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Migration, breeding location, and seascape shape seabird assemblages in the northern Gulf of Mexico

The Gulf of Mexico supports many seabird species, yet data gaps describing species composition and habitat use are prevalent. We used vessel-based observations from the Gulf of Mexico Marine Assessment Program for Protected Species to identify and characterize distinct seabird assemblages in the northern Gulf of Mexico (within the U.S. Exclusive Economic Zone; nGoM). Using cluster analysis of 17 seabird species, we identified assemblages based on seabird relative density. Vessel-based surveys documented the location, species, and number of seabirds across the nGoM between 2017–2019. For each assemblage, we identified the (co-)dominant species, spatial distribution, and areas of greater relative density. We also assessed the relationship of the total relative density within each assemblage with environmental, spatial, and temporal covariates. Of the species assessed, 76% (n = 13) breed predominantly outside the nGoM basin. We identified four seabird assemblages. Two assemblages, one dominated by black tern and the other co-dominated by northern gannet/laughing gull, occurred on the continental shelf. An assemblage dominated by sooty tern occurred along the continental slope into pelagic waters. The fourth assemblage had no dominant species, was broadly distributed, and was composed of observations with low relative density (‘singles’ assemblage). Differentiation of assemblages was linked to migratory patterns, residency, and breeding location. The spatial distributions and relationships of the black tern and northern gannet/laughing gull assemblages with environmental covariates indicate associations with river outflows and ports. The sooty tern assemblage overlapped an area prone to mesoscale feature formation. The singles assemblage may reflect commuting and dispersive behaviors. These findings highlight the importance of seasonal migrations and dynamic features across the seascape, shaping seabird assemblages. Considering the potential far-ranging effects of interactions with seabirds in the nGoM, awareness of these unique patterns and potential links with other fauna could inform future monitoring, research, restoration, offshore energy, and aquaculture development in this highly industrialized sea.

Gulf of Mexico

Puerto Rico: Marine sediments, terrestrial and seafloor imagery, and tectonic interpretations

Introduction: Puerto Rico is an island situated in the plate boundary zone between the Caribbean and the North American Plates. This is a geologically fascinating, tectonically active region, where the Caribbean Plate has over-ridden the North American Plate and is now sliding past it with strike-slip motion. The details of this tectonic interaction are poorly understood, largely because much of the region lies under water, making it difficult to study. The geologic setting of Puerto Rico has created or contributed to several pressing societal issues, related to human safety, environmental health, and economic development. Because the island lies on an active plate boundary, earthquakes are a constant threat and the densely populated coastal areas are vulnerable to tsunamis. Coastal erosion is a concern in many coastal areas, but is particularly serious to an island economy which relies heavily on a thriving tourist industry. In Puerto Rico, illegal mining of beach sands for use as aggregate has exacerbated coastal erosion and left coastal communities more exposed to the ravages of storms and tsunamis. The serious need for an affordable local source of aggregate to use in the growing construction industry on the island has created a strong interest in locating and evaluating offshore sand and gravel deposits. During the last 20 years the U.S. Geological Survey, often in cooperation with the Puerto Rico Department of Natural Resources and/or the University of Puerto Rico, has conducted a variety of projects to address the geologic aspects of these pressing societal issues. The papers and data presented here are the results of these projects. Some have been previously published elsewhere; others, such as the database of surficial sediments of the Puerto Rico insular shelf, interpretation of side-looking airborne radar imagery of the island, and the GIS data, are presented here for the first time. The purpose of this CD is to make the results of these diverse studies available in a readily accessible digital form, so that managers, planners, and other researchers can utilize the results.

