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Data Model and Relational Database Design for Highway Runoff Water-Quality Metadata

A National highway and urban runoff waterquality metadatabase was developed by the U.S. Geological Survey in cooperation with the Federal Highway Administration as part of the National Highway Runoff Water-Quality Data and Methodology Synthesis (NDAMS). The database was designed to catalog available literature and to document results of the synthesis in a format that would facilitate current and future research on highway and urban runoff. This report documents the design and implementation of the NDAMS relational database, which was designed to provide a catalog of available information and the results of an assessment of the available data. All the citations and the metadata collected during the review process are presented in a stratified metadatabase that contains citations for relevant publications, abstracts (or previa), and reportreview metadata for a sample of selected reports that document results of runoff quality investigations. The database is referred to as a metadatabase because it contains information about available data sets rather than a record of the original data. The database contains the metadata needed to evaluate and characterize how valid, current, complete, comparable, and technically defensible published and available information may be when evaluated for application to the different dataquality objectives as defined by decision makers. This database is a relational database, in that all information is ultimately linked to a given citation in the catalog of available reports. The main database file contains 86 tables consisting of 29 data tables, 11 association tables, and 46 domain tables. The data tables all link to a particular citation, and each data table is focused on one aspect of the information collected in the literature search and the evaluation of available information. This database is implemented in the Microsoft (MS) Access database software because it is widely used within and outside of government and is familiar to many existing and potential customers. The stratified metadatabase design for the NDAMS program is presented in the MS Access file DBDESIGN.mdb and documented with a data dictionary in the NDAMS_DD.mdb file recorded on the CD-ROM. The data dictionary file includes complete documentation of the table names, table descriptions, and information about each of the 419 fields in the database.

Open-File Report

hical—The HiRISE radiometric calibration software developed within the ISIS3 planetary image processing suite

Introduction This report summarizes the software and algorithms that are used to calibrate images returned by the High Resolution Imaging Science Experiment (HiRISE) camera onboard the Mars Reconnaissance Orbiter (MRO) spacecraft. The instrument design and data processing methods are summarized below, followed by a description of relevant calibration data and details of the calibration procedure. In this document, we describe the software that uses those coefficients and matrices to radiometrically calibrate HiRISE data. This software is included in version 3 of the Integrated Software for Imagers and Spectrometers (ISIS3), which is developed and maintained by the U.S. Geological Survey Astrogeology Science Center in Flagstaff, Ariz., for the international planetary science community via funding from the National Aeronautics and Space Administration. ISIS3 is freely available to the scientific community and can be obtained at http://isis.astrogeology.usgs.gov/index.html . Support for ISIS3 is provided at https://github.com/USGS-Astrogeology/ISIS3 .

