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At least 649 records · Page 36Linked to original sources

Environmental hazards of aluminum to plants, invertebrates, fish, and wildlife

Aluminum (Al) is the third most common mineral and the most common metal in Earth’s crust, accounting for approximately 8.1% of the crust by weight. Thus, it cannot be considered a contaminant in the usual sense of the word. However, despite its near omnipresence throughout the world, Al has been of major concern as a primary limiting factor to cultivated plants for several decades. In much of the world, Al severely restricts the growth and presence of plant species. Since the late 1970s, concern about Al toxicity has spread to natural habitats, most notably forests and aquatic communities. The primary impetus for this concern has been the increased awareness of the effects of anthropogenic acidification through mine drainage, acid deposition, and other sources. The toxicity of Al is intimately associated with pH in that the metal is soluble and biologically available in acidic (pH <5.5) soils and waters but relatively innocuous in circumneutral (pH 5.5-7.5) conditions. Forest die-offs and reduced survivorship or impaired reproduction of aquatic invertebrates, fish, and amphibians have been directly connected to Al toxicity. Indirect effects on birds and mammals also have been identified. The purpose of this review is to summarize the toxic effects of Al to populations and to evaluate the potential hazards to the communities in which these populations are found.

Book chapter↗

Wildlife mortality at wind facilities: How we know what we know how we might mislead ourselves, and how we set our future course

To accurately estimate per turbine – or per megawatt – annual wildlife mortality at wind facilities, the raw counts of carcasses found must be adjusted for four major sources of imperfect detection: (1) fatalities that occur outside the monitoring period; (2) carcasses that land outside the monitored area; (3) carcasses that are removed by scavengers or deteriorate beyond recognition prior to detection; and (4) carcasses that remain undiscovered by searchers even when present. To accurately estimate regional or national annual wildlife mortality, data must come from a representative (or appropriately weighted) sample of facilities for which estimates of mortality account for all sources of imperfect detection. I argue that the currently available data in the United States and much of the world do not represent the impacts of wind power on wildlife because not all facilities conduct monitoring studies, not all study results are publicly available, and few studies adequately account for imperfect detection. I present examples illustrating the limitations of our current data and pitfalls of interpreting data without accurately adjusting for detection bias. I close by proposing a solution through a simplified monitoring process that can be applied at every facility as part of normal operations. Application of an unbiased estimator that accounts for all sources of imperfect detection would assure comparability of mortality estimates. Public access to reported estimates would achieve representation. With these data we could develop a clearer understanding of how wind power is affecting wildlife throughout the world and inform our efforts to address it.

Book chapter↗

Earthquakes, PAGER

PAGER, short for Prompt Assessment of Global Earthquakes for Response, is an automated system developed and run by the US Geological Survey (USGS) that produces information concerning the impact of significant earthquakes around the world within approximately 20 min of any magnitude 5.5 or larger event. PAGER rapidly assesses earthquake impacts by combining populations exposed to estimates of shaking intensity with models of economic and fatality losses based on past earthquakes in each country or region of the world. The main purpose of the PAGER system is to inform emergency responders, government and aid agencies, and the media regarding the scope of the potential disaster. Earthquake alerts – which were formerly sent based on event magnitude and location or population exposure to shaking – are generated based on the estimated range of fatalities and/or economic losses.

Book chapter↗

The international scale of the groundwater issue

Throughout history, and throughout the world, groundwater has been a major source of water for sustaining human life. Use of this resource has increased dramatically over the last century. In many areas of the world, the balance between human and ecosystem needs is difficult to maintain. Understanding the international scale of the groundwater issue requires metrics and analysis at a commensurate scale. Advances in remote sensing supplement older traditional direct measurement methods for understanding the magnitude of depletion, and all measurements motivate the need for common data standards to collect and share information. In addition to metrics of groundwater availability, four key international groundwater issues are depletion of water, degradation of water quality, the water-energy nexus, and transboundary water conflicts. This chapter is devoted to introducing these issues, which are also discussed in more detail in later chapters.

