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The importance of mineralogical input into geometallurgy programs

Mineralogy is the link between ore formation and ore extraction. It is the most fundamental component of geomet programs, and the most important aspect of a life-of-project approach to mineral resource projects. Understanding orebodies is achieved by understanding the mineralogy and texture of the materials, throughout the process, because minerals hold the information required to unlock the value they contain. Geomet mineralogy programs absolutely require the appropriate expertise and at least three steps of mineral characterisation prior to using semi-automated or other methods: field examination, thorough core logging, and optical microscopy. Economic geological inputs for orebody characterisation are necessary for orebody understanding, and are exemplified by current research in the Zambian Copperbelt, where revised sequence stratigraphy and understanding of alteration, metasomatism and metamorphism can be used to predict topical issues at mine sites. Environmental inputs for sustainability characterisation are demonstrated by recent work on tailings from the Leadville, Colorado, USA area, including linking mineralogy to water quality issues. Risk assessments need to take into account the technical uncertainties around geological variability and mineral extractability, and mineralogy is the only metric that can be used to make this risk contribution.

Conference Paper

FISP: What's new in samplers and sediment measurement technologies

The Federal Interagency Sedimentation Project (FISP) is an example of effective interagency cooperation a cross-cutting science issue. The FISP was created in 1939 to research and standardize fluvial sediment science methods and instruments. That mission remains relevant today as research continues on emerging tools and technologies for measurement and analysis of sediment properties.

Conference Paper

The High-Resolution Imaging Science Experiment (HiRISE) in the MRO extended science phases (2009–2023)

The Mars Reconnaissance Orbiter has been orbiting Mars since 2006 and has acquired >80,000 HiRISE images with sub-meter resolution, contributing to over 2000 peer-reviewed publications, and has provided the data needed to enable safe surface landings in key locations by several rovers or landers. This paper describes the changes to science planning, data processing, and analysis tools since the initial Primary Science Phase in 2006–2008. These changes affect the data used or requested by the community and how they should interpret the data. There have been a variety of complications to the dataset over the years, such as gaps in monitoring due to spacecraft and instrument issues and special events like the arrival of new landers or rovers on Mars or global dust storms. The HiRISE optics have performed well except for a period when temperature uniformity was perturbed, reducing the resolution of some images. The focal plane system now has 12 rather than 14 operational detectors. The first failure (2011) was a unit at the edge of the swath width , reducing image width by 10% rather than creating a gap. The recent (2023) failure was in the middle of the swath. An unusual problem with the analog-to-digital conversion of the signal (resulting in erroneous data) has worsened over time; mitigation steps so far have preserved full-resolution imaging over all functional detectors. Soon, full-resolution imaging will be narrowed to a subset of the detectors and there will be more 2 × 2 binned data. We describe lessons received for future very high-resolution orbital imaging. We continue to invite all interested people to suggest HiRISE targets on Mars via HiWish, and to explore the easy-to-use publicly available images.

Icarus

Cacades: A reliable dissemination protocol for data collection sensor network

In this paper, we propose a fast and reliable data dissemination protocol Cascades to disseminate data from the sink(base station) to all or a subset of nodes in a data collection sensor network. Cascades makes use of the parentmonitor-children analogy to ensure reliable dissemination. Each node monitors whether or not its children have received the broadcast messages through snooping children's rebroadcasts or waiting for explicit ACKs. If a node detects a gap in its message sequences, it can fetch the missing messages from its neighbours reactively. Cascades also considers many practical issues for field deployment, such as dynamic topology, link/node failure, etc.. It therefore guarantees that a disseminated message from the sink will reach all intended receivers and the dissemination is terminated in a short time period. Notice that, all existing dissemination protocols either do not guarantee reliability or do not terminate [1, 2], which does not meet the requirement of real-time command control. We conducted experiment evaluations in both TOSSIM simulator and a sensor network testbed to compare Cascades with those existing dissemination protocols in TinyOS sensor networks, which show that Cascades achieves a higher degree of reliability, lower communication cost, and less delivery delay. ??2009 IEEE.

