure to nymphs and adults, respectively. We also found a significant positive association between heightened acarologic risk and counties reporting tularemia cases. Our study provides an updated distribution map for A. americanum in Missouri and suggests a wide-spread risk of human exposure to A. americanum and their associated pathogens in this region.

Missouri

A management-focused population viability analysis for North Atlantic right whales

The North Atlantic right whale ( Eubalaena glacialis ) is among the most endangered whale species in the world and has been in decline since 2010. Considerable effort is directed toward its recovery by striving to remove threats. In this report, we describe the development of a population viability analysis for right whales that is designed to assess the current status, evaluate the contributions of various threats, and explore the management interventions needed to achieve recovery. The individual-based model that underlies this analysis accounts for age- and stagespecific survival and reproductive rates, the effects of severe injury from entanglement or vessel strike, and future changes in prey availability and accessibility. Several new or updated empirical analyses supplied parameter estimates, and parametric uncertainty was carefully incorporated into the model results. We find that under the status quo conditions of 2019, prior to the enactment of new regulations by the U.S. and Canada after 2020, the North Atlantic right whale population would be expected to continue to fall, with a median decline of 75% in 100 years (95% projection interval, –98% to +9% change) and a probability of falling below 50 proven females of 0.934 in 100 years. If the recently enacted regulations reduce entanglement risk by 25%, however, the population would be expected to decrease by 42% over 100 years (95% projection interval –92% to +154% change), with a risk of falling below 50 proven females in 100 years of 0.705. If, instead, the recently enacted regulations reduce entanglement risk by 50%, the population would be expected to increase by 52% in 100 years (95% projection interval –83% to +497% change), with a probability of falling below 50 proven females of 0.349. Of the 3 primary threats explored in this analysis, the risk of entanglement contributes the most to the long-term risk of quasi-extinction, followed closely by the risk of vessel strike, and much more distantly by a decrease in prey availability. In hypothetical scenarios that fully remove one threat at a time, removal of the entanglement threat alone reduces the probability of falling below 50 proven females in 100 years from 0.934 to 0.053; removal of the vessel strike threat alone reduces it to 0.343; and a return to higher prey conditions, but with both human-related threats still in place, reduces it to 0.875. We explored a wide range of management intervention scenarios that changed the rate of entanglement risk (e.g., endline reductions, closures, implementation of ropeless/on-demand gear); the effect of entanglement (through use of weak rope technology); the rate of vessel traffic increase over time; and the severity of vessel strike risk through speed restrictions. We found, for example, that reducing entanglement risk alone by 25% reduces the risk of quasi-extinction from 0.934 to 0.705; reducing vessel strike risk alone by 25% reduces the risk of quasi-extinction from 0.934 to 0.846; but the combination of reducing both entanglement risk and vessel strike risk by 25% reduces the risk of quasi-extinction to 0.528. This model and the results it produced are meant to represent an assessment of the current status of North Atlantic right whales using the best available scientific and commercial data and state-of-the-art analytical tools. Our knowledge of the future of the right whale population, however, has limitations. We have endeavored to fully incorporate uncertainty into this model, but there are many areas for continued improvement. We view this model as a living tool that can be improved, adapted, and extended as new data, new methods, and new questions arise.

NOAA Technical Memorandum

Methodology and technical input for the 2025 U.S. List of Critical Minerals—Assessing the potential effects of mineral commodity supply chain disruptions on the U.S. economy

