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At least 595 records · Page 33Linked to original sources

Crop water use dynamics over arid and semi-arid croplands in the lower Colorado River Basin

Numerous studies have evaluated the application of Remote Sensing (RS) techniques for mapping actual evapotranspiration (ETa) using Vegetation-Index-based (VI-based) and surface energy balance methods (SEB). SEB models computationally require a large effort for application. VI-based methods are fast and easy to apply and could therefore potentially be applied at high resolution; however, the accuracy of VI-based methods in comparison to SEB-based models remains unclear. We tested the ETa computed with the modified 2-band Enhanced Vegetation Index (METEVI2) implemented in the Google Earth Engine – for mapping croplands’ water use dynamics in the Lower Colorado River Basin. We compared METEVI2 with the well-established RS-based products of OpenET (Ensemble, eeMETRIC, SSEBop, SIMS, PT_JPL, DisALEXI and geeSEBAL). METEVI2 was then evaluated with measured ETa from four wheat fields (2017–2018). Results indicated that the monthly ETa variations for METEVI2 and OpenET models were comparable, though of varying magnitudes. On average, METEVI2 had the lowest difference rate from the average observed ETa with 17 mm underestimation, while SIMS had the highest difference rate (82 mm). Findings show that METEVI2 is a cost-effective ETa mapping tool in drylands to track crop water use. Future studies should test METEVI2’s applicability to croplands in more humid regions.

Lower Colorado River basin↗

Seismo-acoustic evidence for an avalanche driven phreatic eruption through a beheaded hydrothermal system: An example from the 2012 Tongariro eruption

The 6 August 2012 Te Maari eruption comprises a complex eruption sequence including multiple eruption pulses, a debris avalanche that propagated ~ 2 km from the vent, and the formation of a 500 m long, arcuate chasm, located ~ 300 m from the main eruption vent. The eruption included 6 distinct impulses that were coherent across a local infrasound network marking the eruption onset at 11:52:18 (all times UTC). An eruption energy release of ~ 3 × 1012 J was calculated using a body wave equation for radiated seismic energy. A similar calculation based on the infrasound record, shows that ~ 90% of the acoustic energy was released from three impulses at onset times 11:52:20 (~ 20% of total eruption energy), 11:52:27 (~ 50%), and 11:52:31 (~ 20%). These energy impulses may coincide with eyewitness accounts describing an initial eastward directed blast, followed by a westward directed blast, and a final vertical blast. Pre-eruption seismic activity includes numerous small unlocatable micro-earthquakes that began at 11:46:50. Two larger high frequency earthquakes were recorded at 11:49:06 and 11:49:21 followed directly by a third earthquake at 11:50:17. The first event was located within the scarp based on an arrival time location from good first P arrival times and probably represents the onset of the debris avalanche. The third event was a tornillo, characterised by a 0.8 Hz single frequency resonance, and has a resonator attenuation factor of Q ~ 40, consistent with a bubbly fluid filled resonator. This contrasts with a similar tornillo event occurring 2.5 weeks earlier having Q ~ 250–1000, consistent with a dusty gas charged resonator. We surmise from pre-eruption seismicity, and the observed attenuation change, that the debris avalanche resulted from the influx of fluids into the hydrothermal system, causing destabilisation and failure. The beheaded hydrothermal system may have then caused depressurisation frothing of the remaining gas charged system leading to the onset of explosive activity.

Journal of Volcanology and Geothermal Research↗

A Pennsylvanian-age terrestrial storm deposit: using plant fossils to characterize the history and process of sediment accumulation