Techniques and Methods

Perspectives on equitable co-production workshop report

The co-production of knowledge is increasingly recognized as an approach to conducting research intended to achieve a societal impact. In this study, we used a broad definition of co-production, defining it as “a process that brings together diverse groups to iteratively create new knowledge and practices (1).” However, co-production has been defined and conceptualized in a variety of ways (2,3), across multiple domains, including public administration, conservation, health, education, and climate change. Theoretical definitions have been introduced by scholars like Jasanoff (4) and Ostrom (5), but definitions can also be grounded in practice (6). For example, unique definitions of co-production have been advanced for work with Arctic Indigenous Peoples (7), in the context of resource management (8), and for a specific program (9). Other similar processes of engagement, such as community-based participatory research (10), action research (11), civic science (12), community science (13), and post-normal science (14) may have overlap with the concept of co-production and have been used to describe similar processes of collaboration. These distinctions and varying definitions have been discussed extensively elsewhere (see Mach et al. 2020, Wyborn et al. 2019). In the context of co-production, power plays a crucial role in shaping interactions and outcomes. Some scholars and practitioners explicitly consider power dynamics as a central element in their definitions of co-production, recognizing how power imbalances can affect participation, decision-making, and the distribution of benefits. Others, however, might not emphasize power as prominently, focusing more on the collaborative aspects without explicitly addressing the underlying power structures. This leads to divergent objectives and priorities among projects claiming to be co-produced (2,3, 6). Chambers and colleagues (2) discussed how co-production projects in the context of sustainability usually emphasize one or more of six different goals, including: researching solutions, empowering voices, brokering power, reframing power, navigating differences, and reframing agency. Because power dynamics are inherent in co-production (15), equity dimensions should be considered in these definitions and conceptualizations. Yet, in the context of government or academically led climate change research and programs, equity is a relatively new focus, even among programs that have been engaging a co-production approach for decades (9). Alternatively, in some recent work the concept of equity in co-production is explicit, but it has only been considered in a limited context (7). Here, we present a discussion about co-production that is informed by research, practice, and community perspectives across partnerships from a range of regions and topics. We are specifically interested in how different actors in these projects think about equity and work towards more equitable approaches in the context of their co-production work. This understanding is needed, as the federal government has increasingly focused on co-production approaches in the design of their programs and funding calls, and most recently the Biden administration has called on federal agencies to more intentionally center equity for underserved groups of people in their work (16). Furthermore, with the Biden administration’s focus on environmental and climate justice, the opportunity for researchers and their societal partners to engage in co-production is expanding. Numerous programs within federal agencies have embraced a co-production approach, such as the National Oceanic and Atmospheric Administration (NOAA) Climate Adaptation Partnerships (CAP; formerly called the Regional Integrated Sciences and Assessments or RISA program) (9,17), Department of the Interior (DOI) Climate Adaptation Science Centers (CASCs)(18), and the US Department of Agriculture (USDA) Climate Hubs. However, the actual implementation of co-production processes varies significantly (1,19), with multiple implications for the design of equitable partnerships. Researchers, their partners, and funders have frequently cited many tensions and challenges in the successful implementation of co-production, including higher resource demands and few systemic structures for support (20). Practically implementing co-production, especially with people who have been underrepresented in or historically excluded from research activities, must consider fairness and the accessibility of co-production processes. While co-production is often cited as important for environmental governance, issues like power and equity are infrequently addressed (15). To explore this topic, we identified and studied three projects that centered on equity in co-production from three federal climate programs (CASC, CAP, USDA Climate Hubs) in three different regions of the U.S. (Alaska, Northeast, Southeast). We aimed to identify consensus or divergence in perspectives related to equitable co-production processes to elevate effective practices and link co-production research and practice. Findings from interviews and a survey (explained further in Akerlof et al., 2023) informed a twoday hybrid workshop involving participants from the three case studies, as well as individuals representing research, governmental, non-governmental, and community organizations across the United States. Participants also included scholars of co-production, program coordinators, and people who participated in co-production projects on behalf of their communities. Several boundary spanners, those practitioners who work at the intersection of the production and use of science (21,22), also attended the workshop. The goals of the workshop were to discuss and build on what was learned from the three case studies, discuss the three distinct perspectives on equitable co-production that emerged from the pre-workshop research, and draft a framework for equitable co-production processes. During the workshop, participants considered the three perspectives on equitable co-production, defining equitable co-production for each and discussing the practical implications of each, including barriers and priorities for overcoming them. We aimed to address the question: How can federal climate programs support equitable co-production processes?

Report

Back-Island and Open-Ocean Shorelines, and Sand Areas of the Undeveloped Areas of New Jersey Barrier Islands, March 9, 1991, to July 30, 2013

