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At least 253 records · Page 14Linked to original sources

A teleseismic study of the 2002 Denali fault, Alaska, earthquake and implications for rapid strong-motion estimation

Slip histories for the 2002 M7.9 Denali fault, Alaska, earthquake are derived rapidly from global teleseismic waveform data. In phases, three models improve matching waveform data and recovery of rupture details. In the first model (Phase I), analogous to an automated solution, a simple fault plane is fixed based on the preliminary Harvard Centroid Moment Tensor mechanism and the epicenter provided by the Preliminary Determination of Epicenters. This model is then updated (Phase II) by implementing a more realistic fault geometry inferred from Digital Elevation Model topography and further (Phase III) by using the calibrated P-wave and SH-wave arrival times derived from modeling of the nearby 2002 M6.7 Nenana Mountain earthquake. These models are used to predict the peak ground velocity and the shaking intensity field in the fault vicinity. The procedure to estimate local strong motion could be automated and used for global real-time earthquake shaking and damage assessment. ?? 2004, Earthquake Engineering Research Institute.

Earthquake Spectra

Improved computational methods for probabilistic liquefaction hazard analysis

Current procedures for analysis of and design against liquefaction hazards focus primarily on the use of probabilistic ground motions at a single ground-shaking hazard level, with the cyclic loading represented by a peak ground acceleration ( PGA ) corresponding to a target return period and a single representative moment magnitude M w . These parameters are typically used in conjunction with deterministic simplified procedures for estimating liquefaction triggering and consequences that largely neglect the considerable uncertainties inherent to liquefaction problems. Motivated by these limitations and the resulting inconsistencies in liquefaction design levels, early methods for probabilistic liquefaction hazard analysis (PLHA) were proposed that incorporate the full ground motion hazard space, integrated with probabilistic liquefaction triggering models. Such methods provide liquefaction factor of safety ( FS L ) hazard curves for standard penetration test (SPT) data. Recognizing the increased use of higher-resolution cone penetrometer test (CPT) data in engineering analysis and design and the potential computational challenges it presents, an expanded suite of probabilistic triggering models, and wider availability of more detailed seismic hazard data, an improved PLHA computational methodology is presented in this study. The methods described utilize the U.S. Geological Survey National Seismic Hazard Model directly through web services to obtain PGA hazard and disaggregation calculations for any site and average shear wave velocity in the upper 30 m of the site ( V s 30 ) in the conterminous United States, to reconstruct the PGA hazard space for use in PLHA calculations, and to employ array calculations for efficient liquefaction hazard curve estimates for the thousands of CPT measurements in a given profile. The framework presented here is modular in nature, and discussion on the use of alternative models and extension to probabilistic liquefaction consequence evaluation is presented. The importance of appropriate representation of probabilistic liquefaction model uncertainties is also highlighted, along with the impacts of different levels of uncertainty on the PLHA calculation. Finally, a potential roadmap for incorporation of the PLHA framework in seismic provisions is presented, with an illustration of how it can address current limitations and impacts in liquefaction hazard analysis and design.

Soil Dynamics and Earthquake Engineering

Manual hierarchical clustering of regional geochemical data using a Bayesian finite mixture model

Interpretation of regional scale, multivariate geochemical data is aided by a statistical technique called “clustering.” We investigate a particular clustering procedure by applying it to geochemical data collected in the State of Colorado, United States of America. The clustering procedure partitions the field samples for the entire survey area into two clusters. The field samples in each cluster are partitioned again to create two subclusters, and so on. This manual procedure generates a hierarchy of clusters, and the different levels of the hierarchy show geochemical and geological processes occurring at different spatial scales. Although there are many different clustering methods, we use Bayesian finite mixture modeling with two probability distributions, which yields two clusters. The model parameters are estimated with Hamiltonian Monte Carlo sampling of the posterior probability density function, which usually has multiple modes. Each mode has its own set of model parameters; each set is checked to ensure that it is consistent both with the data and with independent geologic knowledge. The set of model parameters that is most consistent with the independent geologic knowledge is selected for detailed interpretation and partitioning of the field samples.