The Secretary of the Interior, acting through the Director of the U.S. Geological Survey, is tasked by section 7002 (“Mineral Security”) of title VII (“Critical Minerals”) of the Energy Act of 2020 (Public Law 116–260, December 27, 2020, 116th Congress) with reviewing and revising the methodology used to evaluate mineral commodity supply risk and the U.S. List of Critical Minerals (LCM) no less than every 3 years. Following two previous LCM assessments, this analysis represents the latest technical input for evaluating each mineral commodity’s supply risk and determining their recommended status on the LCM. We evaluated mineral commodity supply risk using two criteria: (1) an economic effects assessment that quantified the potential effects of various trade disruption scenarios on the U.S. economy, and (2) an examination of whether the mineral commodity’s U.S. supply chain relied on a sole domestic producer that represented a single point of failure. For the first criterion, postdisruption equilibrium quantities and prices for each mineral commodity were calculated based on their price elasticities of supply and demand and the availability of excess production capacity for each yearlong foreign trade disruption scenario. Subsequently, a nonlinear optimization routine was used with detailed economic input-output tables to estimate the potential economic effects on the U.S. economy of over 1,200 scenarios for 84 mineral commodities. After accounting for the probability of each scenario’s occurrence, the overall results are presented in terms of changes in U.S. gross domestic product (GDP) by individual industry and the economy overall. The results, which ranged from a net decrease in U.S. GDP of nearly $4.5 billion to a net increase of $33 million, largely reflect U.S. import dependency and world production concentration. Using the Jenks natural breaks optimization method, a statistical classification technique, we categorized the mineral commodities into several classes based on this overall risk quantification. Mineral commodities with annualized probability-weighted net decreases in U.S. GDP greater than $2 million were recommended for inclusion on the LCM. If a mineral commodity did not meet the threshold for inclusion on the LCM under the first criterion, its domestic supply chain was examined under the second criterion, which recommended a mineral commodity for inclusion on the LCM if there was only a single domestic producer. Ultimately, the two criteria resulted in the recommendation of the addition of six mineral commodities (in descending risk order, potash, silicon, copper, silver, rhenium, and lead) to and the removal of two mineral commodities (arsenic and tellurium) from the LCM. By using an economic effects assessment, the results of this analysis provide a prioritization that can also be compared directly against other risk analyses and the cost of various risk mitigation strategies.

Open-File Report

Regional assessment of NLEAP NO 3- N leaching indices

Nonpoint source ground water contamination by nitrate nitrogen (NO 3 -N) leached from agricultural lands can be substantial and increase health risks to humans and animals. Accurate and rapid methods are needed to identify and map localities that have a high potential for contamination of shallow aquifers with NO 3 -N leached from agriculture. Evaluation of Nitrate Leaching and Economic Analysis Package (NLEAP) indices and input variables across an irrigated agricultural area on an alluvial aquifer in Colorado indicated that all leaching indices tested were more strongly correlated with aquifer NO 3 -N concentration than with aquifer N mass. Of the indices and variables tested, the NO 3 -N Leached (NL) index was the NLEAP index most strongly associated with groundwater NO 3 -N concentration (r 2 values from 0.37 to 0.39). NO 3 -N concentration of the leachate was less well correlated with ground water NO 3 -N concentration (r 2 values from 0.21 to 0.22). Stepwise regression analysis indicated that, although inorganic and organic/inorganic fertilizer scenarios had similar r 2 values, the Feedlot Indicator (proximity) variable was significant over and above the NO 3 -N Leached index for the inorganic scenario. The analysis also showed that combination of either Movement Risk Index (MIRI) or NO 3 -N concentration of the leachate with the NO 3 -N Leached index leads to an improved regression, which provides insight into area-wide associations between agricultural activities and ground water NO 3 -N concentration.

Journal of the American Water Resources Associatio

Attribution of monotonic trends and change points in peak streamflow across the conterminous United States using a multiple working hypotheses framework, 1941–2015 and 1966–2015

The U.S. Geological Survey has a long history of leading flood-frequency analysis studies. These studies play a critical role in the assessment of risk, protection of lives, and planning and design of flood protection infrastructure. Standard flood-frequency analysis is based on the assumption of stationarity—that is, that the distribution of floods at a given site varies around a particular mean within a particular envelope of variance (and skew) and that these parameters of the underlying statistical distribution representative of the floods do not vary over time. Gradual or abrupt changes in one or more of the distributional parameters are called nonstationarities and violate the underlying assumptions of current U.S. Federal Government guidelines for flood-frequency analysis. Uncertainty exists as to what degree of violations calls for the use of a modified method for flood-frequency analysis and what the modified method(s) should be. When deciding whether to perform nonstationary flood-frequency analysis and choosing a method for such analysis, it is important to understand the causes of the nonstationarity. Gradual or abrupt changes in distributional properties of floods may be the result of numerous factors, such as regulation, diversion, land-use change, or climate change. In the interest of developing a cohesive national approach for better understanding the causes of nonstationarities and incorporating potential or observed changes into flood-frequency estimates, subject-matter experts from the U.S. Geological Survey and cooperators worked together to develop a multiple working hypotheses framework for making attributions and a common vocabulary for making provisions of confidence. Seven regional teams of these experts used ancillary datasets and institutional knowledge to evaluate plausible causes for monotonic trends and change points in annual peak-streamflow data for the conterminous United States that had been identified in an earlier phase of the project. The first chapter of this professional paper describes the development of a list of the potential attributions, presents a literature review of the potential attributions, describes the regional approach, summarizes insights obtained from the attribution process, and suggests future research. The other chapters provide the methods used for attribution in the seven regions—Pacific Northwest, Upper Plains, Midwest, Northeast, Southwest, South-Central, and Southeast—and summarize the regional patterns of nonstationarities.