Conference Paper

Drift issues of tall buildings during the March 11, 2011 M9.0 Tohoku earthquake, Japan - Implications

One of the most significant effects of the M9.0 Tohoku, Japan earthquake of March 11, 2011 is the now well-known long duration (>10 minutes) shaking of buildings in Japan – particularly those in Tokyo (~350-375 km from the epicenter) and in places as far as Osaka (~770 km from the epicenter). Although none collapsed, the strong shaking caused many tall buildings not to be functional for days and weeks. The purpose of this paper is to discuss the behavior and performance of four tall buildings, considered to be representative of most tall buildings in Tokyo and other locations, and from which shaking data were retrieved. Of particular interest is a building in Osaka that almost reached an average of 0.5% drift ratio – this, with a ground level input motion of ~3% g is significant. What might have happened during an event with input level motions with similar low frequency content and in 10-20% g range is a legitimate question that must be pondered. The particular building had serious site effects and was in resonance. The other three examples are from Tokyo. For example, based on records obtained from a 54-story building retrofitted with 288 oil dampers on 24 floors, computations show that average drift ratio may have reached ~0.3% and maximum drift ratio likely was > .3%. The maximum allowed by Japanese practice for buildings taller than 60 m and for collapse protection (level 2) motions is 1% (The Building Center of Japan, 2001). Performances of tall buildings in many seismically active regions of the world (e.g. Chile, Turkey) or those tall buildings affected by long distance long period effects by sources at a distance (e.g. Abu Dhabi, Dubai) are of interest to the earthquake engineering community. Chile imposes 0.2 % drift limit that result in elastic design. USA and Turkey impose 2% drift limit. Such wide variations of drift limits in design practices deserve discussion in light of functionality and performance of tall buildings during the 2011 Tohoku event.

Conference Paper

Water, water everywhere, but every drop unique: Emerging challenges in the science to understand the role of contaminants in management of drinking water supplies

The protection and management of water resources continues to be challenged by multiple and ongoing factors such as shifts in demographic, social, economic, and public health requirements. Physical limitations placed on access to potable supplies include natural and human-caused factors such as aquifer depletion, aging infrastructure, saltwater intrusion, floods, and drought. These factors, although varying in magnitude, spatial extent, and timing, can exacerbate the potential for contaminants of concern (CECs) to be present in sources of drinking water, infrastructure, premise plumbing and associated tap water. This monograph examines how current and emerging scientific efforts and technologies increase our understanding of the range of CECs and drinking water issues facing current and future populations. It is not intended to be read in one sitting, but is instead a starting point for scientists wanting to learn more about the issues surrounding CECs. This text discusses the topical evolution CECs over time (Section 1), improvements in measuring chemical and microbial CECs, through both analysis of concentration and toxicity (Section 2) and modeling CEC exposure and fate (Section 3), forms of treatment effective at removing chemical and microbial CECs (Section 4), and potential for human health impacts from exposure to CECs (Section 5). The paper concludes with how changes to water quantity, both scarcity and surpluses, could affect water quality (Section 6). Taken together, these sections document the past 25 years of CEC research and the regulatory response to these contaminants, the current work to identify and monitor CECs and mitigate exposure, and the challenges facing the future.