Puerto Rico

Evidence of glacial activity during MIS 4 in the Rocky Mountains, Colorado, USA

The Ziegler Reservoir fossil site near Snowmass Village, Colorado, provides a rare opportunity to examine environmental conditions in the Rocky Mountains during marine isotope stage (MIS) 4 (71–57 ka). Although recognized as a global-scale cold event, MIS 4 is typically absent from Rocky Mountain glacial chronologies because the geologic evidence was covered or destroyed during the subsequent, and more extensive, MIS 2 (Pinedale; 29–14 ka) glaciation. Ziegler Reservoir lies beyond the Pinedale glacial extent, which allowed for the preservation of a long-lived sequence of eolian sediments deposited in a lacustrine environment that spans from late MIS 6 (ca. 140 ka) through early MIS 3 (ca. 55 ka). Sediments dating to MIS 4 exhibit a significant increase in clay-sized particles, suggesting that the source areas, most likely nearby glacio-fluvial deposits, were enriched with fine-grained material at that time. We hypothesize that the elevated clay content was the result of rock flour production by nearby valley glaciers that were active in the Rocky Mountains during MIS 4. The results of our study illustrate how recognizing indirect evidence of glacial activity can result in a more complete record of past climate conditions than what could be achieved by the study of moraines alone.

Colorado

To manage inland fisheries is to manage at the social-ecological watershed scale

Approaches to managing inland fisheries vary between systems and regions but are often based on large-scale marine fisheries principles and thus limited and outdated. Rarely do they adopt holistic approaches that consider the complex interplay among humans, fish, and the environment. We argue that there is an urgent need for a shift in inland fisheries management towards holistic and transdisciplinary approaches that embrace the principles of social-ecological systems at the watershed scale. The interconnectedness of inland fisheries with their associated watershed (biotic, abiotic, and humans) make them extremely complex and challenging to manage and protect. For this reason, the watershed is a logical management unit. To assist management at this scale, we propose a framework that integrates disparate concepts and management paradigms to facilitate inland fisheries management and sustainability. We contend that inland fisheries need to be managed as social-ecological watershed system (SEWS). The framework supports watershed-scale and transboundary governance to manage inland fisheries, and transdisciplinary projects and teams to ensure relevant and applicable monitoring and research. We discuss concepts of social-ecological feedback and interactions of multiple stressors and factors within/between the social-ecological systems. Moreover, we emphasize that management, monitoring, and research on inland fisheries at the watershed scale are needed to ensure long-term sustainable and resilient fisheries.

Journal of Environmental Management

Evidence for millennial-scale climate change during marine isotope stages 2 and 3 at Little Lake, Western Oregon, U.S.A.

Pollen and geochemical data from Little Lake, western Oregon, suggest several patterns of millennial-scale environmental change during marine isotope stage (MIS) 2 (14,100-27,600 cal yr B.P.) and the latter part of MIS 3 (27,600-42,500 cal yr B.P.). During MIS 3, a series of transitions between warm- and cold-adapted taxa indicate that temperatures oscillated by ca. 2??-4??C every 1000-3000 yr. Highs and lows in summer insolation during MIS 3 are generally associated with the warmest and coldest intervals. Warm periods at Little Lake correlate with warm sea-surface temperatures in the Santa Barbara Basin. Changes in the strength of the subtropical high and the jet stream may account for synchronous changes at the two sites. During MIS 2, shifts between mesic and xeric subalpine forests suggest changes in precipitation every 1000-3000 yr. Increases in Tsuga heterophylla pollen at 25,000 and 22,000 cal yr B.P. imply brief warmings. Minimum summer insolation and maximum global ice-volumes during MIS 2 correspond to cold and dry conditions. Fluctuations in precipitation at Little Lake do not correlate with changes in the Santa Barbara Basin and may be explained by variations in the strength of the glacial anticyclone and the position of the jet stream. ?? 2001 University of Washington.

Quaternary Research

A multiscale analysis of coral reef topographic complexity using lidar-derived bathymetry

Coral reefs represent one of the most irregular substrates in the marine environment. This roughness or topographic complexity is an important structural characteristic of reef habitats that affects a number of ecological and environmental attributes, including species diversity and water circulation. Little is known about the range of topographic complexity exhibited within a reef or between different reef systems. The objective of this study was to quantify topographic complexity for a 5-km x 5-km reefscape along the northern Florida Keys reef tract, over spatial scales ranging from meters to hundreds of meters. The underlying dataset was a 1-m spatial resolution, digital elevation model constructed from lidar measurements. Topographic complexity was quantified using a fractal algorithm, which provided a multi-scale characterization of reef roughness. The computed fractal dimensions ( D ) are a measure of substrate irregularity and are bounded between values of 2 and 3. Spatial patterns in D were positively correlated with known reef zonation in the area. Landward regions of the study site contain relatively smooth ( D ≈ 2.35) flat-topped patch reefs, which give way to rougher ( D ≈ 2.5), deep, knoll-shaped patch reefs. The seaward boundary contains a mixture of substrate features, including discontinuous shelf-edge reefs, and exhibits a corresponding range of roughness values (2.28 ≤ D ≤ 2.61).