A thin black shale overlying the B-coal underclay (in the Middle Pennsylvanian post-Pottsville strata of the Bernice Basin) contains a compression flora composed of large, prostrate, unidirectionally oriented lycopod trunks and randomly oriented pteridosperm stems. Analyses of modern log accumulations indicate that unidirectional trunk orientations can be produced by riverflood currents, volcanic blasts, and most high-energy windstorms. Since there are neither fluvial sediments nor ash deposits associated with the Bernice assemblage, this deposit is believed to have been formed by high-energy winds. Furthermore, this deposit is interpreted to be in situ because storm winds (and volcanic blasts) rarely have sufficient energy for the physical transport of large, intact tree trunks. The sedimentary history of the B-coal underclay can be determined from the successional changes in the species and plant part compositions (leaves, seeds, branches, trunks, etc.) of the preserved plant material. The underclay is an accretionary floodplain soil which accumulated as discrete increments during episodic floods. The sediments deposited with each flood incorporated the litter layer of the lycopod-pteridosperm forest which occupied this site. Ordinarily, the flood water would recede, and renewed root growth would destroy the primary sedimentary structures and the newly incorporated organic material. Because the bedding and forest litter are preserved in the top 5 cm of the underclay, root growth and silt deposition must have been terminated by the last flooding event. The site eventually became permanently inundated, and an organic-rich mud began to accumulate in the resulting floodplain lake. The lycopod-pteridosperm forest drowned and, at some later time, was blown down into the lake. The trunks are preserved on a single bedding plane in a 2-cm-thick, organic-rich lacustrine black shale. Continued organic accumulation in the lake resulted in the accumulation of a hypautochthonous peat which eventually was colonized by a peat-forming flora.

Journal of Sedimentary Petrology↗

Subsurface swimming and stationary diving are metabolically cheap in adult Pacific walruses (Odobenus rosmarus divergens)

Walruses rely on sea-ice to efficiently forage and rest between diving bouts while maintaining proximity to prime foraging habitat. Recent declines in summer sea ice have resulted in walruses hauling out on land where they have to travel farther to access productive benthic habitat while potentially increasing energetic costs. Despite the need to better understand the impact of sea ice loss on energy expenditure, knowledge about metabolic demands of specific behaviours in walruses is scarce. In the present study, 3 adult female Pacific walruses ( Odobenus rosmarus divergens ) housed in professional care participated in flow-through respirometry trials to measure metabolic rates while floating inactive at the water surface during a minimum of 5 min, during a 180 s stationary dive, and while swimming ∼90 m horizontally underwater. Metabolic rates during stationary dives (3.82±0.56 l O 2 min −1 ) were lower than those measured at the water surface (4.64±1.04 l O 2 min −1 ), which did not differ from rates measured during subsurface swimming (4.91±0.77 l O 2 min −1 ). Thus, neither stationary diving nor subsurface swimming resulted in metabolic rates above those exhibited by walruses at the water surface. These results suggest that walruses minimize their energetic investment during underwater behaviours as reported for other marine mammals. Although environmental factors experienced by free-ranging walruses (e.g. winds or currents) likely affect metabolic rates, our results provide important information for understanding how behavioural changes affect energetic costs and can be used to improve bioenergetics models aimed at predicting the metabolic consequences of climate change on walruses.

Journal of Experimental Biology↗

Perceptions of earthquake and tsunami issues in U.S. Pacific Northwest port and harbor communities

Although there is considerable energy focused on assessing natural hazards associated with earthquakes and tsunamis in the U.S. Pacific Northwest, little has been done to understand societal vulnerability to these hazards. Part of understanding societal vulnerability includes assessing the perceptions and priorities of public sector individuals with traditional emergency management responsibilities and of private citizens who could play key roles in community recovery. In response to this knowledge gap, we examine earthquake and tsunami perceptions of stakeholders and decision makers from coastal communities in the U.S. Pacific Northwest, focusing on perceptions of (1) regional hazards and societal vulnerability, (2) the current state of readiness, and (3) priorities for future hazard adjustment efforts. Results of a mailed survey suggest that survey participants believe that earthquakes and tsunamis are credible community threats. Most communities are focusing on regional mitigation and response planning, with less effort devoted to recovery plans or to making individual organizations more resilient. Significant differences in expressed perceptions and priorities were observed between Oregon and Washington respondents, mainly on tsunami issues. Significant perception differences were also observed between private and public sector respondents. Our results suggest the need for further research and for outreach and planning initiatives in the Pacific Northwest to address significant gaps in earthquake and tsunami hazard awareness and readiness.