Colorado

Risk assessment, eradication, and biological control: Global efforts to limit Australian acacia invasions

Aim Many Australian Acacia species have been planted around the world, some are highly valued, some are invasive, and some are both highly valued and invasive. We review global efforts to minimize the risk and limit the impact of invasions in this widely used plant group. Location Global. Methods Using information from literature sources, knowledge and experience of the authors, and the responses from a questionnaire sent to experts around the world, we reviewed: (1) a generalized life cycle of Australian acacias and how to control each life stage, (2) different management approaches and (3) what is required to help limit or prevent invasions. Results Relatively few Australian acacias have been introduced in large numbers, but all species with a long and extensive history of planting have become invasive somewhere. Australian acacias, as a group, have a high risk of becoming invasive and causing significant impacts as determined by existing assessment schemes. Moreover, in most situations, long‐lived seed banks mean it is very difficult to control established infestations. Control has focused almost exclusively on widespread invaders, and eradication has rarely been attempted. Classical biological control is being used in South Africa with increasing success. Main conclusions A greater emphasis on pro‐active rather than reactive management is required given the difficulties managing established invasions of Australian acacias. Adverse effects of proposed new introductions can be minimized by conducting detailed risk assessments in advance, planning for on‐going monitoring and management, and ensuring resources are in place for long‐term mitigation. Benign alternatives (e.g. sterile hybrids) could be developed to replace existing utilized taxa. Eradication should be set as a management goal more often to reduce the invasion debt. Introducing classical biological control agents that have a successful track‐record in South Africa to other regions and identifying new agents (notably vegetative feeders) can help mitigate existing widespread invasions. Trans‐boundary sharing of information will assist efforts to limit future invasions, in particular, management strategies need to be better evaluated, monitored, published and publicised so that global best‐practice procedures can be developed.

Diversity and Distributions

Survey report of NOAA Ship McArthur II cruises AR-04-04, AR-05-05 and AR-06-03: habitat classification of side scan sonar imagery in support of deep-sea coral/sponge explorations at the Olympic Coast National Marine Sanctuary

Habitat mapping and characterization has been defined as a high-priority management issue for the Olympic Coast National Marine Sanctuary (OCNMS), especially for poorly known deep-sea habitats that may be sensitive to anthropogenic disturbance. As a result, a team of scientists from OCNMS, National Centers for Coastal Ocean Science (NCCOS), and other partnering institutions initiated a series of surveys to assess the distribution of deep-sea coral/sponge assemblages within the sanctuary and to look for evidence of potential anthropogenic impacts in these critical habitats. Initial results indicated that remotely delineating areas of hard bottom substrate through acoustic sensing could be a useful tool to increase the efficiency and success of subsequent ROV-based surveys of the associated deep-sea fauna. Accordingly, side scan sonar surveys were conducted in May 2004, June 2005, and April 2006 aboard the NOAA Ship McArthur II to: (1) obtain additional imagery of the seafloor for broader habitat-mapping coverage of sanctuary waters, and (2) help delineate suitable deep-sea coral-sponge habitat, in areas of both high and low commercial-fishing activities, to serve as sites for surveying-in more detail using an ROV on subsequent cruises, Several regions of the sea floor throughout the OCNMS were surveyed and mosaicked at 1-meter pixel resolution. Imagery from the side scan sonar mapping efforts was integrated with other complementary data from a towed camera sled, ROVs, sedentary samples, and bathymetry records to describe geological and biological (where possible) aspects of habitat. Using a hierarchical deep-water marine benthic classification scheme (Greene et al. 1999), we created a preliminary map of various habitat polygon features for use in a geographical information system (GIS). This report provides a description of the mapping and groundtruthing efforts as well as results of the image classification procedure for each of the areas surveyed.

Washington

Implementation of genetic conservation practices in a muskellunge propagation and stocking program

Conservation of genetic resources is a challenging issue for agencies managing popular sport fishes. To address the ongoing potential for genetic risks, we developed a comprehensive set of recommendations to conserve genetic diversity of muskellunge ( Esox masquinongy ) in Wisconsin, and evaluated the extent to which the recommendations can be implemented. Although some details are specific to Wisconsin's muskellunge propagation program, many of the practical issues affecting implementation are applicable to other species and production systems. We developed guidelines to restrict future broodstock collection operations to lakes with natural reproduction and to develop a set of brood lakes to use on a rotational basis within regional stock boundaries, but implementation will require considering lakes with variable stocking histories. Maintaining an effective population size sufficient to minimize the risk of losing alleles requires limiting broodstock collection to large lakes. Recommendations to better approximate the temporal distribution of spawning in hatchery operations and randomize selection of brood fish are feasible. Guidelines to modify rearing and distribution procedures face some logistic constraints. An evaluation of genetic diversity of hatchery-produced fish during 2008 demonstrated variable success representing genetic variation of the source population. Continued evaluation of hatchery operations will optimize operational efficiency while moving toward genetic conservation goals.