Book chapter↗

Conservation threats and priorities for raptors across Asia

With long coastlines and some of the world’s most important rivers, mountain ranges, high-altitude plateaus, and islands, Asia is the largest and most populous continent in the world (Lyde 1904; Spencer 1954; Population Reference Bureau 2016). Asia supports all major terrestrial ecosystems and all major climatic types (Galloway et al. 1998; Braimoh and Huang 2015). These include barren ice fields and taigas in North Asia; boreal forests and cold deserts in West, Central, and East Asia; temperate and tropical forests (wet and dry) in East and Southeast Asia; and grasslands in Central and South Asia (Udvardy 1975; Braimoh and Huang 2015). Together, the ecoregions of Asia foster some of the greatest biodiversity on Earth, including six (24%) of 25 global biodiversity hotspots (Myers et al. 2000).

Book chapter↗

Global Change and the Function and Distribution of Wetlands

The Global Change Ecology and Wetlands book series will highlight the latest research from the world leaders in the field of climate change in wetlands. Global Change and the Function and Distribution of Wetlands highlights information of importance to wetland ecologists. The chapters include syntheses of international studies on the effects of drought on function and regeneration in wetlands, sea level rise and the distribution of mangrove swamps, former distributions of swamp species and future lessons from paleoecology, and shifts in atmospheric emissions across geographical regions in wetlands. Overall, the book will contribute to a better understanding of the potential effects of climate change on world wetland distribution and function.

Book↗

The effects of climate-change-induced drought and freshwater wetlands

Drought cycles in wetlands may become more frequent and severe in the future, with consequences for wetland distribution and function. According to the Intergovernmental Panel on Climate Change (Intergovernmental Panel on Climate Change [IPCC], Managing the risks of extreme events and disasters to advance climate change adaptation, 2012. Online: http://ipcc-wg2.gov/SREX/images/uploads/SREX-All_FINAL.pdf, climate-change is likely to affect precipitation and evapotranspiration patterns so that the world’s wetlands may have more frequent episodes of extreme flooding and drought. This chapter contributes to a worldwide view of how wetland processes may be affected by these predicted changes in climate. Specifically, the occurrence of drought may increase, and that increase may affect the critical processes that sustain biodiversity in wetlands. We include specific examples that explore the effects of drought and other climate-change factors on wetland function in various parts of the world. In a concluding section we discuss management strategies for climate-change in wetlands. The synthesis of information in this chapter will contribute to a better understanding of how climate-change-induced drought may affect the function and distribution of wetlands in the future.

Book chapter↗

International cooperation in water resources

Advancements in hydrology proceeded slowly until the late 1800's when new ventures created a surge of interest and accomplishment. Progress waned again until the middle 20th century when an International Hydrological Decade was conceived, eventually receiving wide multinational support from governmental agencies and nongovernmental institutions. Organized by UNESCO, the Decade program was launched January 1, 1965. Participation included 107 nations, six United Nations agencies, and more than a dozen international scientific organizations. The initial program emphasized scientific research, and international cooperation; the second half of the Decade, emphasized technical assistance and technology transfer, largerly through education, training and demonstration. The success of the Decade led to the establishment of the International Hydrological Program, again under the aegis of UNESCO, to continue the work of the Decade indefinitely. The five major program activities, now involving about 90 countries and several international organizations, include: the scientific program, the promotion of education and training, the enhancement of information exchange, support of technical assistance, and the enlargement of regional cooperation. A significant amount of activity related to hydrological data networks and forecasting is carried on in an Operational Hydrology Programme by the WMO, chiefly through its Commission for Hydrology. Other international governmental organizations with a strong interest in water include the UN, the UN Development Programme, the FAO, the WHO, the International Atomic Energy Agency, the UN Environment Programme, the International Standardization Organization, and developmental institutions such as the World Bank. The specialized interests of researchers outside of the governmental structure, are met through association in various scientific and technical organizations which are world wide in scope and membership. Notwithstanding a sometimes bewildering variety of organizations, there certainly exists, for any nation, group, or individual, a demonstrated mechanism for almost any conceivable form of international cooperation in hydrology and water resources. ?? 1979 Akademische Verlagsgesellschaft.