Journal of Coastal Research

Tributyltin: Advancing the science on assessing endocrine disruption with an unconventional endocrine-disrupting compound

Tributyltin (TBT) has been recognized as an endocrine disrupting chemical (EDC) for several decades. However, only in the last decade, was its primary endocrine mechanism of action (MeOA) elucidated—interactions with the nuclear retinoid-X receptor (RXR), peroxisome proliferator-activated receptor γ (PPARγ), and their heterodimers. This molecular initiating event (MIE) alters a range of reproductive, developmental, and metabolic pathways at the organism level. It is noteworthy that a variety of MeOAs have been proposed over the years for the observed endocrine-type effects of TBT; however, convincing data for the MIE was provided only recently and now several researchers have confirmed and refined the information on this MeOA. One of the most important lessons learned from years of research on TBT concerns apparent species sensitivity. Several aspects such as the rates of uptake and elimination, chemical potency, and metabolic capacity are all important for identifying the most sensitive species for a given chemical, including EDCs. For TBT, much of this was discovered by trial and error, hence important relationships and important sensitive taxa were not identified until several decades after its introduction to the environment. As recognized for many years, TBT-induced responses are known to occur at very low concentrations for molluscs, a fact that has more recently also been observed in fish species. This review explores the MeOA and effects of TBT in different species (aquatic molluscs and other invertebrates, fish, amphibians, birds, and mammals) according to the OECD Conceptual Framework for Endocrine Disruptor Testing and Assessment (CFEDTA). The information gathered on biological effects that are relevant for populations of aquatic animals was used to construct Species Sensitivity Distributions (SSDs) based on No Observed Effect Concentrations (NOECs) and Lowest Observed Effect Concentrations (LOECs). Fish appear at the lower end of these distributions, showing that they are as sensitive as molluscs, and for some species, even more sensitive. Concentrations in the range of 1 ng/L for water exposure (10 ng/g for whole-body burden) have been shown to elicit endocrine-type responses, whereas mortality occurs at water concentrations ten times higher. Current screening and assessment methodologies as compiled in the OECD CFEDTA are able to identify TBT as a potent endocrine disruptor with a high environmental risk for the original use pattern. If those approaches had been available when TBT was introduced to the market, it is likely that its use would have been regulated sooner, thus avoiding the detrimental effects on marine gastropod populations and communities as documented over several decades.

Book chapter

Expanding freshwater biologger studies to view fish as environmental sensing platforms

While recording fish habitat use by electronic sensors, biologgers can also be viewed as autonomous environmental monitoring systems with the organism as a vehicle. This dual perspective has provided novel results from marine ecosystems, but has not been applied to freshwater ecosystems. To understand limitations in fresh water, we evaluated miniature depth and temperature recorders as aquatic monitoring systems in a Laurentian Great Lake: Erie. As part of an acoustic telemetry study, biologgers were opportunistically implanted in a subsample of walleye Sander vitreus . Biologgers recorded temperature and depth at half-hour intervals for up to 1 year. Recaptures provided six biologgers for analysis of seasonal temperature patterns and lake stratification, key variables for understanding dimictic lakes. Depth-resolved temperature patterns showed close correspondence with independent weather buoy measurements. Because the buoy was deployed late in the season, biologger data provided improved estimates of the start of stratification, which had important implications for understanding development of hypoxia in the hypolimnion. Drawbacks to biologger data included imprecise knowledge of fish location and reliance on tag recoveries from the fishery. Optimistically, our results show how biologgers could be part of a monitoring approach that integrates limnological surveys with fisheries science.