Fisheries

Sampling and monitoring for the mine life cycle

Sampling and Monitoring for the Mine Life Cycle provides an overview of sampling for environmental purposes and monitoring of environmentally relevant variables at mining sites. It focuses on environmental sampling and monitoring of surface water, and also considers groundwater, process water streams, rock, soil, and other media including air and biological organisms. The handbook includes an appendix of technical summaries written by subject-matter experts that describe field measurements, collection methods, and analytical techniques and procedures relevant to environmental sampling and monitoring. The sixth of a series of handbooks on technologies for management of metal mine and metallurgical process drainage, this handbook supplements and enhances current literature and provides an awareness of the critical components and complexities involved in environmental sampling and monitoring at the mine site. It differs from most information sources by providing an approach to address all types of mining influenced water and other sampling media throughout the mine life cycle. Sampling and Monitoring for the Mine Life Cycle is organized into a main text and six appendices that are an integral part of the handbook. Sidebars and illustrations are included to provide additional detail about important concepts, to present examples and brief case studies, and to suggest resources for further information. Extensive references are included.

Book

Bonded-phase extraction column isolation of organic compounds in groundwater at a hazardous waste site

A procedure for isolation of hazardous organic compounds from water for gas chromatography/mass spectrometry analysis Is presented and applied to creosote- and pentachlorophenol-contaminated groundwater resulting from wood-treatment processes. This simple procedure involved passing a 50-100-mL sample through a bonded-phase extraction column, eluting the trapped organic compounds from the column with 2-4 mL of solvent, and evaporating the sample to 100 ??L with a stream of dry nitrogen, after which the sample was ready for gas chromatography/mass spectrometry analysis. Representative compounds indicative of creosote contamination were used for recovery and precision studies from the cyclohexyl-bonded phase. Recovery of these compounds from n-octyl-, n-octadecyl-, cyclohexyl-, and phenyl-bonded phases was compared. The bonded phase that exhibited the best recovery and least bias toward acidic or basic cmpounds was the n-octadecyl phase. Detailed compound Identification Is given for compounds Isolated from creosote- and pentachlorophenol-contaminated groundwater using the cyclohexyl-bonded phase.

Analytical Chemistry

Chemical data for precipitate samples

During studies of sulfide oxidation in coastal areas of Prince William Sound in 2005, precipitate samples were collected from onshore and intertidal locations near the Ellamar, Threeman, and Beatson mine sites (chapter A, fig. 1; table 7). The precipitates include jarosite and amorphous Fe oxyhydroxide from Ellamar, amorphous Fe oxyhydroxide from Threeman, and amorphous Fe oxyhydroxide, ferrihydrite, and schwertmannite from Beatson. Precipitates occurring in the form of loose, flocculant coatings were harvested using a syringe and concentrated in the field by repetitive decanting. Thicker accumulations were either scraped gently from rocks using a stainless steel spatula or were scooped directly into receptacles (polyethylene jars or plastic heavy-duty zippered bags). Most precipitate samples contain small amounts of sedimentary detritus. With three jarosite-bearing samples from Ellamar, an attempt was made to separate the precipitate from the heavy-mineral fraction of the sediment. In this procedure, the sample was stirred in a graduated cylinder containing deionized water. The jarosite-rich suspension was decanted onto analytical filter paper and air dried before analysis. Eleven precipitate samples from the three mine sites were analyzed in laboratories of the U.S. Geological Survey (USGS) in Denver, Colorado (table 8). Major and trace elements were determined by inductively coupled plasma-mass spectrometry following multiacid (HCl-HNO3-HClO4-HF) digestion (Briggs and Meier, 2002), except for mercury, which was analyzed by cold-vapor atomic absorption spectroscopy (Brown and others, 2002a). X-ray diffraction (XRD) analyses were performed on powdered samples (<200 mesh) by S. Sutley of the USGS. Additional details regarding sample preparation and detection limits are found in Taggert (2002). Discussions of the precipitate chemistry and associated microbial communities are presented in Koski and others (2008) and Foster and others (2008), respectively.