International Journal of Mass Emergencies and Disa↗

The cyclic and fractal seismic series preceding an mb 4.8 earthquake on 1980 February 14 near the Virgin Islands

Seismic activity in the 10 months preceding the 1980 February 14, m b 4.8 earthquake in the Virgin Islands, reported on by Frankel in 1982, consisted of four principal cycles. Each cycle began with a relatively large event or series of closely spaced events, and the duration of the cycles progressively shortened by a factor of about 3/4. Had this regular shortening of the cycles been recognized prior to the earthquake, the time of the next episode of seismicity (the main shock) might have been closely estimated 41 days in advance. That this event could be much larger than the previous events is indicated from time-to-failure analysis of the accelerating rise in released seismic energy, using a non-linear time- and slip-predictable foreshock model. Examination of the timing of all events in the sequence shows an even higher degree of order. Rates of seismicity, measured by consecutive interevent times, when plotted on an iteration diagram of a rate versus the succeeding rate, form a triangular circulating trajectory. The trajectory becomes an ascending helix if extended in a third dimension, time. This construction reveals additional and precise relations among the time intervals between times of relatively high or relatively low rates of seismic activity, including period halving and doubling. The set of 666 time intervals between all possible pairs of the 37 recorded events appears to be a fractal; the set of time points that define the intervals has a finite, non-integer correlation dimension of 0.70. In contrast, the average correlation dimension of 50 random sequences of 37 events is significantly higher, close to 1.0. In a similar analysis, the set of distances between pairs of epicentres has a fractal correlation dimension of 1.52. Well-defined cycles, numerous precise ratios among time intervals, and a non-random temporal fractal dimension suggest that the seismic series is not a random process, but rather the product of a deterministic dynamic system.

Geophysical Journal International↗

Nonlethal evaluation of the physiological health of unionid mussels: Method for biopsy and glycogen analysis

In long-lived unionid mussels, many short-term measures of growth are of limited value. Changes in physiological condition may be an early indication of stress, because the increased energy demand associated with stress often results in a depletion of glycogen reserves, the principal storage form of carbohydrates in unionid mussels. Our goal was to nonlethally extract tissue from freshwater mussels and then to develop a rapid and dependable method for the analysis of glycogen in the tissue extracts. A biopsy technique was developed to remove between 5 and 10 mg of foot tissue in Amblema plicata plicata. The survival rate did not differ between biopsied and non-biopsied mussels during a 581-d observation period, demonstrating that the biopsy technique will allow nonlethal evaluation of the physiological condition of individual mussels through measurement of changes in contaminant, genetic, and biochemical indicators in tissue. We also modified the standard alkaline digestion and phenol-sulfuric acid analysis of glycogen for use on the small samples of biopsied tissue and to reduce analysis time and cost. We present quality control data, including method detection limits and estimates of precision and bias. The modified analytical method is rapid and accurate and has a method detection limit of 0.014 mg glycogen. Glycogen content in the biopsied samples was well above the method detection limit; it ranged from 0.09 to 0.36 mg, indicating that the method should be applicable to native mussels.

Journal of the North American Benthological Societ↗

The source of infrasound associated with long-period events at mount St. Helens

During the early stages of the 2004-2008 Mount St. Helens eruption, the source process that produced a sustained sequence of repetitive long-period (LP) seismic events also produced impulsive broadband infrasonic signals in the atmosphere. To assess whether the signals could be generated simply by seismic-acoustic coupling from the shallow LP events, we perform finite difference simulation of the seismo-acoustic wavefield using a single numerical scheme for the elastic ground and atmosphere. The effects of topography, velocity structure, wind, and source configuration are considered. The simulations show that a shallow source buried in a homogeneous elastic solid produces a complex wave train in the atmosphere consisting of P/SV and Rayleigh wave energy converted locally along the propagation path, and acoustic energy originating from , the source epicenter. Although the horizontal acoustic velocity of the latter is consistent with our data, the modeled amplitude ratios of pressure to vertical seismic velocity are too low in comparison with observations, and the characteristic differences in seismic and acoustic waveforms and spectra cannot be reproduced from a common point source. The observations therefore require a more complex source process in which the infrasonic signals are a record of only the broadband pressure excitation mechanism of the seismic LP events. The observations and numerical results can be explained by a model involving the repeated rapid pressure loss from a hydrothermal crack by venting into a shallow layer of loosely consolidated, highly permeable material. Heating by magmatic activity causes pressure to rise, periodically reaching the pressure threshold for rupture of the "valve" sealing the crack. Sudden opening of the valve generates the broadband infrasonic signal and simultaneously triggers the collapse of the crack, initiating resonance of the remaining fluid. Subtle waveform and amplitude variability of the infrasonic signals as recorded at an array 13.4 km to the NW of the volcano are attributed primarily to atmospheric boundary layer propagation effects, superimposed upon amplitude changes at the source.