Assessing the physical change to shorelines and wetlands is critical for determining the resiliency of wetland systems that protect adjacent habitat and communities. The wetland and back-barrier shorelines of the New Jersey barrier islands were changed by wave action and storm surge from Hurricane Sandy in 2012. The U.S. Geological Survey Coastal and Marine Geology Program is assessing the impact of Hurricane Sandy to understand its historical context and the vulnerability of wetland systems. These assessments require data that document physical changes over time, such as maps, aerial photographs, satellite imagery, and lidar elevation data. This Data Series Report includes open-ocean shorelines, back-island shorelines, back-island shoreline points, sand polygons, and sand lines for the undeveloped areas of New Jersey barrier islands. These data were extracted from orthoimagery (aerial photography) taken between March 9, 1991, and July 30, 2013. The images used were 0.3–1-meter (m)-resolution U.S. Geological Survey Digital Orthophoto Quarter Quads (DOQQ), U.S. Department of Agriculture National Agriculture Imagery Program (NAIP) images, National Oceanic and Atmospheric Administration images , and New Jersey Geographic Information Network images. The back-island shorelines were hand-digitized at the intersects of the apparent back-island shoreline and transects spaced at 20-m intervals. The open-ocean shorelines were hand-digitized at the approximate still-water level, such as tide level, which was fit through the average position of waves and swash apparent on the beach. Hand-digitizing was done at a scale of approximately 1:2,000. The sand polygons were derived by an image-processing unsupervised classification technique that separates images into classes. The classes were then visually categorized as either sand or not sand. Sand lines were taken from the sand polygons. Also included in this report are 20-m-spaced transect lines and the transect base lines.

New Jersey

Agencies collaborate, develop a cyanobacteria assessment network

Cyanobacteria are a genetically diverse group of photosynthetic microorganisms that occupy a broad range of habitats on land and water all over the world. They release toxins that can cause lung and skin irritation, alter the taste and odor of potable water, and cause human and animal illness. Cyanobacteria blooms occur worldwide, and climate change may increase the frequency, duration, and extent of these bloom events. Rapid detection of potentially harmful blooms is essential to protect humans and animals from exposure. Information about potential for exposure, such as bloom duration, frequency, and extent, is especially critical for developing environmental management decisions during periods of limited resources and funding. The National Research Council (NRC) report Exposure Science in the 21st Century suggested that effectively assessing and mitigating exposures requires techniques for rapid measurement of a stressor, such as an algal bloom, across diverse geographic, temporal, and biologic scales (e.g., various bloom concentrations) and an enhanced infrastructure to address threats [ NRC , 2012]. The report specifically calls for approaches that use diverse information, such as satellite remote sensing, to identify and understand exposures that may pose a threat to ecosystems or human health. A collaborative effort integrates the work of the U.S. Environmental Protection Agency (EPA), NASA, the National Oceanic and Atmospheric Administration (NOAA), and the U.S. Geological Survey (USGS) to provide an approach for using satellite ocean color capabilities in U.S. fresh and brackish water quality management decisions. The overarching goal of this collaborative project is to detect and quantify cyanobacteria blooms using satellite data records in order to support the environmental management and public use of U.S. lakes and reservoirs. Satellite remote sensing tools may enable policy makers and environmental managers to assess the sustainability of watershed ecosystems and the services they provide, now and in the future. Satellite technology allows us to develop early-warning indicators of cyanobacteria blooms at the local scale while maintaining continuous national coverage.

Eos, Earth and Space Science News

How to order maps on microfilm

The collection comprises over 120,000 maps, including some 15-minute quadrangle maps compiled by the U.S. Army Corps of Engineers, National Parks and Monument maps, River Survey maps, and selected Federal Highway Administration county planning maps. The collection will continue to grow as other types of maps are added.

General Information Product

Hurricane Sandy science plan: New York

Hurricane Sandy is a stark reminder of why the Nation must become more resilient to coastal hazards. More than one-half of the U.S. population lives within 50 miles of a coast, and this number is increasing. The U.S. Geological Survey (USGS) is one of the largest providers of geologic and hydrologic information in the world. Federal, State, and local partners depend on the USGS science to know how to prepare for hurricane hazards and reduce losses from future hurricanes. The USGS works closely with other bureaus within the Department of the Interior, the Federal Emergency Management Agency, the National Oceanic Atmospheric Administration, the U.S. Army Corps of Engineers, the Environmental Protection Agency, and many State and local agencies to identify their information needs before, during, and after hurricanes.