GeoJournal↗

A prototype global volcano surveillance system monitoring seismic activity and tilt

The Earth Resources Technology Satellite makes it feasible for the first time to monitor the level of activity at widely separated volcanoes and to relay these data almost instantancously to one central office. This capability opens a new era in volcanology where the hundreds of normally quiescent but potentially dangerous volcanoes near populated regions around the world can be economically and reliably monitored. A prototype global volcano surveillance system has been established beginning in the fall of 1972 with the help of local scientists on 15 volcanoes in Alaska, Hawaii, Washington, California, Iceland. Guatemala, El Salvador, and Nicaragua. Data on earthquake activity and ground tilt are received 6 to 10 times daily in Menlo Park, California, within 90 minutes of transmission from the sites. Seismic event counters were installed at 19 locations with biaxial borehole tiltineters with 1 microradian sensitivity installed at seven sites. Direct comparison of seismic events that are counted with records from nearby seismic stations show the event counters work quite reliably. An order of magnitude increase in seismic events was observed prior to the eruption of Volcán Fuego in Guatemala in February, 1973. Significant changes in tilt were observed on volcanoes Kilauea. Fuego, and Pacava. This study demonstrates the technological and economic feasibility of utilizing such a volcano surveillance system throughout the world.

Bulletin Volcanologique↗

Exit here: Strategies for dealing with aging dams and reservoirs

Aging infrastructure is prevalent throughout the world but water control management structures, specifically dams are of growing concern. Dams and their corresponding reservoirs have inherent, but separate, lifespans. The proportion of dams around the world that continue operation beyond their intended lifespans is growing at an alarming rate. Society will not only have to navigate the tradeoffs associated with the deterioration of services provided by reservoirs and dams, but also impending structural failures. Society is nearing a critical pinch point where we will have to decide how to deal with dams and reservoirs at scales that range from a single system to multiple systems in large watersheds. No comprehensive strategy exists to inform both the range of actions that can be applied to such infrastructure and how such actions would influence biophysical, socioeconomic, and geopolitical tradeoffs. The development of proactive exit strategies is a critical first step in ensuring controlled transitions for aging dams and reservoirs. Herein, we present an overview of actions and considerations for aging dams and reservoirs in the USA followed by an initial framework for exit strategy development to launch further discussion on how society could deal with this aging infrastructure.

Aquatic Sciences↗

Gonad organochlorine concentrations and plasma steroid levels in white sturgeon (Acipenser transmontanus) from the Columbia River, USA

Sturgeon are an important fishery resource world-wide, providing food and income through commercial, sport, and tribal fisheries. However, sturgeon populations are imperiled in many areas due to overharvest, habitat loss, and pollution. White Sturgeon ( Acipenser transmontanus ) are found along the west coast of North America from San Francisco Bay, USA to British Columbia, Canada. The Columbia River, located in the Pacific Northwest USA, supports active commercial, sport, and tribal white sturgeon fisheries. The white sturgeon fishery in the Columbia River estuary is one of the most productive sturgeon fisheries in the World. Despite the success of the Columbia River estuary white sturgeon fishery, the populations within the impounded sections (i.e. behind the hydroelectric dams) of the Columbia River experience poor reproductive success (Beamesderfer et al. 1995). This poor reproductive success has been attributed to hydroelectric development, but water pollution could also be a significant factor. The bottom dwelling life history and late maturing reproductive strategy for this species may make it particularly sensitive to the adverse effects of bioaccumulative pollutants. The Columbia River receives effluent from bleached-kraft pulp mills, aluminum smelters, municipal sewage treatment plants and runoff from agricultural. industrial, and urban areas. Bioaccumulative contaminants that have the potential for endocrine disruption have been detected in fish and sediments from the Columbia River (Foster et al. 1999). An integrated system of hormones control reproduction in vertebrates. Plasma steroids direct developmental events essential for reproduction. Disruption of endocrine control by contaminants has been linked to reproductive anomalies and failure in a number of vertebrate species (Guillette et al. 1996; Jobling et al. 1996). Because of this, it is important to understand if organochlorine compounds are accumulating in Columbia River white sturgeon and having an effect on their reproductive physiology. The objective of this study was to determine if sturgeon from an impounded section of the Columbia River (where reproductive success has been low) had higher levels of bioaccumulative pollutants than sturgeon from the estuary (where reproductive success has been high) and if these compounds were associated with decreased plasma steroid levels. Specifically, we measured chlorinated pesticides and PCBs in the gonads and plasma steroids in white sturgeon from the Columbia River fishery.