GeoHealth

Considerations for creating equitable and inclusive communication campaigns associated with ShakeAlert, the earthquake early warning system for the West Coast of the USA

Purpose The 2019 Global Assessment Report on Disaster Risk Reduction (GAR) cites earthquakes as the most damaging natural hazard globally, causing billions of dollars of damage and killing thousands of people. Earthquakes have the potential to drastically impact physical, social and economic landscapes; to reduce this risk, earthquake early warning (EEW) systems have been developed. However, these technical EEW systems do not operate in a vacuum; the inequities in social systems, along with the needs of diverse populations, must be considered when developing these systems and their associated communication campaigns. Design/methodology/approach This article reviews aspects of social vulnerability as they relate to ShakeAlert, the EEW system for the USA. The authors identified two theories (relationship management theory and mute group theory) to inform self-reflective questions for agencies managing campaigns for EEW systems, which can assist in the development of more inclusive communication practices. Finally, the authors suggest this work contributes to important conversations about diversity, equity and inclusion (DEI) issues within early warning systems and earthquake preparedness campaigns in general. Findings To increase inclusivity, Macnamara (2012) argues that self-reflective questioning while analyzing perspective, philosophy and approaches for a campaign can help. Specific to EEW campaigns, developers may find self-reflective questions a useful approach to increase inclusion. These questions are guided by two theories and are explored in the paper. Research limitations/implications Several research limitations exist. First, this work explores two theories to develop a combined theoretical model for self-reflective questions. Further research is required to determine if this approach and the combination of these two theories have adequately informed the development of the reflective questions. Orginality/value The authors could find little peer-reviewed work examining DEI for EEW systems, and ShakeAlert in particular. While articles on early warning systems exist that explore aspects of this, EEW and ShakeAlert, with its very limited time frames for warnings, creates unique challenges.

West Coast

Getting the story straight: Common misconceptions around volcanoes and eruptions with case studies of recent events

The ability to rapidly disseminate scientific knowledge across the world has never been greater. This is paralleled by the ability of rumors to spread equally far and fast. Popular misconceptions can take root and, without correction, take on the appearance of facts. Commonly misunderstood topics include those with attention-grabbing phrasing (e.g. “Pacific Ring of Fire”, “supervolcanoes”, or “mega-tsunamis”), the intersection of volcanic research with high-profile science topics (climate or human health), aspirational science goals (eruption forecasts), and basic terminology (volcanic ash versus smoke, or magma “chambers”). In this paper, we describe eighteen misconceptions grouped in six themes (seismology, volcanoes and climate, systems and structures, volcanic hazards, timescales, photographs and footage) commonly encountered by volcanologists who are actively engaging with the public and media both during and between eruptions. Each misconception description is accompanied by takeaway points and summaries of recent research to assist the reader with the information necessary to describe the issues. Finally, we present seven case studies where incorrect information was widely shared and counteracted at well-known volcanoes and recent eruptions at Mount Agung (Bali, Indonesia), Mount Etna (Sicily, Italy), Kīlauea (Hawaii, U.S.A.), Tajogaite (La Palma, Spain), La Soufrière (St. Vincent), Taal Volcano (Philippines), and Yellowstone caldera (U.S.A.). This work is intended to help both volcanologists and non-specialists get the story straight, and to effectively communicate processes and scales of volcanism and volcanic hazards, impacts, and risks.

Journal of Applied Volcanology

Strategies for ensuring global consistency/comparability of water-quality data

In the past 20 years the water quality of the United States has improved remarkably-the waters are safer for drinking, swimming, and fishing. However, despite many accomplishments, it is still difficult to answer such basic questions as: 'How clean is the water?' and 'How is it changing over time?' These same questions exist on a global scale as well. In order to focus water-data issues in the United States, a national Intergovernmental Task Force on Monitoring Water Quality (ITFM) was initiated for public and private organizations, whereby key elements involved in data collection, analysis, storage, and management could be made consistent and comparable. The ITFM recommended and its members are implementing a nationwide strategy to improve water-quality monitoring, assessment, and reporting activities. The intent of this paper is to suggest that a voluntary effort be initiated to ensure the comparability and utility of hydrological data on a global basis. Consistent, long-term data sets that are comparable are necessary in order to formulate ideas regarding regional and global trends in water quantity and quality. The author recommends that a voluntary effort similar to the ITFM effort be utilized. The strategy proposed would involve voluntary representation from countries and international organizations (e.g. World Health Organization) involved in drinking-water assessments and/or ambient water-quality monitoring. Voluntary partnerships such as this will improve curability to reduce health risks and achieve a better return on public and private investments in monitoring, environmental protection, and natural resource management, and result in a collaborative process that will save millions of dollars.In this work it is suggested that a voluntary effort be initiated to ensure the comparability and utility of hydrological data on a global basis. The strategy proposed would involve voluntary representation from countries and international organizations involved in drinking-water assessments and/or ambient water-quality monitoring.