Marine and Freshwater Research

Comparison of a simple hydrostatic and a data-intensive 3D numerical modeling method of simulating sea-level rise induced groundwater inundation for Honolulu, Hawai'i, USA

Groundwater inundation (GWI) is a particularly challenging consequence of sea-level rise (SLR), as it progressively inundates infrastructure located above and below the ground surface. Paths of flooding by GWI differ from other types of SLR flooding (i.e., wave overwash, storm-drain backflow) such that it is more difficult to mitigate, and thus requires a separate set of highly innovative adaptation strategies to manage. To spur consideration of GWI in planning, data-intensive numerical modeling methods have been developed that produce locally specific visualizations of GWI, though the accessibility of such methods is limited by extensive data requirements. Conversely, the hydrostatic (or 'bathtub') modeling approach is widely used in adaptation planning owing to easily accessed visualizations (i.e., NOAA SLR Viewer), yet its capacity to simulate GWI has never been tested. Given the separate actions necessary to mitigate GWI relative to marine overwash, this is a significant gap. Here we compare a simple hydrostatic modeling method with a more deterministic, dynamic and robust 3D numerical modeling approach to explore the effectiveness of the hydrostatic method in simulating equilibrium aquifer effects of multi-decadal sea-level rise, and in turn GWI for Honolulu, Hawai'i. We find hydrostatic modeling in the Honolulu area and likely other settings may yield similar results to numerical modeling when referencing the local mean higher-high water tide datum (generally typical of flood studies). These findings have the potential to spur preliminary understanding of GWI impacts in municipalities that lack the required data to conduct rigorous groundwater-modeling investigations. We note that the methods explored here for Honolulu do not simulate dynamic coastal processes (i.e., coastal erosion, sediment accretion or changes in land cover) and thus are most appropriately applied to regions that host heavily armored shorelines behind which GWI can develop.

Hawaii

Brief oil exposure reduces fitness in wild Gulf of Mexico mahi-mahi (Coryphaena hippurus)

The Deepwater Horizon (DWH) disaster released 3.19 million barrels of crude oil into the Gulf of Mexico (GOM) in 2010, overlapping the habitat of pelagic fish populations. Using mahi-mahi ( Coryphaena hippurus )─a highly migratory marine teleost present in the GOM during the spill─as a model species, laboratory experiments demonstrate injuries to physiology and behavior following oil exposure. However, more than a decade postspill, impacts on wild populations remain unknown. To address this gap, we exposed wild mahi-mahi to crude oil or control conditions onboard a research vessel, collected fin clip samples, and tagged them with electronic tags prior to release into the GOM. We demonstrate profound effects on survival and reproduction in the wild. In addition to significant changes in gene expression profiles and predation mortality, we documented altered acceleration and habitat use in the first 8 days oil-exposed individuals were at liberty as well as a cessation of apparent spawning activity for at least 37 days. These data reveal that even a brief and low-dose exposure to crude oil impairs fitness in wild mahi-mahi. These findings offer new perspectives on the lasting impacts of the DWH blowout and provide insight about the impacts of future deep-sea oil spills.

Environmental Science and Technology

Resource inventory of marine and estuarine fishes of the West Coast and Alaska: A checklist of North Pacific and Arctic Ocean species from Baja California to the Alaska - Yukon border

This is a comprehensive inventory of the fish species recorded in marine and estuarine waters between the Alaska–Yukon Territory border in the Beaufort Sea and Cabo San Lucas at the southern end of Baja California and out about 300 miles from shore. Our westernmost range includes the eastern Bering Sea and Aleutian Islands. In addition, we have also included our best impressions of the species that might reasonably be expected to be members of the West Coast ichthyofauna but have not yet been captured or reported within our study area. These species are marked with an asterisk (*) and have been reported (1) in the western Bering Sea; (2) off Canada’s Yukon Territory and adjacent portions of the Northwest Territories; (3) along the southern-eastern tip (non-Pacific side) of Baja California; and (4) in waters somewhat beyond 300 miles from shore. Although the term West Coast usually refers to the coast of the continuous western states, our usage herein means the entire study area. The West Coast inventory within this range encompasses fish fauna from 44 orders, 232 families, and a minimum of 1,450 species. Please note that introduced and invasive fish species are marked by double asterisks (**) and that their scientific names are highlighted in gray. We have compiled this document because the most geographically inclusive previous inventories (Jordan and Evermann 1896a, Jordan et al. 1930) are largely of historical interest and are out of date. More recent lists and compilations have either focused on relatively narrow taxonomic groups (e. g., Kramer et al. 1995, Love et al. 2002), are regional in scope (e. g., Hart 1973, Hubbs et al. 1979, Mecklenburg et al. 2002), or focus on commonly observed species (e. g., Miller and Lea 1972, Eschmeyer and Herald 1983). With the explosion of coastal research and environmental assessments, beginning in the 1970s, and more recently, renewed scientific interest in biodiversity (e.g., effects of global climate change), our own studies on related subjects regarding fish populations, assemblages, and biological habitats, suggested this was the appropriate time to update and summarize our knowledge.