Washington↗

The initial giant umbrella cloud of the May 18th, 1980, explosive eruption of Mount St. Helens

The initial eruption column of May 18th, 1980 reached nearly 30 km altitude and released 1017 joules of thermal energy into the atmosphere in only a few minutes. Ascent of the cloud resulted in forced intrusion of a giant umbrella-shaped cloud between altitudes of 10 and 20 km at radial horizontal velocities initially in excess of 50 m/s. The mushroom cloud expanded 15 km upwind, forming a stagnation point where the radial expansion velocity and wind velocity were equal. The cloud was initiated when the pyroclastic blast flow became buoyant. The flow reduced its density as it moved away from the volcano by decompression, by sedimentation, and by mixing with and heating the surrounding air. Observations indicate that much of the flow, covering an area of 600 km2, became buoyant within 1.5 minutes and abruptly ascended to form the giant cloud. Calculations are presented for the amount of air that must have been entrained into the flow to make it buoyant. Assuming an initial temperature of 450??C and a magmatic origin for the explosion, these calculations indicate that the flow became buoyant when its temperature was approximately 150??C and the flow consisted of a mixture of 3.25 ?? 1011 kg of pyroclasts and 5.0 ?? 1011 kg of air. If sedimentation is considered, these figures reduce to 1.1 ?? 1011 kg of pyroclasts and 1.0 ?? 1011 kg of air. ?? 1986.

Journal of Volcanology and Geothermal Research↗

Assessing spring direct mortality to avifauna from wind energy facilities in the Dakotas

T he Northern Great Plains (NGP) contains much of the remaining temperate grasslands, an ecosystem that is one of the most converted and least protected in the world. Within the NGP, the Prairie Pothole Region (PPR) provides important habitat for >50% of North America's breeding waterfowl and many species of shorebirds, waterbirds, and grassland songbirds. This region also has high wind energy potential, but the effects of wind energy developments on migratory and resident bird and bat populations in the NGP remains understudied. This is troubling considering >2,200 wind turbines are actively generating power in the region and numerous wind energy projects have been proposed for development in the future. Our objectives were to estimate avian and bat fatality rates for wind turbines situated in cropland- and grassland-dominated landscapes, document species at high risk to direct mortality, and assess the influence of habitat variables on waterfowl mortality at 2 wind farms in the NGP. From 10 March to 7 June 2013–2014, we completed 2,398 searches around turbines for carcasses at the Tatanka Wind Farm (TAWF) and the Edgeley-Kulm Wind Farm (EKWF) in South Dakota and North Dakota. During spring, we found 92 turbine-related mortalities comprising 33 species and documented a greater diversity of species ( n  = 30) killed at TAWF (predominately grassland) than at EKWF ( n  = 9; predominately agricultural fields). After accounting for detection rates, we estimated spring mortality of 1.86 (SE = 0.22) deaths/megawatt (MW) at TAWF and 2.55 (SE = 0.51) deaths/MW at EKWF. Waterfowl spring (Mar–Jun) fatality rates were 0.79 (SE = 0.11) and 0.91 (SE = 0.10) deaths/MW at TAWF and EKWF, respectively. Our results suggest that future wind facility siting decisions consider avoiding grassland habitats and locate turbines in pre-existing fragmented and converted habitat outside of high densities of breeding waterfowl and major migration corridors.