Conference Paper

Recycling of construction debris as aggregate in the Mid-Atlantic Region, USA

Reclaimed asphalt pavement (RAP) and portland cement concrete (RPCC) are abundant and available substitutes for natural aggregate in many areas. This paper presents an overview of factors that affect recycled aggregate cost, availability, and engineering performance, and the results of a survey of business practices in the Mid-Atlantic region. For RAP, processing costs are less than those for virgin natural aggregate. Use of efficient asphalt pavement stripping technology, on-site reclamation, and linked two-way transport of asphalt debris and processed asphalt paving mix between asphalt mix plants and paving sites has led to extensive recycling of asphalt pavement in the Mid-Atlantic region of the US. Most of the sites that recycle asphalt pavement (RAP) are located in or near urban areas close to important transportation corridors. RPCC is a viable aggregate source in urban settings where unit costs for processed aggregate from RPCC and natural aggregate are comparable. Disposal fees charged at RPCC recycling sites help defray processing costs and the significantly lower tipping fees at recycling sites versus landfill disposal sites encourage recycling of construction debris as aggregate. Construction contractors and construction debris recycling centers, many of which have the ability to crush and process concrete debris at the job site, produce most RPCC. Production of RPCC aggregate from construction debris that is processed on site using portable equipment moved to the construction site eliminates transportation costs for aggregate and provides an economic incentive for RPCC use. Processing costs, quality and performance issues, and lack of large quantities where needed limit RPCC use. Most RPCC suppliers in the Mid-Atlantic area are located in counties with population densities greater than 400 people/km2 (1036 people/mile2) and that have high unit-value costs and limited local availability of natural aggregate. ?? 2004 Published by Elsevier B.V.

Conference Paper

The 1952 Kern County, California earthquake: A case study of issues in the analysis of historical intensity data for estimation of source parameters

Seismic intensity data based on first-hand accounts of shaking give valuable insight into historical and early instrumental earthquakes. Comparing an observed intensity distribution to intensity-prediction models based on modern calibration events allows the magnitude to be estimated for many historic earthquakes. Magnitude estimates can also potentially be refined for earthquakes for which limited instrumental data are available. However, the complicated nature of macroseismic data and the methods used to collect and interpret the data introduce significant uncertainties. In this paper, we illustrate these challenges and possible solutions using the 1952 Kern County, California, earthquake as a case study. Published estimates of its magnitude vary from M W 7.2–7.5, making it possibly the second largest in California during the 20th century. We considered over 1100 first-hand reports of shaking, supplemented with other data, and inferred the magnitude in several ways using intensity prediction equations, yielding a preferred intensity magnitude M I 7.2 ± 0.2, where the uncertainty reflects our judgement. The revised intensity distribution reveals stronger shaking on the hanging wall, south of the surface expression of the White Wolf fault, than on the footwall. Characterizing the magnitude and shaking distribution of this early instrumental earthquake can help improve estimation of the seismic hazard of the region. Such reinterpreted intensities for historic earthquakes, combined with U.S. Geological Survey (USGS) Did You Feel It? data for more recent events, can be used to produce a uniform shaking dataset with which earthquake hazard map performance can be assessed.