Alaska

The evolution of the southern California uplift, 1955 through 1976

The southern California uplift culminated in 1974 as a 150- km-wide crustal swell that extended about 600 km eastward and east-southeastward from Point Arguello to the Colorado River and Salton Sea, respectively; it was characterized by remarkably uniform height changes between 1959 and 1974 of 0.30-0.35 m over at least half of its 60,000-70,000 km 2 area. At its zenith, the uplift included virtually the entire Transverse Ranges geologic province and parts of the Coast Ranges, San Joaquin Valley, Sierra Nevada, Basin and Range, Mojave Desert, Peninsular Ranges, and Salton Trough provinces. The alinement of the western part of the uplift closely paralleled the east-trending Transverse Ranges, whereas the southern flank of the eastern lobe roughly coincided with the west-northwest-trending San Andreas fault. The position and configuration of the uplift associate it with a singularly complex section of the boundary between the North American and Pacific plates that has certainly sustained major modification during the past 5 million years and probably during the past 1 million years. Surface deformation can be categorized as tectonic or nontectonic. Nontectonic vertical displacements associated with the activities of man have overwhelmed natural compaction and areally significant soil expansion in the southern California area. Because tectonic displacements are implicitly defined as those that cannot be otherwise explained, those vertical movements that can be reasonably attributed to artificial processes have been subtracted from our reconstructed configurations of the uplift. Hence this reconstruction has necessarily included the assembly and evaluation of an enormous volume of data on oil-field operations, changes in ground-water levels, and measured subsidence (or rebound) associated with changes in the underground fluid regimen. Measured changes in height at various stages in the evolution of the uplift have been based chiefly on first-order levelings carried out between 1953 and 1976. Exceptions to this generalization consist largely of the results of pre-1953 surveys through the western Transverse Ranges and the eastern Mojave Desert. Errors in measured height differences derive from blunders, systematic survey errors, random survey errors, improperly formulated orthometric corrections, and intrasurvey movement; the last of these has created the most serious problems encountered in our reconstruction of the basic data. A variety of independent tests indicate that survey error associated with the utilized levelings was generally small and fell largely within the predicted random-error range. Moreover, the redundancy and coherence displayed by the entire data set provide convincing evidence of survey accuracy and the virtual absence of height- and slope-dependent error in particular. Our reconstructions of the changing configuration of the uplift derive chiefly from comparisons among sequentially developed observed elevations along the same route. Most of the observed elevations from which the vertical displacements were computed have been reconstructed with respect to bench mark Tidal 8, San Pedro, as invariant in height. Because the San Pedro tide station has been characterized by a history of modest relative uplift, vertical displacements referred to this station are biased slightly toward the appearance of subsidence. Where the observed elevations cannot be conveniently tied to Tidal 8, they have been referred to secondary control points whose history with respect to Tidal 8 can be independently established. Each of the lines of observed elevation changes provides, accordingly, a section athwart or along the axis of the uplift from which the changes in the configuration of the uplift can be roughly generalized. Because relatively few surveys were run in 1955, which we choose as a representative temporal datum, we have commonly incorporated the results of earlier or of somewhat later levelings as the equivalents of 1955 surveys. Although this procedure introduces a certain subjectivity, the probable equivalence between the results of these earlier or later surveys with those that would have been obtained had this leveling been carried out in 1955, usually can be independently tested. Wherever the calculated vertical displacements are based on comparisons between the results of levelings over different routes, the observed elevations have been orthometrically corrected to agree with those that would have been produced had each of these surveys been along the same route. The growth of the southern California uplift consisted of two well-defined spasms of positive movement, the second of which was closely followed by partial collapse. Our reconstruction, although it clearly errs in detail, indicates that the uplift, together with marginal and apparently ephemeral tectonic subsidence, nucleated in the west-central Transverse Ranges near Ozena, sometime between the spring of 1959 and the spring of 1960. The uplift expanded rapidly eastward (and probably westward as well), and by the fall of 1961 much of the Transverse Ranges and the Mojave Desert at least as far east as Twentynine Palms had risen by as much as 0.25 m. Between 1962 and 1972 the area included by the initially developed (1959-61) uplift sustained additional but clearly decelerating uplift accompanied locally by oscillatory displacements. Between 1972/ 73 and 1974 a second crustal spasm extended the uplift eastward to the Colorado River and elevated much of the eastern Mojave Desert by values that equaled or exceeded those developed within the western lobe. Between 1974 and 1976, at least the central part of the uplift sustained partial collapse that nowhere amounted to less than 50 percent of the cumulative uplift since 1959. Whether this collapse affected the entire uplift is conjectural, but we now recognize well-defined evidence of major down-to-the-north tilting that must have occurred within the eastern part of the uplift at some time between 1974 and 1976. Accumulating evidence indicates that nearly all the area included with the southern California uplift underwent similar uplift and partial collapse during the early part of the 20th century. Thus we infer that the recent uplift represents but a single event in an ongoing, more or less cyclic deformational process characterized by a period of about 50 years. Even though less than two full cycles are expressed in the geodetic record, the cumulative rate of uplift near the center of the recent uplift probably has averaged about 5 mm/yr, a value that is roughly consistent with the uplift rates that have been deduced for the late Quaternary emergent marine terraces along the south flank of the Transverse Ranges. Although the evolution of the recent uplift is relatively well defined, its correlation with the regional seismicity is poorly defined. A comparison between the occurrence of southern California earthquakes of magnitude ≥4 during the period 1932 to 1976 with the 1974 configuration of the uplift demonstrates the existence of (1) relatively aseismic areas within the western lobe of the uplift (in the western Transverse Ranges), in the central part of the uplift (in the western Mojave Desert), and along an east-trending zone that extends into the eastern Mojave athwart the south flank of the uplift (north of the Salton Sea) and (2) localized concentrations of seismic activity along the flanks of the uplift. Moreover, 9 of the 10 largest earthquakes recorded within or around the area of the southern California uplift during the period 1932 to 1976 (the 1933 Long Beach, the 1941 Santa Barbara, the 1946 Walker Pass, the 1947 Manix, the 1948 Desert Hot Springs, and the four major 1952 Kern County shocks) occurred before the inception of the uplift in 1959 or 1960. The area embraced by the southern California uplift has been identified with geodetically defined horizontal strain, part of which may have accumulated as a major north-south contractional event that roughly coincided with the first spasm of uplift. Nonetheless, continuing contractional strain associated with regionally developed partial collapse argues that the uplift cannot be fully explained simply as the vertical expression of continuing north-south compression. Consideration of the two well-defined historical episodes of uplift and partial collapse indicate that the southern California uplift may be the product of decoupling and viscous flow beneath the seismogenic zone, presumably driven by continuing motion between the irregularly margined plates south of the great bend of the San Andreas fault. Because the magnitude of the maximum uplift associated with each episode was approximately the same, there may be some threshold value above which collapse (viscous flow) may ensue; the absence of total collapse may be a function of precollapse strain hardening within the postulated subseismogenic viscoelastic layer.