North Dakota, South Dakota↗

Spatially explicit modeling of lesser prairie-chicken lek density in Texas

As with many other grassland birds, lesser prairie-chickens (Tympanuchus pallidicinctus) have experienced population declines in the Southern Great Plains. Currently they are proposed for federal protection under the Endangered Species Act. In addition to a history of land-uses that have resulted in habitat loss, lesser prairie-chickens now face a new potential disturbance from energy development. We estimated lek density in the occupied lesser prairie-chicken range of Texas, USA, and modeled anthropogenic and vegetative landscape features associated with lek density. We used an aerial line-transect survey method to count lesser prairie-chicken leks in spring 2010 and 2011 and surveyed 208 randomly selected 51.84-km(2) blocks. We divided each survey block into 12.96-km(2) quadrats and summarized landscape variables within each quadrat. We then used hierarchical distance-sampling models to examine the relationship between lek density and anthropogenic and vegetative landscape features and predict how lek density may change in response to changes on the landscape, such as an increase in energy development. Our best models indicated lek density was related to percent grassland, region (i.e., the northeast or southwest region of the Texas Panhandle), total percentage of grassland and shrubland, paved road density, and active oil and gas well density. Predicted lek density peaked at 0.39leks/12.96km(2) (SE=0.09) and 2.05leks/12.96km(2) (SE=0.56) in the northeast and southwest region of the Texas Panhandle, respectively, which corresponds to approximately 88% and 44% grassland in the northeast and southwest region. Lek density increased with an increase in total percentage of grassland and shrubland and was greatest in areas with lower densities of paved roads and lower densities of active oil and gas wells. We used the 2 most competitive models to predict lek abundance and estimated 236 leks (CV=0.138, 95% CI=177-306leks) for our sampling area. Our results suggest that managing landscapes to maintain a greater percentage of grassland and shrubland on the landscape with a greater ratio of grasses to shrubs in the northeast Panhandle should promote greater lek density. Furthermore, increases in paved road and active oil and gas well densities may reduce lek density. This information will be useful for future conservation planning efforts for land protection, policy decisions, and decision analyses.

Journal of Wildlife Management↗

Exploring the long-term balance between net precipitation and net groundwater exchange in Florida seepage lakes

The long-term balance between net precipitation and net groundwater exchange that maintains thousands of seepage lakes in Florida’s karst terrain is explored at a representative lake basin and then regionally for the State’s peninsular lake district. The 15-year water budget of Lake Starr includes El Niño Southern Oscillation (ENSO)-related extremes in rainfall, and provides the longest record of Bowen ratio energy-budget (BREB) lake evaporation and lake-groundwater exchanges in the southeastern United States. Negative net precipitation averaging -25 cm/yr at Lake Starr overturns the previously-held conclusion that lakes in this region receive surplus net precipitation. Net groundwater exchange with the lake was positive on average but too small to balance the net precipitation deficit. Groundwater pumping effects and surface-water withdrawals from the lake widened the imbalance. Satellite-based regional estimates of potential evapotranspiration at five large lakes in peninsular Florida compared well with basin-scale evaporation measurements from seven open-water sites that used BREB methods. The regional average lake evaporation estimated for Lake Starr during 1996-2011 was within 5 percent of its measured average, and regional net precipitation agreed within 10 percent. Regional net precipitation to lakes was negative throughout central peninsular Florida and the net precipitation deficit increased by about 20 cm from north to south. Results indicate that seepage lakes farther south on the peninsula receive greater net groundwater inflow than northern lakes and imply that northern lakes are in comparatively leakier hydrogeologic settings. Findings reveal the peninsular lake district to be more vulnerable than was previously realized to drier climate, surface-water withdrawals from lakes, and groundwater pumping effects.

Florida↗

Life-stage-specific physiology defines invasion extent of a riverine fish

Many ecologists have called for mechanism-based investigations to identify the underlying controls on species distributions. Understanding these controls can be especially useful to construct robust predictions of how a species range may change in response to climate change or the extent to which a non-native species may spread in novel environments. Here, we link spatially intensive observations with mechanistic models to illustrate how physiology determines the upstream extent of the aquatic ectotherm smallmouth bass ( Micropterus dolomieu ) in two headwater rivers. Our results demonstrate that as temperatures become increasingly cold across a downstream to upstream gradient, food consumption in age 0 bass becomes increasingly constrained, and as a result, these fish become growth limited. Sufficient first summer growth of age 0 bass is essential for overwinter survival because young bass must persist from energy reserves accumulated during the summer, and those reserves are determined by body size. Our field data reveal the upstream extent of adult bass reproduction corresponds to a point in the downstream/upstream gradient where cold temperatures impair growth opportunities in young bass. This pattern was repeated in both study streams and explained why bass positioned nests twice as far upstream in the warm compared to the cold stream in the same basin. Placement of spawning nests by adult bass is likely subject to strong evolutionary selection in temperate systems: if bass spawn too far upstream, their young are unlikely to grow large enough to survive the winter. Consumption and growth in older bass (age 3–4) was far less sensitive to temperature. Based on these data, we suggest that temperature-sensitive age 0 bass constrain the upstream distribution limits of bass within temperate streams. In this study, we investigated how temperature-dependent physiology changed through the life history of a species and, in doing so, identified a climate-sensitive life-history stage that likely sets the distributional limits of all other life-history stages. We anticipate the framework developed here could be employed to identify how similar stage-specific environmental sensitivity determines distribution in many other ectothermic species.