California

National water summary 1988–89 — Hydrologic events and floods and droughts

National Water Summary 1988-89 - Hydrologic Events and Floods and Droughts documents the occurrence in the United States, Puerto Rico, and the U.S. Virgin Islands of two types of extreme hydrologic events floods and droughts on the basis of analysis of stream-discharge data. This report details, for the first time, the areal extent of the most notable floods and droughts in each State, portrays their severity in terms of annual peak discharge for floods and annual departure from long-term discharge for droughts for selected stream-gaging stations, and estimates how frequently floods and droughts of such severity can be expected to recur. These two types of extreme hydrologic events are very different in their duration, cause, areal extent, and effect on human activities. Floods are short-term phenomena that typically last only a few hours to a few days and are associated with weather systems that produce unusually large amounts of rain or that cause snow to melt quickly. The large amount of runoff produced causes rivers to overflow their banks and, thus, is highly dangerous to human life and property. In contrast, droughts are long-term phenomena that typically persist for months to a decade or more and are associated with the absence of precipitation producing weather. They affect large geographic areas that can be statewide, regional, or even nationwide in extent. Droughts can cause great economic hardship and even loss of life in developing countries, although the loss of life results almost wholly from diminished water supplies and catastrophic crop failures rather than from the direct and obvious peril to human life that is common to floods. The following discussion is an overview of the three parts of this 1988-89 National Water Summary "Hydrologic Conditions and Water-Related Events, Water Years 1988-89," "Hydrologic Perspectives on Water Issues," and "State Summaries of Floods and Droughts." Background information on sources of atmospheric moisture to the States from a study sponsored by the U.S. Geological Survey to enable related information to be presented in each of the State summaries also is given.

Water Supply Paper

USGS ecosystem research for the next decade: advancing discovery and application in parks and protected areas through collaboration

Ecosystems within parks and protected areas in the United States and throughout the world are being transformed at an unprecedented rate. Changes associated with natural hazards, greenhouse gas emissions, and increasing demands for water, food, land, energy and mineral resources are placing urgency on sound decision making that will help sustain our Nation’s economic and environmental well-being (Millennium Ecosystem Assessment, 2005). In recognition of the importance of science in making these decisions, the U.S. Geological Survey (USGS) in 2007 identified ecosystem science as one of six science directions included in a comprehensive decadal strategy (USGS 2007). The Ecosystems Mission Area was identified as essential for integrating activity within the USGS and as a key to enhanced integration with other Federal and private sector research and management organizations (Myers at al., 2007). This paper focuses on benefits to parks and protected areas from the USGS Ecosystems Mission Area plan that expanded the scope of the original 2007 science strategy, to identify the Bureau’s work in ecosystem science over the next decade (Williams et al., 2013). The plan describes a framework that encompasses both basic and applied science and allows the USGS to continue to contribute meaningfully to conservation and management issues related to the Nation’s parks and ecological resources. This framework relies on maintaining long-standing, collaborative relationships with partners in both conducting science and applying scientific results. Here we summarize the major components of the USGS Ecosystems Science Strategy, articulating the vision, goals and strategic approaches, then outlining some of the proposed actions that will ultimately prove useful to those managing parks and protected areas. We end with a discussion on the future of ecosystem science for the USGS and how it can be used to evaluate ecosystem change and the associated consequences to management of our Nation’s natural resources.

The George Wright Forum

On the documentation, independence, and stability of widely used seismological data products

Earthquake scientists have traditionally relied on relatively small data sets recorded on small numbers of instruments. With advances in both instrumentation and computational resources, the big-data era, including an established norm of open data-sharing, allows seismologists to explore important issues using data volumes that would have been unimaginable in earlier decades. Alongside with these developments, the community has moved towards routine production of interpreted data products such as seismic moment tensor catalogs that have provided an additional boon to earthquake science. As these products have become increasingly familiar and useful, it is important to bear in mind that they are not data, but rather interpreted data products. As such, they differ from data in ways that can be important, but not always appreciated. Important - and sometimes surprising - issues can arise if methodology is not fully described, data from multiple sources are included, or data products are not versioned (time-stamped). The line between data and data products is sometimes blurred, leading to an underappreciation of issues that affect data products. This note illustrates examples from two widely used data products: moment tensor catalogs and Did You Feel It? (DYFI) macroseismic intensity values. These examples show that increasing a data product’s documentation, independence, and stability can make it even more useful. To ensure the reproducibility of studies using data products, time-stamped products should be preserved, for example as electronic supplements to published papers, or, ideally, a more permanent repository.