California

The international seismological observing period in Africa

The International Seismological Observing Period (ISOP) is a specific time interval designated for enhanced international cooperation in the collection and dissemination of observatory measurements from the global seismographic network. The primary purpose of the ISOP is to strengthen the international infrastructure that supports current seismological practice and increase the cooperation among nations that operate seismological observatories. Measurements, reported by the existing global network and compiled by agencies such as the International Seismological Centre (ISC), are providing new information about earthquakes and the structure of the Earth of fundamental importance to the Earth sciences. However, these data represent but a small fraction of the information contained in the seismograms. One of the goals of the ISOP is to collect improved sets of data. In particular, the measurement and reporting of later-arriving phases, during a fixed ISOP period, from earthquakes selected for detailed observation by the cooperating stations will be encouraged. The use of advanced, digital instrumentation provides an unprecedented opportunity for enhancing the methods of seismogram interpretation and seismic parameter extraction, by the implementation of digital processing methods at seismic observatories worldwide. It must be ensured that this new information will be available to the entire seismological community. It is believed that this purpose is best served with an ISOP that promotes increased on-site processing at digital stations in Africa and elsewhere. Improvements in seismology require truly international cooperation and the educational aspects of seismological practice form one of the goals of the ISOP. Thus, workshops will be needed in Africa to train analysts in ISOP procedures and to introduce them to modern techniques and applications of the data. Participants will, thus, benefit from theoretical results and practical experience that are of direct relevance to their own work.

Tectonophysics

Molecular contributions to conservation

Recent advances in molecular technology have opened a new chapter in species conservation efforts, as well as population biology. DNA sequencing, MHC (major histocompatibility complex), minisatellite, microsatellite, and RAPD (random amplified polymorphic DNA) procedures allow for identification of parentage, more distant relatives, founders to new populations, unidentified individuals, population structure, effective population size, population-specific markers, etc. PCR (polymerase chain reaction) amplification of mitochondrial DNA, nuclear DNA, ribosomal DNA, chloroplast DNA, and other systems provide for more sophisticated analyses of metapopulation structure, hybridization events, and delineation of species, subspecies, and races, all of which aid in setting species recovery priorities. Each technique can be powerful in its own right but is most credible when used in conjunction with other molecular techniques and, most importantly, with ecological and demographic data collected from the field. Surprisingly few taxa of concern have been assayed with any molecular technique. Thus, rather than showcasing exhaustive details from a few well-known examples, this paper attempts to present a broad range of cases in which molecular techniques have been used to provide insight into conservation efforts.

Ecology

Examining the relationship between portable luminescence reader measurements and depositional ages of paleowetland sediments, Las Vegas Valley, Nevada

Portable luminescence readers are exciting new tools that have the potential to rapidly determine the age structure of late Quaternary stratigraphic columns. This is important because high-resolution age profiling can reveal details about the temporal dynamics of climate cause and ecosystem effect, often while researchers are still in the field. In this paper, we compare new portable luminescence reader measurements of total photon counts with a suite of robust, highly resolved ages from middle to late Pleistocene-age paleowetland deposits in the Las Vegas Valley of southern Nevada. Our results show that total photon counts correlate with age, with a quadratic equation providing the best fit to the data. Significant scatter is present in the data, which is likely the result of dose rate variations, multiple sediment sources, and transport mechanisms that include both eolian and fluvial processes. The observed scatter can be reduced significantly using a simple pretreatment procedure involving a 250 μm sieve and neodymium hand magnet to normalize particle sizes and remove magnetic grains. Following this treatment, age estimates based on the reader measurements have an average error of 30 ± 18% when compared against known ages. These findings confirm that portable reader measurements scale with age in paleowetland deposits, allowing its use in establishing rapid, albeit approximate, chronologies for these deposits throughout the American Southwest.