Columbia River↗

Water availability and land subsidence in the Central Valley, California, USA

The Central Valley in California (USA) covers about 52,000 km 2 and is one of the most productive agricultural regions in the world. This agriculture relies heavily on surface-water diversions and groundwater pumpage to meet irrigation water demand. Because the valley is semi-arid and surface-water availability varies substantially, agriculture relies heavily on local groundwater. In the southern two thirds of the valley, the San Joaquin Valley, historic and recent groundwater pumpage has caused significant and extensive drawdowns, aquifer-system compaction and subsidence. During recent drought periods (2007&ndash;2009 and 2012-present), groundwater pumping has increased owing to a combination of decreased surface-water availability and land-use changes. Declining groundwater levels, approaching or surpassing historical low levels, have caused accelerated and renewed compaction and subsidence that likely is mostly permanent. The subsidence has caused operational, maintenance, and construction-design problems for water-delivery and flood-control canals in the San Joaquin Valley. Planning for the effects of continued subsidence in the area is important for water agencies. As land use, managed aquifer recharge, and surface-water availability continue to vary, long-term groundwater-level and subsidence monitoring and modelling are critical to understanding the dynamics of historical and continued groundwater use resulting in additional water-level and groundwater storage declines, and associated subsidence. Modeling tools such as the Central Valley Hydrologic Model, can be used in the evaluation of management strategies to mitigate adverse impacts due to subsidence while also optimizing water availability. This knowledge will be critical for successful implementation of recent legislation aimed toward sustainable groundwater use.

California↗

Implications of multi-scale sea level and climate variability for coastal resources

While secular changes in regional sea levels and their implications for coastal zone management have been studied extensively, less attention is being paid to natural fluctuations in sea levels, whose interaction with a higher mean level could have significant impacts on low-lying areas, such as wetlands. Here, the long record of sea level at Key West, FL is studied in terms of both the secular trend and the multi-scale sea level variations. This analysis is then used to explore implications for the Everglades National Park (ENP), which is recognized internationally for its ecological significance, and is the site of the largest wetland restoration project in the world. Very shallow topographic gradients (3–6 cm per km) make the region susceptible to small changes in sea level. Observations of surface water levels from a monitoring network within ENP exhibit both the long-term trends and the interannual-to-(multi)decadal variability that are observed in the Key West record. Water levels recorded at four long-term monitoring stations within ENP exhibit increasing trends approximately equal to or larger than the long-term trend at Key West. Time- and frequency-domain analyses highlight the potential influence of climate mechanisms, such as the El Niño/Southern Oscillation and the North Atlantic Oscillation (NAO), on Key West sea levels and marsh water levels, and the potential modulation of their influence by the background state of the North Atlantic Sea Surface Temperatures. In particular, the Key West sea levels are found to be positively correlated with the NAO index, while the two series exhibit high spectral power during the transition to a cold Atlantic Multidecadal Oscillation (AMO). The correlation between the Key West sea levels and the NINO3 Index reverses its sign in coincidence with a reversal of the AMO phase. Water levels in ENP are also influenced by precipitation and freshwater releases from the northern boundary of the Park. The analysis of both climate variability and climate change in such wetlands is needed to inform management practices in coastal wetland zones around the world.