Frontiers in Earth Science

Evaluation of the UnTRIM model for 3-D tidal circulation

A family of numerical models, known as the TRIM models, shares the same modeling philosophy for solving the shallow water equations. A characteristic analysis of the shallow water equations points out that the numerical instability is controlled by the gravity wave terms in the momentum equations and by the transport terms in the continuity equation. A semi-implicit finite-difference scheme has been formulated so that these terms and the vertical diffusion terms are treated implicitly and the remaining terms explicitly to control the numerical stability and the computations are carried out over a uniform finite-difference computational mesh without invoking horizontal or vertical coordinate transformations. An unstructured grid version of TRIM model is introduced, or UnTRIM (pronounces as "you trim"), which preserves these basic numerical properties and modeling philosophy, only the computations are carried out over an unstructured orthogonal grid. The unstructured grid offers the flexibilities in representing complex study areas so that fine grid resolution can be placed in regions of interest, and coarse grids are used to cover the remaining domain. Thus, the computational efforts are concentrated in areas of importance, and an overall computational saving can be achieved because the total number of grid-points is dramatically reduced. To use this modeling approach, an unstructured grid mesh must be generated to properly reflect the properties of the domain of the investigation. The new modeling flexibility in grid structure is accompanied by new challenges associated with issues of grid generation. To take full advantage of this new model flexibility, the model grid generation should be guided by insights into the physics of the problems; and the insights needed may require a higher degree of modeling skill.

Conference Paper

Dynamics of land-use change and conservation in the Prairie Pothole Region of the United States: environmental and economic implications with linkages to rural community well-being

Rural America has changed dramatically over the last century, from having over half the population living in rural settings to only 20 percent residing in a rural area today, and outmigration of younger populations from rural communities remains a constant issue for local governing officials. A declining tax base and concurrent rising costs for maintenance and repair of aging infrastructure add further challenges to policy decisions. Reduced enrollment has caused school closures or mergers. Farm consolidation and technical advances reduced the demand for local labor. On the positive side, however, record-high commodity prices have amplified farm income to new heights. The increased revenues can lead to farmers spending additional money within the local region, while at the same time increased transportation of products has impacted local infrastructure such as roads and bridges. Such dynamics present challenges for municipal leaders charged with promoting economic development and balanced spending, while at the same time maintaining the way of life and rural character that are so important to area residents. The Prairie Pothole Region (PPR) of the United States covers much of the Northern Great Plains, including parts of North and South Dakota, Minnesota, Iowa, and a small part of Montana, and extends across a broad swath of Alberta and Saskatchewan. The region is defined largely by its rural character but has experienced extensive land conversion over the last century, with agricultural areas replacing native prairie habitat. Additional pressures arise from oil and gas development, global markets for agricultural production, and increased demands for biofuel feedstocks. Record-high commodity prices increase pressure on the native prairie as farmers look for new cropland acres. The volatility of commodity prices has raised fears over the intensity of land conversion to row-crop agriculture, the economic health and resiliency of rural communities, and ultimately, population dynamics and outmigration of younger generations. Land-use pressures are increased by the exponential growth of oil and gas production in the region, where some 8,200 wells are now in production within the Williston Basin of North Dakota, accompanied by increased population pressures on housing and municipal services. The U.S. Department of Agriculture’s Conservation Reserve Program (CRP)--a cropland retirement program with close to 4.8 million acres enrolled in the PPR--faces uncertainty in upcoming legislative actions, with a large majority of property enrollments scheduled to expire by 2017. The CRP historically has provided improved habitat conditions, reductions of soil damage through erosion and loss of nutrients, and sequestration of millions of tons of atmospheric carbon. In turn, wildlife-related recreation levels have increased in many parts of the PPR, with money spent in local communities. Contemporary resource-management and rural-development planning increasingly emphasize the need for diversification and integration of resource-extractive industries with nonmarket-based recreational and amenity values that tie into quality of life. Ultimately, each community is unique in its environmental, social, economic, and fiscal endowments. One rural-development policy may work better in one community than another. In addition, rural-development issues such as migration, job growth, and taxes are diverse in themselves. The goal of this report is to qualitatively and quantitatively discuss the economic impacts of land-use decisions in rural areas, particularly in the PPR.