Nevada

An evaluation of errors in mapping land use changes for the Central Atlantic Regional Ecological Test Site

Land use change maps prepared from high-resolution, high-altitude aerial photographs for the period 1970 to 1972 of the CARETS (Central Atlantic Regional Ecological Test Site) project were analyzed for accuracy. To test for errors of commission, all outlined areas (polygons) of land use change on five l:100000-scale maps were examined for accuracy. An estimate of the errors of omission was obtained by comparing the land use change polygons mapped for the Norfolk SMSA (Norfolk and Virginia Beach Standard Metropolitan Statistical Area) with the changes mapped in a more detailed study of the same area. The results of these studies showed that the largest number of errors was caused by misregistration of the land use change map to the 1970 land use map; however, only a very small percentage of the total land area of the land use change was affected by misregistration. In the Norfolk SMSA, which is an area of rapid urban growth, many of the land use changes had not been mapped. The conclusion is that quality control checks are necessary both during and after map compilation. The experience of the CARETS and other land use mapping experiments conducted in the early 1970's has resulted in the development of carefully designed quality-control procedures implemented in the nationwide mapping of land use and land cover currently being carried out by the U.S. Geological Survey.

Maryland, Virginia

Unlearning Racism in Geoscience (URGE): Summary of U.S. Geological Survey URGE pod deliverables

The U.S. Geological Survey (USGS) is in a unique position to be a leader in diversity, equity, inclusion, and accessibility in the Earth sciences. As one of the largest geoscience employers, the USGS wields significant community influence and has a responsibility to adopt and implement robust, unbiased policies so that the science it is charged to deliver is better connected to the diverse communities it serves. Meaningful and effective improvements in implementation of diversity, equity, inclusion, and accessibility principles made within the USGS will be seen across the geoscience community. Despite this opportunity, however, the community, including the USGS, has struggled to diversify the geoscience workforce, which does not reflect the Nation’s diversity. This disparity suggests that the implementation of past policies did not achieve their desired outcomes in sustainable ways. The persistent lack of diversity across the geosciences and the racial justice protests of 2020 motivated a group of geoscience scholars to launch a global, virtual initiative known as Unlearning Racism in Geoscience (URGE) in the winter of 2021. The 16-week facilitated URGE curriculum was designed to highlight existing literature, share expert opinions, and foster discussion within groups (pods) around the world to build action plans for affecting change within their home institutions ( https://urgeoscience.org/ ). Whereas most of the approximately 4,500 participants were university faculty and students or from professional societies and nonprofit organizations, 6 pods totaling over 120 participants from the USGS joined the program—the largest participation of any Federal science agency. Summarizing the recommendations of over 100 USGS employees across the USGS who participated in URGE, this Circular represents a grassroots plan for making the USGS workforce more diverse and inclusive. To identify how peer-reviewed best practices could be implemented at the USGS, participants read existing literature, reviewed USGS policies and procedures, explored new and existing demographic data, and listened to and discussed primary interviews with scholars, all facilitated by the URGE program. This Circular leverages the efforts and momentum of the USGS URGE participants to catalyze and support positive, systemic change throughout the organization in a holistic way that represents an achievable departure from past policies that fell short of success. These recommendations are starting points. Reflecting the overall lack of diversity in the USGS workforce, the USGS URGE participants were predominantly White, meaning recommendations in this document can and should continue to evolve to include the lived perspectives and input from the broader USGS community. Finally, this summary document only highlights some of the key findings of these working groups. Additional details that may be more suitable to specific USGS Centers and programs can be found in the primary documents developed by each USGS URGE pod; a list of all registered pods can be found at https://urgeoscience.org/pods/ .