Conterminous United States

Guidance documents: Continued support to improve operations of fish hatcheries and field sites to reduce the impact or prevent establishment of New Zealand Mudsnails and other invasive mollusks

This project tested and revised a risk assessment/management tool authored by Moffitt and Stockton designed to provide hatchery biologists and others a structure to measure risk and provide tools to control, prevent or eliminate invasive New Zealand mudsnails (NZMS) and other invasive mollusks in fish hatcheries and hatchery operations. The document has two parts: the risk assessment tool, and an appendix that summarizes options for control or management. The framework of the guidance document for risk assessment/hatchery tool combines approaches used by the Hazard Analysis and Critical Control Points (HACCP) process with those developed by the Commission for Environmental Cooperation (CEC), of Canada, Mexico, and the United States, in the Tri-National Risk Assessment Guidelines for Aquatic Alien Invasive Species. The framework approach for this attached first document assesses risk potential with two activities: probability of infestation and consequences of infestation. Each activity is treated equally to determine the risk potential. These two activities are divided into seven basic elements that utilize scientific, technical, and other relevant information in the process of the risk assessment. To determine the probability of infestation four steps are used that have scores reported or determined and averaged. This assessment follows a familiar HACCP process to assess pathways of entry, entry potential, colonization potential, spread potential. The economic, environmental and social consequences are considered as economic impact, environmental impact, and social and cultural influences. To test this document, the Principal Investigator worked to identify interested hatchery managers through contacts at regional aquaculture meetings, fish health meetings, and through the network of invasive species managers and scientists participating in the Western Regional Panel on Aquatic Nuisance Species and the 100th Meridian Initiative's Columbia River Basin Team, and the Western New Zealand Mudsnail Conference in Seattle. Targeted hatchery workshops were conducted with staff at Dworshak National Fish Hatchery Complex (ID), Similkameen Pond, Oroville WA, and Ringold Springs State Hatchery (WA). As a result of communications with hatchery staff, invasive species managers, and on site assessments of hatchery facilities, the document was modified and enhanced. Additional resources were added to keep it up to date. The result is a more simplified tool that can lead hatchery or management personnel through the process of risk assessment and provide an introduction to the risk management and communication process. In addition to the typical HACCP processes, this tool adds steps to rate and consider uncertainty and the weight of evidence regarding options and monitoring results . Uncertainty of outcome exists in most tools that can be used to control or prevent NZMS or other invasive mollusks from infesting an area. In additional this document emphasizes that specific control tools and plans must be tailored to each specific setting to consider the economic, environmental and social influences. From the testing and evaluation process, there was a strong recognition that a number of control and prevention tools previously suggested and reported in the literature from laboratory and small scale trials may not be compatible with regional and national regulations, economic constraints, social or cultural constraints, engineering or water chemistry characteristics of each facility. The options for control are summarized in the second document, Review of Control Measures for Hatcheries Infested with NZMS (Appendix A) that provides sources for additional resources and specific tools, and guidance regarding the feasibility and success of each approach. This tool also emphasizes that management plans need to be adaptive and incorporate oversight from professionals familiar with measuring risks of fish diseases, and treatments (e.g. the fish health practitioners and water quality and effluent management teams). Finally, with such a team, the adaptive management approach must be ongoing, and become a regular component of hatchery operations. Although it was the intent that this two part document would be included as part of the revised National Management and Control Plan for the NZMS proposed by the U.S. Fish and Wildlife Service (USFWS) and others, it is provided as a stand-alone document.