Report

Surveys of environmental DNA (eDNA): a new approach to estimate occurrence in Vulnerable manatee populations

Environmental DNA (eDNA) detection is a technique used to non-invasively detect cryptic, low density, or logistically difficult-to-study species, such as imperiled manatees. For eDNA measurement, genetic material shed into the environment is concentrated from water samples and analyzed for the presence of target species. Cytochrome b quantitative PCR and droplet digital PCR eDNA assays were developed for the 3 Vulnerable manatee species: African, Amazonian, and both subspecies of the West Indian (Florida and Antillean) manatee. Environmental DNA assays can help to delineate manatee habitat ranges, high use areas, and seasonal population changes. To validate the assay, water was analyzed from Florida’s east coast containing a high-density manatee population and produced 31564 DNA molecules l -1 on average and high occurrence (ψ) and detection (p) estimates (ψ = 0.84 [0.40-0.99]; p = 0.99 [0.95-1.00]; limit of detection 3 copies µl -1 ). Similar occupancy estimates were produced in the Florida Panhandle (ψ = 0.79 [0.54-0.97]) and Cuba (ψ = 0.89 [0.54-1.00]), while occupancy estimates in Cameroon were lower (ψ = 0.49 [0.09-0.95]). The eDNA-derived detection estimates were higher than those generated using aerial survey data on the west coast of Florida and may be effective for population monitoring. Subsequent eDNA studies could be particularly useful in locations where manatees are (1) difficult to identify visually (e.g. the Amazon River and Africa), (2) are present in patchy distributions or are on the verge of extinction (e.g. Jamaica, Haiti), and (3) where repatriation efforts are proposed (e.g. Brazil, Guadeloupe). Extension of these eDNA techniques could be applied to other imperiled marine mammal populations such as African and Asian dugongs.

Endangered Species Research

Subsidies from anadromous sea lamprey ( Petromyzon marinus ) carcasses function as a reciprocal nutrient exchange between marine and freshwaters

Nutrient and energy flows across ecosystem boundaries subsidize recipient communities and influence bottom‐up processes in food webs. Migratory fish such as anadromous sea lamprey provide a pulse of marine‐derived nutrients and energy to Atlantic coastal streams in spring when organisms would otherwise be subject to limiting resources. We conducted sea lamprey carcass addition experiments to characterize the role of subsidies on producer and consumer trophic pathways by manipulating subsidy quantity and light exposure. We demonstrated that producer and decomposer productivity is constrained by nutrients during spring; however, these limitations were reduced in producers as light limitations intensified through riparian shading. We observed no significant effects of increasing carcass subsidies on producer and decomposer biomass. Our results suggest that high densities of carcass subsidies may stimulate primary productivity; however, these effects are mediated by the degree of riparian shading, which demonstrated a onefold to fourfold difference in biomass accrual. In addition, sea lamprey carcass nutrients were captured by larval conspecifics. Stable isotopes analysis demonstrated that adult sea lamprey carcass tissue was relatively enriched in 15 N and 13 C isotopes compared with larvae. We observed significant enrichment in the 13 C isotope among larvae sampled after 2 and 4 weeks of exposure to adult carcass nutrients. Our work suggests that a portion of sea lamprey subsidies serve as a reciprocal exchange between freshwaters and the ocean. We highlight that this cross‐ecosystem linkage is likely influenced by subsidy quantity from donor systems and is mediated by environmental characteristics affecting the recipient system.