Circular

Analysis and review of fishery-dependent data for Hawaiian nearshore noncommercial fisheries

Noncommercial, shore-based fisheries provide economic, social, and cultural services to communities throughout the Hawaiian Islands. The State of Hawai‘i Department of Land and Natural Resources (DLNR), Division of Aquatic Resources (DAR) routinely conducts surveys to monitor noncommercial fisheries such that estimates of fishing effort and catch by gear type can be generated and used to implement more sustainable management practices. DAR executes both the Hawai‘i Marine Recreational Fishery Survey (HMRFS), a nationally standardized survey that focuses on intercepting fishers at access points (i.e., boat ramps) across the main Hawaiian Islands, and a set of roving creel surveys on O‘ahu, Maui Nui, and Kaua‘i that observe and intercept fishers at locations along the shoreline outside of those targeted by HMRFS. The latter set of creel surveys were designed to complement HMRFS by expanding its geographic coverage and thus providing a more representative picture of noncommercial fishing in Hawai‘i. Sustainable management priorities set by DAR rely on the availability of statewide, fishery- dependent data. Thus, we collate information from island-based roving creel surveys into a cohesive Statewide Creel Survey Database. Further, we provide preliminary analyses and describe ways that surveys could be streamlined to improve future data collection, analysis, and utility. In so doing, we synthesize the most detailed information to-date about noncommercial shore-based fisheries of Hawai‘i. The unprecedented spatial and temporal coverage of DAR’s dataset reveals the value of their survey efforts over the last decade to address fishery management needs. Our primary objectives, results, and conclusions are summarized below: 1) Integrate DAR roving creel survey data from different islands into a single Statewide Creel Survey Dataset (Chapter II). We describe the collation of creel survey data from O‘ahu, Maui Nui, and Kaua‘i into a statewide dataset. We also offer ways in which these surveys could be streamlined to meet the needs of managers and decision makers. Briefly, these are to create a statewide strategic plan, standardize the execution of standard operating procedures, centralize the creel survey database and associated metadata, and consider using technology that improves the data pipeline, including transitioning from paper-based to electronic systems for data entry and processing. 2) Assess whether the new Statewide Creel Survey Dataset can provide inputs for length-based stock assessments (Chapter III). Only on Maui were interviews conducted with associated catch data. There was reasonably high taxonomic coverage (42 species from 186 interviews with 310 fishers), but low sample sizes for nearly all species precluded the development of length-based stock assessments. We provide summary statistics from the existing data and briefly discuss how technologies could be used to automate analysis of images of noncommercial catch. 3) Analyze the Statewide Creel Survey Dataset for spatial and temporal patterns in fishing effort (Chapter IV): a. Visualizing noncommercial fishing pressure . We found that fishing effort (mean number of fishers observed per survey event at a site) on O'ahu was over three times greater than that recorded during similar surveys conducted on Maui or Kaua'i. We create maps that display the distribution of angling and spearfishing effort around each of the three islands. b. Factors that predict fishing “hotspots” around Maui . Fishing effort on Maui was associated with areas with more wave power and less parking availability. There were half as many fishers in areas with parking lots than in areas with parking on the road shoulder only. c. Changes in fishing effort during the COVID-19 pandemic . There was no change in fishing effort on O‘ahu during the first year of the pandemic, but there was a 20% decline in year 2 and a 33% decline in year 3, both in comparison to pre-pandemic levels. Pre-pandemic creel survey data were unavailable for Maui and Kaua‘i, but fishing effort on these islands also declined as the pandemic progressed at similar or greater rates than those observed on O‘ahu. 4) Quantify potential bias in survey methods by experimentally deriving fisher detection probabilities of shore-based and drone-based surveys (Chapter V): a. Shore-based surveys . We conducted roving creel surveys for four months at three locations around Hilo Bay, designed to emulate and estimate the efficacy of DAR standard operating procedures. There was high agreement between paired observers in counting fishers, leading to near-perfect detection probabilities of both anglers (94%) and spearfishers (97%), but relatively low agreement and detection probabilities of other fishers (throw net, ‘opihi picking, etc.) (52%). b. Drone-based surveys . We used an unmanned aerial vehicle (UAV; operated by DAR staff) to collect imagery of fishers along the Hilo Bay shoreline. We used still images and video clips (with known fishing activity) to build an online survey that was distributed to DAR and HCFRU personnel, asking them to count and categorize resource users as a snorkeler, spearfisher, angler, or other fisher. Only 40.0% of the responses correctly counted and categorized resource users in the image. Anglers were correctly identified and enumerated in 90.0% of the responses, but the correct response rates of the other three user categories ranged from 67.8% – 79.4%. Snorkelers and anglers tended to be undercounted while spearfishers and other fishers were overcounted. 5) Review the potential for incorporating emerging technologies that will improve, augment, and evolve creel survey data collection, especially for spearfishing (Chapter VI). Within the context of monitoring shore-based noncommercial fishing, we review the use of electronic data entry/processing systems with geospatial and image capabilities, field cameras, drones, smart buoys, citizen science apps, data mining social media, artificial intelligence and machine learning. We highlight several of the challenges and considerations when implementing these technologies into creel surveys and provide a synthesis of options that could be used to better estimate spearfishing. The general conclusion of this assessment is that the DAR roving creel survey program is collecting valuable data that supplement the existing HMRFS efforts. However, there are a number of areas that could be improved to make these efforts a more effective tool for decision-making processes in resource management and conservation: 1) Establishment of clear statewide and island objectives for the Statewide Creel Survey Dataset. Currently, data collection efforts are focused towards addressing a very broad purpose – supplementing the HMRFS data collection efforts. However, the results of the preliminary analyses conducted as part of this project suggest that the data could be used to address other areas of need if these objectives were clearly defined. Further, the design of the creel survey would benefit from greater standardization of survey protocols between islands and an effort to define a) the acceptable margins of error associated with the estimates generated by these data and b) the minimum level of change that the surveys would need to detect to be useful to managers. 2) Centralization of data entry, data quality assessment, and data accessibility. Currently, each DAR office manages data entry, checks the data for errors, and is responsible for managing and storing the data. Instituting a centralized data entry system, particularly an online database that can receive survey data from tablets or smartphones running a standardized data collection application would improve efficiency, reduce data entry errors, and accelerate the availability of data to managers. A substantial amount of time and effort from the project described in this report was devoted to checking the dataset for errors. The development and application of data quality assurance protocols would ensure that the data are reliable and available in a timely fashion to support management decisions. 3) Address lingering questions regarding the efficacy of current survey protocols to capture and characterize the spearfishing component of the noncommercial fishery. The results presented in the report suggest that the current creel survey protocols do a good job detecting spearfishers when present but are not capturing sufficient data about their catch or total effort. There are also questions remaining as to whether the survey times and sites are sufficiently capturing the behavior of spearfishers in Hawai‘i. A more thorough assessment – whether through additional research, alteration of survey design, or review of data by representatives of the spearfishing community – would provide insight on how to use the Statewide Creel Survey Database to inform management of spearfishing. 4) Investigate the integration of technological advancements into the creel survey methods. As priorities and needs are developed and formalized, it would be valuable to consider how various technological advancements might enhance and streamline data collection or open new avenues of inquiry.