New York

Collections management plan for the U.S. Geological Survey Woods Hole Coastal and Marine Science Center Data Library

The U.S. Geological Survey Woods Hole Coastal and Marine Science Center has created a Data Library to organize, preserve, and make available the field, laboratory, and modeling data collected and processed by Woods Hole Coastal and Marine Science Center staff. This Data Library supports current research efforts by providing unique, historic datasets with accompanying metadata. The Woods Hole Coastal and Marine Science Center’s Data Library has custody of historic data and records that are still useful for research, and assists with preservation and distribution of marine science records and data in the course of scientific investigation and experimentation by researchers and staff at the science center. The data accession and retention policies employed by the Woods Hole Coastal and Marine Science Center Data Library are based on scientific need and the National Archives and Records Administration standards for Federal records retention. Criteria for inclusion of data and records into the Data Library, the scope of the Data Library holdings, and operating procedures for the management and running of the library are designed to support the research operations of the U.S. Geological Survey. This report explains the roles and detailed responsibilities of library and scientific staff, and provides step-by-step instructions for managing the collections of the Woods Hole Coastal and Marine Science Center Data Library.

Open-File Report

Ground-water levels in Huron County, Michigan, 2006-07

In 1990, the U.S. Geological Survey (USGS) completed a study of the hydrogeology of Huron County, Michigan (Sweat, 1991). In 1993, Huron County and the USGS entered into a continuing agreement to measure water levels at selected wells throughout Huron County. As part of the agreement, USGS initially operated four continuous water-level recorders, installed from 1988 to 1991 on wells in Bingham (H5r), Fairhaven (H9r), Grant (H2r), and Lake Townships (H25Ar) and summarized the data collected in an annual or bi-annual report (fig. 1). The agreement was altered in 2003, and beginning January 1, 2004, only wells H9r and H25Ar retained continuous water-level recorders, while wells H2r and H5r reverted to quarterly or periodic measurement status due to budget constraints. The decision of which two wells to discontinue was based on an analysis of the intrinsic value to Huron County of data from each well. Well H2r was selected for periodic measurement at that time because it is completed in the glacial aquifer, which is absent in much of Huron County and well H5r, which is completed in the Marshall aquifer, was selected because the water level in the well is often perturbed as a result of pumpage from nearby production wells and does not always reflect baseline conditions within the aquifer. USGS also has provided training for County or Huron Conservation District personnel to measure the water level in 24 of the wells on a quarterly basis. USGS personnel accompany County or Huron Conservation District personnel on a semi-annual basis to provide a quality assurance/quality control check of all measurements being made. Water-level data collected from the wells is summarized in an annual or bi-annual report. The altitude of Lake Huron and precipitation are good indicators of general climatic conditions and, therefore, provide an environmental context for groundwater levels in Huron County. Figure 2 shows the meanmonthly water-level altitude of Lake Huron, averaged from measurements made at Essexville and Harbor Beach (National Oceanic and Atmospheric Administration, 2008), and monthly precipitation measured in Harbor Beach, Sebewaing, and Bad Axe (National Oceanic and Atmospheric Administration, Danny Costello, written commun., 2007-08). In December 2007, the water level in Lake Huron dropped to a new monthly mean low of 576.38 ft for the period from 1988 through 2007 (the previous lowwater level of 576.57 ft was measured in March 2003). The net decline in the water level of Lake Huron from January 2006 through December 2007 was 0.68 ft. In 2006, annual precipitation measured at Harbor Beach was 3.2 in. above the long-term average of 31.1 in., with 10.6 in. measured during the 2006 growing season (May through August). In 2007, annual precipitation measured at Harbor Beach was 1.4 in. below normal, with 9.7 in. measured during the growing season. In the two wells equipped with continuous waterlevel recorders, the water level rose 0.32 ft from January 1, 2006 to December 31, 2007 in well H9r, but declined 1.11 ft in well H25Ar. Curiously, well H9r is drilled adjacent to Saginaw Bay (Lake Huron), and, as previously noted, there was a 0.68 ft decline in the water level in Saginaw Bay during that period. Twenty four wells were measured on a quarterly or periodic basis from December 2005 through December 2007 (well H26 was destroyed during summer 2007 reducing the total number of wells from 25). These wells are completed in the glacial, Saginaw and Marshall aquifers, and the Coldwater confining unit. Although each quarterly or periodic measurement only provides a “snapshot” water level (measured in ft below land surface, and altitude, in ft above sea level), the data adequately define the generalized water-level trend in the aquifer near the well. Water levels in 6 quarterly-measured wells had net rises ranging from 0.09 to 1.45 ft for the period, while water levels in 18 of the wells had net declines ranging from 0.26 to 2.19 ft (tables 1 and 2; fig. 3). Period-of-record (the time period during which water levels have been measured by U.S. Geological Survey or their cooperators) minimum depths to water (high-water levels) were measured in March and December 2006 in two quarterly-measured wells completed in the Saginaw aquifer in Oliver and Sebewaing Townships, respectively. A period-of-record minimum depth to water was also recorded June 5, 2007 in well H9r, completed in the Michigan Formation/Marshall aquifer in Fairhaven Township. Period-of-record maximum depths to water were measured in September 2007 in two wells completed in the Marshall aquifer in Oliver and Dwight Townships. Notably, water levels in those two wells recovered about 1 to 3 ft between September and December 2007. No period-of-record minimum or maximum depths to water were measured in wells completed in either the glacial aquifer or the Coldwater confining unit from December 2005 through December 2007. Several external factors influence water-level trends including proximity to nearby production wells, amount and timing of precipitation events, evapotranspiration and type of prevalent ground cover, proximity of aquifer to the surface, and hydraulic characteristics of overlying geologic materials.