River Research and Applications

The response of stream periphyton to Pacific salmon: using a model to understand the role of environmental context

1. In stream ecosystems, Pacific salmon deliver subsidies of marine-derived nutrients and disturb the stream bed during spawning. The net effect of this nutrient subsidy and physical disturbance on biological communities can be hard to predict and is likely to be mediated by environmental conditions. For periphyton, empirical studies have revealed that the magnitude and direction of the response to salmon varies from one location to the next. Salmon appear to increase periphyton biomass and/or production in some contexts (a positive response), but decrease them in others (a negative response). 2. To reconcile these seemingly conflicting results, we constructed a system dynamics model that links periphyton biomass and production to salmon spawning. We used this model to explore how environmental conditions influence the periphyton response to salmon. 3. Our simulations suggest that the periphyton response to salmon is strongly mediated by both background nutrient concentrations and the proportion of the stream bed suitable for spawning. Positive periphyton responses occurred when both background nutrient concentrations were low (nutrient limiting conditions) and when little of the stream bed was suitable for spawning (because the substratum is too coarse). In contrast, negative responses occurred when nutrient concentrations were higher or a larger proportion of the bed was suitable for spawning. 4. Although periphyton biomass generally remained above or below background conditions for several months following spawning, periphyton production returned quickly to background values shortly afterwards. As a result, based upon our simulations, salmon did not greatly increase or decrease overall annual periphyton production. This suggests that any increase in production by fish or invertebrates in response to returning salmon is more likely to occur via direct consumption of salmon carcasses and/or eggs, rather than the indirect effects of greater periphyton production. 5. Overall, our simulations suggest that environmental factors need to be taken into account when considering the effects of spawning salmon on aquatic ecosystems. Our model offers researchers a framework for testing periphyton response to salmon across a range of conditions, which can be used to generate hypotheses, plan field experiments and guide data collection.

Freshwater Biology

Distributions of uronic acids and O-methyl sugars in sinking and sedimentary particles in two coastal marine environments

Although recent research has indicated that bacteria may contribute an important fraction of biochemical residues in terrestrial and marine environments, it is difficult for geochemists to identify contributions from these ubiquitous and biochemically diverse organisms. Previous studies have suggested uronic acids and O -methyl sugars may be useful indicators of microbial abundance and activity, but have been limited primarily to analyses of a small number of isolated samples. We report here comparative distributions of O -methyl sugars, uronic acids, and aldoses in sediment trap material and sediments from Dabob Bay, WA and nearby Saanich Inlet, BC, where temporal and spatial trends may be used together with well-established patterns in other biochemicals to identify bacterial contributions against the background of other carbohydrate sources. O -methyl sugars and uronic acids were important contributors to the overall flux and burial of polysaccharide material in Dabob Bay and Saanich Inlet, composing ≤12 wt% of the total carbohydrate yields from sediment trap and sediment samples. O -methyl sugars accounted for an average of 5% of the carbohydrate yields from sediment trap materials and sediments, but were found rarely and only in low abundance in vascular plant tissues, phytoplankton, and kelp. In contrast, uronic acids were abundant products of sediment trap material and sediments, as well as vascular plant tissues, where in some cases they predominated among all carbohydrates. Uronic acid abundance in sediment trap material averaged 3% and ranged to >6% of total carbohydrate yields. The persistence of total minor sugar yields in water column collections from Dabob Bay throughout the seasonal cycle indicated they had a primary source that was not directly related to plankton bloom cycles nor pulsed inputs of vascular plant remains. Subsurface maxima in total minor sugar yields (and several individual components) within sediment cores from both sites indicate in situ sedimentary sources. Taken together, the observed environmental distributions strongly suggest that the minor sugar abundances in Dabob Bay and Saanich Inlet were controlled by in situ microbial production.