Hawaii

Root zone water quality model (RZWQM2): Model use, calibration and validation

The Root Zone Water Quality Model (RZWQM2) has been used widely for simulating agricultural management effects on crop production and soil and water quality. Although it is a one-dimensional model, it has many desirable features for the modeling community. This article outlines the principles of calibrating the model component by component with one or more datasets and validating the model with independent datasets. Users should consult the RZWQM2 user manual distributed along with the model and a more detailed protocol on how to calibrate RZWQM2 provided in a book chapter. Two case studies (or examples) are included in this article. One is from an irrigated maize study in Colorado to illustrate the use of field and laboratory measured soil hydraulic properties on simulated soil water and crop production. It also demonstrates the interaction between soil and plant parameters in simulated plant responses to water stresses. The other is from a maize-soybean rotation study in Iowa to show a manual calibration of the model for crop yield, soil water, and N leaching in tile-drained soils. Although the commonly used trial-and-error calibration method works well for experienced users, as shown in the second example, an automated calibration procedure is more objective, as shown in the first example. Furthermore, the incorporation of the Parameter Estimation Software (PEST) into RZWQM2 made the calibration of the model more efficient than a grid (ordered) search of model parameters. In addition, PEST provides sensitivity and uncertainty analyses that should help users in selecting the right parameters to calibrate.

Transactions of the ASABE

Temporal variability of local abundance, sex ratio and activity in the Sardinian chalk hill blue butterfly

When capturing and marking of individuals is possible, the application of newly developed capture-recapture models can remove several sources of bias in the estimation of population parameters such as local abundance and sex ratio. For example, observation of distorted sex ratios in counts or captures can reflect either different abundances of the sexes or different sex-specific capture probabilities, and capture-recapture models can help distinguish between these two possibilities. Robust design models and a model selection procedure based on information-theoretic methods were applied to study the local population structure of the endemic Sardinian chalk hill blue butterfly, Polyommatus coridon gennargenti. Seasonal variations of abundance, plus daily and weather-related variations of active populations of males and females were investigated. Evidence was found of protandry and male pioneering of the breeding space. Temporary emigration probability, which describes the proportion of the population not exposed to capture (e.g. absent from the study area) during the sampling process, was estimated, differed between sexes, and was related to temperature, a factor known to influence animal activity. The correlation between temporary emigration and average daily temperature suggested interpreting temporary emigration as inactivity of animals. Robust design models were used successfully to provide a detailed description of the population structure and activity in this butterfly and are recommended for studies of local abundance and animal activity in the field.

Oecologia