Michigan

Catalog of earthquakes along the San Andreas fault system in Central California, April-June 1972

Numerous small earthquakes occur each day in the coast ranges of Central California. The detailed study of these earthquakes provides a tool for gaining insight into the tectonic and physical processes responsible for the generation of damaging earthquakes. This catalog contains the fundamental parameters for earthquakes located within and adjacent to the seismograph network operated by the National Center for Earthquake Research (NCER), U.S. Geological Survey, during the period April - June, 1972. The motivation for these detailed studies has been described by Pakiser and others (1969) and by Eaton and others (1970). Similar catalogs of earthquakes for the years 1969, 1970 and 1971 have been prepared by Lee and others (1972 b, c, d). A catalog for the first quarter of 1972 has been prepared by Wesson and others (1972). The basic data contained in these catalogs provide a foundation for further studies. This catalog contains data on 910 earthquakes in Central California. A substantial portion of the earthquakes reported in this catalog represents a continuation of the sequence of earthquakes in the Bear Valley area which began in February, 1972 (Wesson and others, 1972). Arrival times at 126 seismograph stations were used to locate the earthquakes listed in this catalog. Of these, 101 are telemetered stations operated by NCER. Readings from the remaining 25 stations were obtained through the courtesy of the Seismographic Stations, University of California, Berkeley (UCB); the Earthquake Mechanism Laboratory, National Oceanic and Atmospheric Administration, San Francisco (EML); and the California Department of Water Resources, Sacramento. The Seismographic Stations of the University of California, Berkeley, have for many years published a bulletin describing earthquakes in Northern California and the surrounding area, and readings at UCB Stations from more distant events. The purpose of the present catalog is not to replace the UCB Bulletin, but rather to supplement it, by describing the seismicity of a portion of central California in much greater detail.

California

Water quality monitoring: Exploring CMAP products

The RESTORE Council Monitoring and Assessment Program (CMAP), administered by the National Oceanic and Atmospheric Administration (NOAA) and the U.S. Geological Survey (USGS), spatially and temporally inventoried programs in the Gulf of Mexico focused on water quality and habitat monitoring and mapping.