Professional Paper

A spatial decision support system for coastal management: A research project at the National Wetlands Research Center of the U.S. Geological Survey

Environmental resource managers and scientists are being challenged in developing strategies to manage complex coastal systems. From an ecological perspective, there are myriad dynamic, interrelated natural and human-induced processes that affect the health and stability of coastal systems. However, the problems associated with managing coastal resources usually transcend purely ecological factors when one considers societal needs and expectations from these resources. For example, at least nine Federal, State, and local government agencies, often with widely varying responsibilities or interests, are charged with managing environmental resources and/or regulating human activities within Louisiana's coastal systems; that number may be higher in other coastal areas of the United States. In many coastal systems, a declining resource base and environmental quality combined with an expanding human population exert increased demands on those systems. This results in a number of conflicting resource management and environmental impact assessment issues. The issues include determining the most cost-effective strategies for restoring degraded natural systems, local and regional planning for future urban and commercial development in or near sensitive coastal habitats, predicting impacts from acute and chronic pollutant discharges (oil spills, fecal coliform contamination) as well as from natural hazard damages to coastal systems, and optimal partitioning of coastal resources among competing user groups (e.g., commercial and recreational fishermen). Solving such complex environmental resource management problems often involves a multidisciplinary approach, requires computerized analytical modeling abilities to manipulate large quantities of spatial-temporal data according to a defined set of objectives or constraints, and needs a mechanism to provide quick responses for dynamic resource and environmental issues. For this, a GIS-based multifunctional Spatial Decision Support System (SDSS) is being developed at the National Wetlands Research Center of the U.S. Geological Survey (formerly the Southern Science Center of the US. Fish and Wildlife Service/National Biological Service).

Louisiana

A global perspective on the use, sales, exposure pathways, occurrence, fate and effects of veterinary antibiotics (VAs) in the environment

Veterinary antibiotics (VAs) are widely used in many countries worldwide to treat disease and protect the health of animals. They are also incorporated into animal feed to improve growth rate and feed efficiency. As antibiotics are poorly adsorbed in the gut of the animals, the majority is excreted unchanged in faeces and urine. Given that land application of animal waste as a supplement to fertilizer is often a common practice in many countries, there is a growing international concern about the potential impact of antibiotic residues on the environment. Frequent use of antibiotics has also raised concerns about increased antibiotic resistance of microorganisms. We have attempted in this paper to summarize the latest information available in the literature on the use, sales, exposure pathways, environmental occurrence, fate and effects of veterinary antibiotics in animal agriculture. The review has focused on four important groups of antibiotics (tylosin, tetracycline, sulfonamides and, to a lesser extent, bacitracin) giving a background on their chemical nature, fate processes, occurrence, and effects on plants, soil organisms and bacterial community. Recognising the importance and the growing debate, the issue of antibiotic resistance due to the frequent use of antibiotics in food-producing animals is also briefly covered. The final section highlights some unresolved questions and presents a way forward on issues requiring urgent attention.

Chemosphere