British Columbia, Washington

Degradation of marine ecosystems and decline of fishery resources in marine protected areas in the US Virgin Islands

The large number of marine protected areas (MPAs) in the Caribbean (over 100) gives a misleading impression of the amount of protection the reefs and other marine resources in this region are receiving. This review synthesizes information on marine resources in two of the first MPAs established in the USA, namely Virgin Islands National Park (1962) and Buck Island Reef National Monument (1961), and provides compelling evidence that greater protection is needed, based on data from some of the longest running research projects on coral reefs, reef fish assemblages, and seagrass beds for the Caribbean. Most of the stresses affecting marine resources throughout the Caribbean (e.g. damage from boats, hurricanes and coral diseases) are also causing deterioration in these MPAs. Living coral cover has decreased and macroalgal cover has increased. Seagrass densities have decreased because of storms and anchor damage. Intensive fishing in the US Virgin Islands has caused loss of spawning aggregations and decreases in mean fish size and abundance. Groupers and snappers are far less abundant and herbivorous fishes comprise a greater proportion of samples than in the 1960s. Effects of intensive fishing are evident even within MPA boundaries. Although only traditional fishing with traps of 'conventional design' is allowed, commercial trap fishing is occurring. Visual samples of fishes inside and outside Virgin Islands National 'Park showed no significant differences in number of species, biomass, or mean size of fishes. Similarly, the number of fishes per trap was statistically similar inside and outside park waters. These MPAs have not been effective because an unprecedented combination of natural and human factors is assaulting the resources, some of the greatest damage is from stresses outside the control of park managers (e.g. hurricanes), and enforcement of the few regulations has been limited. Fully functioning MPAs which prohibit fishing and other extractive uses (e.g. no-take marine reserves) could reverse some of the degradation, allowing replenishment of the fishery resources and recovery of benthic habitats.

Environmental Conservation

Planktonic to sessile: Drivers of spatial and temporal variability across barnacle life stages and indirect effects of the Pacific Marine Heatwave

Barnacles are a foundation species in intertidal habitats. During the Pacific Marine Heatwave (PMH), intertidal barnacle cover increased in the northern Gulf of Alaska (GoA); however, the role of pelagic larval supply in this increase was unknown. Using long-term monitoring data on intertidal benthic (percent cover) and pelagic larval populations (nauplii and cyprid concentrations), we examined potential environmental drivers (temperature, chlorophyll-a, mixed layer depth) of larval concentration and whether including larval concentration at regional and annual scales improved intertidal barnacle percent cover models in two study regions in the GoA. In both regions, larval concentrations were slightly higher following the PMH. Percent cover models were improved by including cyprid concentrations (but not nauplii), and the effect strength varied by site and tidal elevation. This indicates that larval concentration contributes as a bottom–up driver of benthic barnacle abundance. There is little evidence of a direct effect of the PMH on either life stage. Instead, our results may illustrate the positive feedback between life stages, where higher adult benthic abundance increased larval concentrations, which then supplied more new recruits to the benthos. As heatwaves continue to occur, integrating various data types can provide insights into factors influencing both benthic and pelagic communities.

Alaska

Time-variation of hydrothermal discharge at selected sites in the Western United States: Implications for monitoring

We compiled time series of hydrothermal discharge consisting of 3593 chloride- or heat-flux measurements from 24 sites in the Yellowstone region, the northern Oregon Cascades, Lassen Volcanic National Park and vicinity, and Long Valley, California. At all of these sites the hydrothermal phenomena are believed to be as yet unaffected by human activity, though much of the data collection was driven by mandates to collect environmental-baseline data in acticipation of geothermal development. The time series average 19 years in length and some of the Yellowstone sites have been monitored intermittently for over 30 years. Many sites show strong seasonality but few show clear long-term trends, and at most sites statistically significant decadal-scale trends are absent. Thus, the data provide robust estimates of advective heat flow ranging from ~130 MW in the north-central Oregon Cascades to ~6100 MW in the Yellowstone region, and also document Yellowstone hydrothermal chloride and arsenic fluxes of 1740 and 15-20 g/s, respectively. The discharge time series show little sensitivity to regional tectonic events such as earthquakes or inflation/deflation cycles. Most long-term monitoring to date has focused on high-chloride springs and low-temperature fumaroles. The relative stability of these features suggests that discharge measurements done as part of volcano-monitoring programs should focus instead on high-temperature fumaroles, which may be more immediately linked to the magmatic heat source.

Journal of Volcanology and Geothermal Research