Alabama, Florida, Georgia, Louisiana, Mississippi,

Habitat monitoring: Exploring CMAP products

The RESTORE Council Monitoring and Assessment Program (CMAP), administered by the National Oceanic and Atmospheric Administration (NOAA) and the U.S. Geological Survey (USGS), spatially and temporally inventoried programs in the Gulf of Mexico focused on water quality and habitat monitoring and mapping.

Alabama, Florida, Georgia, Louisiana, Mississippi,

Exploring CMAP products: Mapping

The RESTORE Council Monitoring and Assessment Program (CMAP), administered by the National Oceanic and Atmospheric Administration (NOAA) and the U.S. Geological Survey (USGS), spatially and temporally inventoried programs in the Gulf of Mexico focused on water quality and habitat monitoring and mapping.

Alabama, Florida, Georgia, Louisiana, Mississippi,

RESTORE Council Monitoring and Assessment Program

The RESTORE Council Monitoring and Assessment Program (CMAP), administered by the National Oceanic and Atmospheric Administration (NOAA) and the U.S. Geological Survey (USGS), spatially and temporally inventoried programs in the Gulf of Mexico focused on water quality and habitat monitoring and mapping.

Alabama, Florida, Georgia, Louisiana, Mississippi,

Subsurface geology and oil and gas resources of Osage County, Oklahoma. Part 2, Townships 22 and 23 north, ranges 8 and 9 east

This report on the subsurface geology of Osage County, Okla., describes the structural features, the character of the oil- and gas-producing beds, and the localities where additional oil and gas may be found. It embodies a part of the results of a subsurface geologic investigation of the Osage Indian Reservation, which coincides in area with Osage County. The investigation was conducted by a field party of the Geological Survey of the United States Department of the Interior from 1934 to 1937 and involved the study of the records of about 17,000 wells that have been drilled in Osage County. Funds for the investigation were allotted to the Geological Survey by the Public Works Administration. The primary purpose of the examination was to obtain geologic data for use in the administration of the Indian lands. The results of the inquiry have shown that many localities in Osage County outside the present producing oil fields are worthy of prospecting for oil and gas and that additional oil and gas can be found also by exploring deeply buried beds in old producing fields. All townships in Osage County that contain many wells are described; the information furnished by such townships is ample for drawing detailed subsurface structure-contour maps. The descriptions of several contiguous townships are combined in separate reports, which are issued as parts of a single bulletin. No edition of the consolidated volume will be published, but the several parts can be bound together if desired.

Oklahoma

Economic analysis of critical habitat designation for the desert tortoise (Mojave population)