Oregon↗

Resonance of a fluid-driven crack: Radiation properties and implications for the source of long-period events and harmonic tremor

A dynamic source model is presented, in which a three-dimensional crack containing a viscous compressible fluid is excited into resonance by an impulsive pressure transient applied over a small area ΔS of the crack surface. The crack excitation depends critically on two dimensionless parameters called the crack stiffness, C = ( b /μ)( L / d ), and viscous damping loss, F = (12η L )/(ρ ƒ d 2 α), where b is the bulk modulus, η is the viscosity, ρ ƒ is the density of the fluid, μ is the rigidity, α is the compressional velocity of the solid, L is the crack length, and d is the crack thickness. The first parameter characterizes the ability of the crack to vibrate and shapes the spectral signature of the source, and the second quantifies the effect of fluid viscosity on the duration of resonance. Resonance is sustained by a very slow wave trapped in the fluid-filled crack. This guided wave, called the crack wave, is similar to the tube wave propagating in a fluid-filled borehole; it is inversely dispersive, showing a phase velocity that decreases with increasing wavelength, and its wave speed is always lower than the acoustic velocity of the fluid, decreasing rapidly as the crack stiffness increases. The source spectrum shows many sharp peaks characterizing the individual modes of vibration of the crack; the variation of spectral shape, both in the number and width of peaks, is surprisingly complex, reflecting the interference between the lateral and longitudinal modes of resonance, as well as nodes for these modes. The far-field spectrum is marked by narrow-band dominant and subdominant peaks that reflect the interaction of the various source modes. The frequency of the dominant spectral peak radiated by the source is independent of the radiation direction. The frequency, bandwidth, and spacing of the resonant peaks are strongly dependent on the crack stiffness, larger values of the stiffness factor shifting these peaks to lower frequencies and decreasing their bandwidth. The excitation of a particular mode depends on the position of the trigger and on the extent of the crack surface affected by the pressure transient. Fluid viscosity decreases the amplitudes of the main spectral peaks, smears out the finer structure of the spectrum, and greatly reduces the duration of the radiated signal. The energy loss by radiation is stronger for high frequencies, producing a seismic signature that is marked by a high-frequency content near the onset of the signal and dominated by a longer-period component of much longer duration in the signal coda. Such signature is in harmony with those displayed by long-period events observed on active volcanoes and in hydrofracture experiments. The very low velocity which is possible in a crack with high stiffness ( C ≥ 100) also provides an attractive explanation for very long period tremor, such as type 2 tremor at Aso volcano, Japan, without the requirement of an unrealistically large magma container. The standing wave pattern set up on the crack surface by the sustained resonance in the fluid is observable in the near field of the crack, suggesting that the location and extent of the source may be estimated from the mapping of the pattern of nodes and antinodes seen in its vicinity. According to the model, the long-period event and harmonic tremor share the same source but differ in the boundary conditions for fluid flow and in the triggering mechanism setting up the resonance of the source, the former being viewed as the impulse response of the tremor generating system and the latter representing the excitation due to more complex forcing functions.

Journal of Geophysical Research Solid Earth↗

Contrasting migratory chronology and routes of Lesser Scaup: Implications of different migration strategies in a broadly distributed species

Migration allows birds to improve fitness by exploiting seasonal resource peaks and avoiding limitations. Migration strategies may differ among individuals within a species, but for all strategies, the benefit of increased fitness should outweigh the costs of migration. These costs can include increased mortality risk, time constraints in the annual cycle, and metabolic energy loss. We compared migratory chronology and routes of individuals from a broadly distributed species of waterfowl, the Lesser Scaup ( Aythya affinis ; hereafter Scaup), marked at the northern (66.51000° N, 145.98556° W) and southern (44.63778° N, 111.73694° W) extents of its breeding distribution in North America. Scaup breeding farther north in interior Alaska, USA migrated greater distances and had protracted migrations, especially in fall, compared to Scaup breeding farther south in southwest Montana, USA. During migration, Scaup breeding in Alaska used more staging and stopover areas compared to Scaup breeding in Montana. Scaup breeding in Alaska also spent less time at their breeding area and more time at their wintering areas compared to Scaup breeding in Montana. In addition, Scaup breeding in Alaska were largely absent from wintering areas in the Intermountain West that were used by Scaup breeding in Montana. These differences could have important effects on Scaup fitness and could contribute to differences in fecundity and recruitment observed across the Scaup’s broad latitudinal distribution. Understanding the fitness implications of intraspecific variation in migration strategies of broadly distributed species can assist resource managers by focusing conservation efforts on specific breeding populations, informing models of disease transmission, and improving projections of species’ responses to environmental change.