Regional Environmental Change↗

Top 10 principles for designing healthy coastal ecosystems like the Salish Sea

Like other coastal zones around the world, the inland sea ecosystem of Washington (USA) and British Columbia (Canada), an area known as the Salish Sea, is changing under pressure from a growing human population, conversion of native forest and shoreline habitat to urban development, toxic contamination of sediments and species, and overharvest of resources. While billions of dollars have been spent trying to restore other coastal ecosystems around the world, there still is no successful model for restoring estuarine or marine ecosystems like the Salish Sea. Despite the lack of a guiding model, major ecological principles do exist that should be applied as people work to design the Salish Sea and other large marine ecosystems for the future. We suggest that the following 10 ecological principles serve as a foundation for educating the public and for designing a healthy Salish Sea and other coastal ecosystems for future generations: (1) Think ecosystem: political boundaries are arbitrary; (2) Account for ecosystem connectivity; (3) Understand the food web; (4) Avoid fragmentation; (5) Respect ecosystem integrity; (6) Support nature's resilience; (7) Value nature: it's money in your pocket; (8) Watch wildlife health; (9) Plan for extremes; and (10) Share the knowledge.

British Columbia, Washington↗

AviList: A unified global bird checklist

Universally recognized scientific names for organisms are necessary for accurate and efficient communication. Incongruence in taxonomic treatments results in situations where one name is used for different entities or one entity is known by different names, with negative consequences for conservation, science, trade, legislation, law enforcement, and education, leading to discord among stakeholders and confusion among users. Within the ornithological community taxonomic incongruence among four widely adopted global bird checklists has led to calls for the development of a single unified global avian taxonomy or checklist. Here we introduce AviList, a comprehensive, collaborative and evolving effort towards developing a unified global avian taxonomy, spearheaded by representatives of most current global checklists and many major regional authorities, and supported by the International Ornithologists’ Union (IOU), BirdLife International and the Cornell Lab of Ornithology. AviList version 2025, the first version, was officially launched on 11 June 2025 and is available online as a comprehensive, searchable public-access database. It recognizes 11,131 bird species in 2376 genera, 252 families and 46 orders. This global effort has resolved over 1000 species-level taxonomic incongruences among existing checklists. With AviList’s launch, the IOC World Bird List and the Clements Checklist of Birds of the World have ceased any independent taxonomic updates, while BirdLife International is in the process of total alignment, leading to a harmonization in the classification underpinning a number of major bird projects, including eBird, Macaulay Library, Merlin Bird ID and the IUCN Red List. Adoption of AviList will improve inter-operability across global biodiversity, molecular, ecological and spatial databases (e.g. GBIF). Strong governance of AviList will ensure it is a “living” document that is regularly updated by a global community of bird taxonomists as new scientific advances are made, with positive impacts for conservation, academia and human society. It is hoped that AviList will support and encourage taxonomic science by identifying areas where further research is most needed, and that it will provide a blueprint for taxonomic authorities in other organismic groups endeavoring to achieve taxonomic harmonization.

Biodiversity and Conservation↗

Can captive populations function as sources of genetic variation for reintroductions into the wild? A case study of the Arabian oryx from the Phoenix Zoo and the Shaumari Wildlife Reserve, Jordan