The U.S. Fish and Wildlife Service emergency 1isted the Mojave population of the desert tortoise as endangered on August 4, 1989. The Mojave population formally was listed as threatened on April 2, 1990. The Endangered Species Act of 1973, as amended, requires that the economic benefits and costs and other relevant effects of critical habitat designation be considered. The Secretary of the Interior may exclude from designation areas where the costs of designation are greater than the benefits, unless the exclusion would result in extinction of the species. Desert tortoises are threatened by an accumulation of human-and disease-related mortality accompanied by habitat destruction, degradation, and fragmentation. Many desert tortoises are illegally collected for pets, food, and commercial trade. Others are accidentally struck and killed by vehicles on roads and highways or are killed by gunshot or vehicles traveling off-highway. Raven predation on hatchling desert tortoises has increased as raven populations in the desert have risen. An upper respiratory tract disease is suspected to be a major cause of mortality in the western Mojave Desert. This presumably incurable affliction presumably is thought to be spread through the release of infected tortoises into the desert. The Service has proposed designating critical habitat in nine counties within four states. The 12 critical habitat units encompass 6.4 million acres of land, more than 80% federally owned. This region is economically and demographically diverse. Most of the land is sparsely settled and characterized as a hot desert ecosystem. Major industries in the region include entertainment and lodging (primarily in Las Vegas), property development to accommodate the rapid population growth, and services. Millions of rural acres in the region are leased by the federal government for livestock grazing and used for mining. Overall economic benefits to the affected states derived from cattle and sheep grazing in the hot desert areas are minimal and, according to a recent U.S. General Accounting Office study (1991), local economies do not depend on the grazing of public lands for economic survival. The economic analysis describes the economy in 1990, prior to designation, and estimates the effects of designation. The report estimates those incremental effects attributable to critical habitat designation. Impacts attributable to listing the species were not considered in this analysis. Although critical habitat units have been designated in nine counties, two counties are omitted from the economic analysis because of the small proportion of critical habitat acreage they include. Three key activities (cattle grazing, mineral extraction, and off-road vehicle use) were studied in detail. Even if livestock grazing and commercial off-road racing events were eliminated in the proposed critical habitat units, the potential incremental regional economic impacts would be extremely small. The findings in the report do not include the assumption that mining would be eliminated from critical habitat units, but rather that consultation may result in added mitigation and/or relocation of features. Studies show that society will realize benefits from preservation of species and ecosystems. Survey-based studies confirm that benefits exist and are substantial in size, although these benefits often are not measured in traditional economic markets. The total benefit to society of desert tortoise preservation includes several components. Biodiversity in the Mojave and Colorado Deserts will be improved, some recreation values may increase, and gains in intrinsic value will be realized. Critical habitat designation should result in the loss of fewer than 425 total jobs in the seven counties. These include 340 direct ranching jobs and 85 indirect jobs in other industries. This estimated employment loss will not be permanent for most laborers, it is anticipated that over 85% will be reemployed within two years. The economic consequences of designating critical habitat includes reduced ranch profits in the seven counties of $4,470,000 [the estimated permanent decrease in ranch profits, capitalized at 10% for a 50-year period, in accordance with the methodology of River, et al. (1978)]. Second, the federal government will compensate allottees with a one-time payment estimated at $376,000 for the loss of permanent improvements to grazing lands (pending BLM administrative decisions of partially affected allotments). Finally, discontinuing grazing fees will result in an annual reduction of $170,000 in collected grazing fees that are divided among range improvements, the Federal Treasury, and local governments.

California, Nevada

Understanding the influence of predation by introduced fishes on juvenile salmonids in the Columbia River Basin: Closing some knowledge gaps. Interim Report of Research 2010