Journal of Field Ornithology↗

Distributed energy balance modeling of South Cascade Glacier, Washington and assessment of model uncertainty

We have developed a physically based, distributed surface energy balance model to simulate glacier mass balance under meteorological and climatological forcing. Here we apply the model to estimate summer ablation on South Cascade Glacier, Washington, for the 2004 and 2005 mass balance seasons. To arrive at optimal mass balance simulations, we investigate and quantify model uncertainty associated with selecting from a range of physical parameter values that are not commonly measured in glaciological mass balance field studies. We optimize the performance of the model by varying values for atmospheric transmissivity, the albedo of surrounding topography, precipitation-elevation lapse rate, surface roughness for turbulent exchange of momentum, and snow albedo aging coefficient. Of these the snow aging parameter and precipitation lapse rates have the greatest influence on the modeled ablation. We examined model sensitivity to varying parameters by performing an additional 103 realizations with parameters randomly chosen over a ??5% range centered about the optimum values. The best fit suite of model parameters yielded a net balance of -1.69??0.38 m water equivalent (WE) for the 2004 water year and -2.10??0.30 m WE up to 11 September 2005. The 2004 result is within 3% of the measured value. These simulations account for 91% and 93% of the variance in measured ablation for the respective years. Copyright 2008 by the American Geophysical Union.

Journal of Geophysical Research F: Earth Surface↗

Salmon-mediated nutrient flux in selected streams of the Columbia River basin, USA

Salmon provide an important resource subsidy and linkage between marine and land-based ecosystems. This flow of energy and nutrients is not uni-directional (i.e., upstream only); in addition to passive nutrient export via stream flow, juvenile emigrants actively export nutrients from freshwater environments. In some cases, nutrient export can exceed import. We evaluated nutrient fluxes in streams across central Idaho, USA using Chinook salmon (Oncorhynchus tshawytscha) adult escapement and juvenile production data from 1998 to 2008. We found in the majority of stream-years evaluated, adults imported more nutrients than progeny exported; however, in 3% of the years, juveniles exported more nutrients than their parents imported. On average, juvenile emigrants exported 22 ± 3% of the nitrogen and 30 ± 4% of the phosphorus their parents imported. This relationship was density dependent and nonlinear; during periods of low adult abundance juveniles were larger and exported up to 194% and 268% of parental nitrogen and phosphorus inputs, respectively. We highlight minimum escapement thresholds that appear to 1) maintain consistently positive net nutrient flux and 2) reduce the average proportional rate of export across study streams. Our results suggest a state-shift occurs when adult spawner abundance falls below a threshold to a point where the probability of juvenile nutrient exports exceeding adult imports becomes increasingly likely.

Idaho↗

Evapotranspiration from a bulrush-dominated wetland in the Klamath Basin, Oregon

Growing-season evapotranspiration and surface energy and water balances were investigated for an extensive, bulrush-dominated wetland in the Upper Klamath National Wildlife Refuge of south-central Oregon, a semi-arid region with competing demands for scarce water resources. Turbulent fluxes of sensible and latent heat were measured by eddy covariance for 1.2 to 1.9 days during each of four site visits during late-May to mid-October 1997. Mean daytime latent heat flux and the Bowen ratio ranged from 148 to 178 W m −2 and from 0.38 to 0.51, respectively, during late May, mid-July, and late August site visits. By mid-October, when the plant canopy had senesced, daytime latent heat flux and the Bowen ratio averaged 46 W m −2 and 2.8, respectively. An hourly Penman-Monteith (PM) model that was fitted to the surface-flux data provided values for the surface resistance to water-vapor diffusion that ranged from 78 s m −1 during late August to 206 s m −1 during mid-October. Similarly, a Priestley-Taylor (PT) model provided values for the PT multiplier (a) that ranged from 0.96 during late August to 0.37 during mid-October. The PM and PT models predicted evapotranspiration totals of 560 and 480 mm, respectively, for May 28 to October 12, 1997.

Oregon↗