Cooperator Science Series

PCB-induced changes of a benthic community and expected ecosystem recovery following in situ sorbent amendment

The benthic community was analyzed to evaluate pollution-induced changes for the polychlorinated biphenyl (PCB)-contaminated site at Hunters Point (HP) relative to 30 reference sites in San Francisco Bay, California, USA. An analysis based on functional traits of feeding, reproduction, and position in the sediment shows that HP is depauperate in deposit feeders, subsurface carnivores, and species with no protective barrier. Sediment chemistry analysis shows that PCBs are the major risk drivers at HP (1,570 ppb) and that the reference sites contain very low levels of PCB contamination (9 ppb). Different feeding traits support the existence of direct pathways of exposure, which can be mechanistically linked to PCB bioaccumulation by biodynamic modeling. The model shows that the deposit feeder Neanthes arenaceodentata accumulates approximately 20 times more PCBs in its lipids than the facultative deposit feeder Macoma balthica and up to 130 times more than the filter feeder Mytilus edulis . The comparison of different exposure scenarios suggests that PCB tissue concentrations at HP are two orders of magnitude higher than at the reference sites. At full scale, in situ sorbent amendment with activated carbon may reduce PCB bioaccumulation at HP by up to 85 to 90% under favorable field and treatment conditions. The modeling framework further demonstrates that such expected remedial success corresponds to exposure conditions suggested as the cleanup goal for HP. However, concentrations remain slightly higher than at the reference sites. The present study demonstrates how the remedial success of a sorbent amendment, which lowers the PCB availability, can be compared to reference conditions and traditional cleanup goals, which are commonly based on bulk sediment concentrations.

California

Population viability analysis for a pond-breeding amphibian under future drought scenarios in the southeastern United States

Climate change effects are contributing to widespread declines of amphibians, and pond-breeding species may be particularly sensitive to future drought conditions that restrict wetland hydroperiods and decrease opportunities for successful breeding and recruitment. Pond-breeding amphibian populations can compensate for periodic droughts via episodic booms in recruitment, but studies predict that increased future drought conditions will negatively impact long-term persistence for several species. The southeastern United States is a global hotspot of amphibian biodiversity where future trends in drought conditions are uncertain. This study applied a population viability analysis (PVA) framework for an at-risk amphibian, the gopher frog ( Lithobates [ Rana ] capito ), to (i) explore population sensitivity to the frequency of droughts that restrict reproductive events, relative to changes in other demographic rates, and (ii) forecast future population viability over 30 years, given plausible scenarios varying in the frequency and duration of droughts adapted from recent historical patterns in the southeastern United States. Population persistence was highly sensitive to frequency of reproductive success. Persistence was fairly insensitive to all demographic parameters when reproductive success was ≥ 0.7 (i.e., ≤ 3 drought years per decade, on average), but sensitivity to survival of terrestrial stages (juvenile, adults) and initial abundance increased as reproductive success decreased. Persistence probabilities were relatively high (0.63–0.99) across a range of plausible future drought scenarios, with higher persistence probabilities (> 0.89) for all scenarios where drought years did not increase from recent historical conditions. Our results indicate gopher frog populations are likely resilient to periodic droughts that occur in 4 or fewer years per decade, but extirpation of some populations is possible if recent drought patterns repeat or increase during the next 30 years. Estimates of future risk to gopher frog populations can inform forthcoming status assessments and designation decisions of the U.S. Fish and Wildlife Service. More broadly, PVAs incorporating drought dynamics can identify climate thresholds that at-risk, pond-breeding amphibian populations can tolerate, which can inform management actions (e.g., maintaining a range of hydroperiods across proximate wetlands) that provide sufficient frequent breeding opportunities for long-term persistence even under drought conditions.

Global Ecology and Conservation

Ecological and socioeconomic factors associated with the human burden of environmentally mediated pathogens: A global analysis

Background Billions of people living in poverty are at risk of environmentally mediated infectious diseases—that is, pathogens with environmental reservoirs that affect disease persistence and control and where environmental control of pathogens can reduce human risk. The complex ecology of these diseases creates a global health problem not easily solved with medical treatment alone. Methods We quantified the current global disease burden caused by environmentally mediated infectious diseases and used a structural equation model to explore environmental and socioeconomic factors associated with the human burden of environmentally mediated pathogens across all countries. Findings We found that around 80% (455 of 560) of WHO-tracked pathogen species known to infect humans are environmentally mediated, causing about 40% (129 488 of 359 341 disability-adjusted life years) of contemporary infectious disease burden (global loss of 130 million years of healthy life annually). The majority of this environmentally mediated disease burden occurs in tropical countries, and the poorest countries carry the highest burdens across all latitudes. We found weak associations between disease burden and biodiversity or agricultural land use at the global scale. In contrast, the proportion of people with rural poor livelihoods in a country was a strong proximate indicator of environmentally mediated infectious disease burden. Political stability and wealth were associated with improved sanitation, better health care, and lower proportions of rural poverty, indirectly resulting in lower burdens of environmentally mediated infections. Rarely, environmentally mediated pathogens can evolve into global pandemics (eg, HIV, COVID-19) affecting even the wealthiest communities. Interpretation The high and uneven burden of environmentally mediated infections highlights the need for innovative social and ecological interventions to complement biomedical advances in the pursuit of global health and sustainability goals. Funding Bill & Melinda Gates Foundation, National Institutes of Health, National Science Foundation, Alfred P. Sloan Foundation, National Institute for Mathematical and Biological Synthesis, Stanford University, and the US Defense Advanced Research Projects Agency.