Project overview Predation on juvenile salmonids by fish in the Columbia River Basin (CRB) has impacted salmon survival and is a topic that has received considerable attention over the last three decades. Some of the earliest and most detailed research focused on the food habits, consumption rates, abundance, and distribution of predaceous northern pikeminnow Ptychocheilus oregonensis , smallmouth bass Micropterus dolomieu , walleye Sander vitreus , and channel catfish Ictalurus punctatus in John Day Reservoir (Beamesderfer and Rieman 1991; Poe et al. 1991; Vigg et al. 1991). This group of researchers also estimated the loss of juvenile salmonids to predation by some of these predators (Rieman et al. 1991). Since this pioneering effort, others have evaluated various aspects of predation-related mortality on juvenile salmonids in the CRB, focusing mostly on northern pikeminnow and smallmouth bass (e.g., Tabor et al. 1993; Zimmerman 1999; Naughton et al. 2004). Perhaps the most significant finding coming from this body of research was that the native northern pikeminnow was the dominant predator of juvenile salmonids in the CRB. Indeed, Beamesderfer et al. (1996) estimated that northern pikeminnow consumed about 16 million (8%) of the estimated 200 million juvenile salmonids emigrating annually in the CRB, far surpassing the consumption of smallmouth bass, walleye, and channel catfish combined. Because of this, large-scale management fisheries (i.e., the northern pikeminnow management program, or NPMP; see Rieman and Beamesderfer 1990; Beamesderfer et al. 1996) have been implemented in the CRB since 1990 to achieve a 10%–20% exploitation rate on northern pikeminnow and reduce predation on juvenile salmonids. The NPMP has been a success, resulting in up to 38% potential reductions in predation (Friesen and Ward 1999; Knutsen and Ward 1999; Ward and Zimmerman 1999;). In contrast to the NPMP, Oregon and Washington state fish and wildlife agencies manage and enhance recreational fisheries for smallmouth bass and walleye by implementing size and harvest limit regulations. Recently, many biologists and fish managers have become concerned about the impact of non-native predaceous fishes on juvenile salmonid survival. For example, Poe et al. (1994) warned that smallmouth bass, walleye, and channel catfish were expanding their populations in some areas, that these fish could be significant predators on juvenile salmonids, and that they may compete with northern pikeminnow for common prey items, resulting in higher consumption rates of salmonids by the native predator. Sanderson et al. (2009) reported that the impact of non-indigenous species (including piscivorous fishes) on salmon survival within the CRB can be severe and suggested that managing nonindigenous species may be imperative for salmon recovery. Assessing the current ecological impacts of introduced fishes throughout the CRB will fill information gaps associated with their impact on salmonid survival and contribute to the description of CRB food webs. In response to these recent concerns about the potential predatory impact of non-native piscivores on salmon survival, the Bonneville Power Administration (BPA) and the Columbia Basin Fish and Wildlife Authority (CBFWA) co-hosted a workshop to address predation on juvenile salmonids in the CRB by non-native fish (Halton 2008). The purpose of the workshop was to review, evaluate, and develop strategies to reduce predation by non-native fishes on juvenile salmonids. In the end, discussion at the workshop and at subsequent meetings considered two potential ideas to reduce predation by non-native fish on juvenile salmonids; (1) understanding the role of juvenile American shad Alosa sapidissima in the diet of non-native predators in the fall; and (2) the effects of localized, intense reductions of smallmouth bass in areas of particularly high salmonid predation. In this report, we describe initial efforts to understand the influence of juvenile American shad as a prey item for introduced predators in the middle Columbia River. Our first objective, addressed in Chapter 1, was to evaluate the efficacy of nonlethal methods to describe the physiological condition of smallmouth bass, walleye, and channel catfish from late summer through late fall. Such information will be used to understand the contribution of juvenile American shad to the energy reserves of predaceous fish prior to winter. In Chapter 2, we describe the results of some limited sampling to document the food habits of smallmouth bass, walleye, and channel catfish in three reservoirs of the middle Columbia River during late fall. Collectively, we hope to increase our understanding of the contribution of juvenile American shad to the diets of introduced predators and the contribution of this diet to their energy reserves, growth, and perhaps over-winter survival. Managers should be able to use this information for deciding whether to control the population of American shad in the CRB or for managing introduced predaceous fish in the CRB.

Oregon, Washington

Procedures for the use of aircraft in wildlife biotelemetry studies

This is a report on the state of the art methodology and on questions that arise while one is preparing to use aircraft in a biotelemetry study. In general the first step in preparing to mount an antenna on an aircraft is to consult with a certified aircraft mechanic. Aircraft certification is discussed to provide background information concerning the role of the Federal Aviation Administration (FAA) in regulating the use of biotelemetry antennas on aircraft. However, approval of any specific design of antenna mount rests with local FAA authority. Airplane and helicopter antenna attachments are described. Performance of the receiving antenna system is discussed with emphasis on how variables as aircraft type and antenna configuration may influence reception. The side-looking vs. front-looking antenna configuration and the VHF vs. HF frequency band are generally recommended for most aerial tracking studies. Characteristics of receivers, transmitters, and antennas that might influence tracking are discussed. Specific topics such as calibration of receivers and transmitter quality control are considered. Suggestions in preparing for and conducting tracking flights that will improve overall efficiency and safety are presented. Search techniques, including procedures for conducting large and specific area surveys as well as methods to improve and evaluate search efficiency, are discussed. A concluding section considers special topics such as low-level operations and the use of helicopters. Diagrams of antenna mounts, equipment check-off lists, and antenna test procedures are included as appendices.

Resource Publication