The Arabian oryx ( Oryx leucoryx ) historically ranged across the Arabian Peninsula and neighboring countries until its extirpation in 1972. In 1963&ndash;1964 a captive breeding program for this species was started at the Phoenix Zoo (PHX); it ultimately consisted of 11 animals that became known as the &lsquo;World Herd&rsquo;. In 1978 &ndash; 1979 a wild population was established at the Shaumari Wildlife Reserve (SWR), Jordan, with eight descendants from the World Herd and three individuals from Qatar. We described the mtDNA and nuclear genetic diversity and structure of PHX and SWR. We also determined the long-term demographic and genetic viability of these populations under different reciprocal translocation scenarios. PHX displayed a greater number of mtDNA haplotypes ( n = 4) than SWR ( n = 2). Additionally, PHX and SWR presented nuclear genetic diversities of N &macr; A N&macr;A = 2.88 vs. 2.75, H &macr; O H&macr;O = 0.469 vs. 0.387, and H &macr; E H&macr;E = 0.501 vs. 0.421, respectively. Although these populations showed no signs of inbreeding ( F &macr; IS F&macr;IS &asymp; 0), they were highly differentiated ( G &prime; &prime; ST GST&prime;&prime; = 0.580; P < 0.001). Migration between PHX and SWR ( Nm = 1, 4, and 8 individuals/generation) increased their genetic diversity in the short-term and substantially reduced the probability of extinction in PHX during 25 generations. Under such scenarios, maximum genetic diversities were achieved in the first generations before the effects of genetic drift became predominant. Although captive populations can function as sources of genetic variation for reintroduction programs, we recommend promoting mutual and continuous gene flow with wild populations to ensure the long-term survival of this species.

Conservation Genetics↗

Factors affecting fish biodiversity in floodplain lakes of the Mississippi Alluvial Valley

River-floodplain ecosystems offer some of the most diverse and dynamic environments in the world. Accordingly, floodplain habitats harbor diverse fish assemblages. Fish biodiversity in floodplain lakes may be influenced by multiple variables operating on disparate scales, and these variables may exhibit a hierarchical organization depending on whether one variable governs another. In this study, we examined the interaction between primary variables descriptive of floodplain lake large-scale features, suites of secondary variables descriptive of water quality and primary productivity, and a set of tertiary variables descriptive of fish biodiversity across a range of floodplain lakes in the Mississippi Alluvial Valley of Mississippi and Arkansas (USA). Lakes varied considerably in their representation of primary, secondary, and tertiary variables. Multivariate direct gradient analyses indicated that lake maximum depth and the percentage of agricultural land surrounding a lake were the most important factors controlling variation in suites of secondary and tertiary variables, followed to a lesser extent by lake surface area. Fish biodiversity was generally greatest in large, deep lakes with lower proportions of watershed agricultural land. Our results may help foster a holistic approach to floodplain lake management and suggest the framework for a feedback model wherein primary variables can be manipulated for conservation and restoration purposes and secondary and tertiary variables can be used to monitor the success of such efforts.

Environmental Biology of Fishes↗

Global mercury concentrations in biota: Their use as a basis for a global biomonitoring framework

An important provision of the Minamata Convention on Mercury is to monitor and evaluate the effectiveness of the adopted measures and its implementation. Here, we describe for the first time currently available biotic mercury (Hg) data on a global scale to improve the understanding of global efforts to reduce the impact of Hg pollution on people and the environment. Data from the peer-reviewed literature were compiled in the Global Biotic Mercury Synthesis (GBMS) database (>550,000 data points). These data provide a foundation for establishing a biomonitoring framework needed to track Hg concentrations in biota globally. We describe Hg exposure in the taxa identified by the Minamata Convention: fish, sea turtles, birds, and marine mammals. Based on the GBMS database, Hg concentrations are presented at relevant geographic scales for continents and oceanic basins. We identify some effective regional templates for monitoring methylmercury (MeHg) availability in the environment, but overall illustrate that there is a general lack of regional biomonitoring initiatives around the world, especially in Africa, Australia, Indo-Pacific, Middle East, and South Atlantic and Pacific Oceans. Temporal trend data for Hg in biota are generally limited. Ecologically sensitive sites (where biota have above average MeHg tissue concentrations) have been identified throughout the world. Efforts to model and quantify ecosystem sensitivity locally, regionally, and globally could help establish effective and efficient biomonitoring programs. We present a framework for a global Hg biomonitoring network that includes a three-step continental and oceanic approach to integrate existing biomonitoring efforts and prioritize filling regional data gaps linked with key Hg sources. We describe a standardized approach that builds on an evidence-based evaluation to assess the Minamata Convention’s progress to reduce the impact of global Hg pollution on people and the environment.

Ecotoxicology↗