The Lancet Planetary Health

U.S. mineral supply chain security in the age of pandemics and trade wars

Modern technology makes use of numerous mineral commodities whose production is concentrated in a few countries. New research identifies the commodities whose supply disruption poses the greatest risk to the manufacturing sector. While the analysis is applied to the U.S. manufacturing sector, the principles are equally applicable to other economies heavily reliant on imported mineral materials.

The Science Breaker

A literature review and hypsometric analysis to support decisions on trout management flows on the Colorado River downstream from Glen Canyon Dam

Executive Summary Fish stranding has been studied in select rivers worldwide, often with the purpose of determining how to mitigate adverse effects of dam operations on highly valued salmon and trout populations. However, where a reduction in trout population size is desired by resource managers, as is the case downstream of the Glen Canyon Dam on the Colorado River, flow manipulations termed trout management flows (TMFs) may be used to optimize fish stranding and mortality. To inform the design and implementation of potential future TMFs, we reviewed relevant literature to identify key factors that influence fish stranding. We found that key factors were highly interdependent and site-specific, but general trends suggest that down-ramping (decreasing flow) at rapid rates in daytime during the late spring to summer emergence period would lead to stranding of age-0 rainbow trout in shallow shoreline habitat. A hypsometric analysis was then used to predict stranding risk for age-0 rainbow trout in Glen Canyon for a range of TMFs, which incorporated existing bathymetric data and flow and habitat suitability models. Our results indicate that a TMF with a steady high flow ranging from 12,000 to 16,000 cubic feet per second (ft 3 /s) combined with a minimum flow ranging from 3,000 to 5,000 ft 3 /s may effectively strand age-0 fish while also minimizing risk to water storage in Lake Powell and other resources. This strategy implemented under normal hydropeaking operations was predicted to lead to a substantive stranding risk when paired with low flows of 5,000 ft 3 /s, and especially 3,000 ft 3 /s. However, there remains uncertainty associated with elements of implementing an effective TMF downstream from Glen Canyon Dam. The main uncertainties include (1) the down-ramp rate that maximizes stranding of age-0 trout, (2) the duration of drawdown to maximize stranding mortality while minimizing impact to downstream resources, (3) duration of high flows required for age-0 fish to colonize newly created shoreline habitat (this is only for certain TMF hydrographs), (4) number of repetitions of TMF cycles to minimize compensatory survival response, and (5) recruitment threshold of both rainbow and brown trout populations to trigger TMF implementation.

Arizona

Planning for population viability on Northern Great Plains national grasslands

Broad-scale information in concert with conservation of individual species must be used to develop conservation priorities and a more integrated ecosystem protection strategy. In 1999 the United States Forest Service initiated an approach for the 1.2× 10 6 ha of national grasslands in the Northern Great Plains to fulfill the requirement to maintain viable populations of all native and desirable introduced vertebrate and plant species. The challenge was threefold: 1) develop basic building blocks in the conservation planning approach, 2) apply the approach to national grasslands, and 3) overcome differences that may exist in agency-specific legal and policy requirements. Key assessment components in the approach included a bioregional assessment, coarse-filter analysis, and fine-filter analysis aimed at species considered at-risk. A science team of agency, conservation organization, and university personnel was established to develop the guidelines and standards and other formal procedures for implementation of conservation strategies. Conservation strategies included coarse-filter recommendations to restore the tallgrass, mixed, and shortgrass prairies to conditions that approximate historical ecological processes and landscape patterns, and fine-filter recommendations to address viability needs of individual and multiple species of native animals and plants. Results include a cost-effective approach to conservation planning and recommendations for addressing population viability and biodiversity concerns on national grasslands in the Northern Great Plains.

Wildlife Society Bulletin