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At least 667 records · Page 37Linked to original sources

Water resources data, West Virginia water year 1981, Appendix - coal areas and special projects

The first section of this report contains data collected during the 1981 water year for the West Virginia Coal Hydrology monitoring project. Records consist of discharge and water-quality data collected at 246 sites in July, at 29 sites in August, and sediment data for 235 sites collected in July. The second section of this report contains data collected during the period January 1978 to December 1981 for the water resources study of the Tug Fork and Twelvepole Creek basins. Records consist of physical data for 347 wells, water level data for two wells, quality analyses of water from 328 wells, and discharge, chemical and biological data for 91 sites sampled several times.

West Virginia↗

Life history strategies of fish species and biodiversity in eastern USA streams

Predictive models have been used to determine fish species that occur less frequently than expected (decreasers) and those that occur more frequently than expected (increasers) in streams in the eastern U.S. Coupling life history traits with 51 decreaser and 38 increaser fish species provided the opportunity to examine potential mechanisms associated with predicted changes in fish species distributions in eastern streams. We assigned six life history traits – fecundity, longevity, maturation age, maximum total length, parental care, and spawning season duration – to each fish species. Decreaser species were significantly smaller in size and shorter-lived with reduced fecundity and shorter spawning seasons compared to increaser species. Cluster analysis of traits revealed correspondence with a life history model defining equilibrium (low fecundity, high parental care), opportunistic (early maturation, low parental care), and periodic (late maturation, high fecundity, low parental care) end-point strategies. Nearly 50 % of decreaser species were associated with an intermediate opportunistic-periodic strategy, suggesting that abiotic factors such as habitat specialization and streamflow alteration may serve as important influences on life history traits and strategies of decreaser species. In contrast, the percent of increaser species among life history strategy groups ranged from 21 to 32 %, suggesting that life history strategies of increaser species were more diverse than those of decreaser species. This study highlights the utility of linking life history theory to biodiversity to better understand mechanisms that contribute to fish species distributions in the eastern U.S.

Environmental Biology of Fishes↗

Resilience thinking for human-wildlife coexistence: Bridging dynamic systems, archetypes, and transformations

As human activities and wildlife increasingly overlap in the Anthropocene, conventional conservation paradigms focused on land-sparing are shifting toward strategies that support human–wildlife coexistence. However, achieving sustainable coexistence is often hindered by a limited understanding of the dynamic social–ecological processes that drive integrated human–wildlife systems. This Special Issue explores “resilience thinking” as a scientific framework to address these knowledge gaps. By bridging sustainability and wildlife sciences, we examine how concepts such as adaptive capacity, feedback loops, system archetypes, and tipping points can illuminate the conditions that facilitate stable coexistence or lead to persistent conflict. Through diverse global case studies ranging from carnivore management in Europe to primate interactions in Indonesia, contributions highlight how societal perceptions, governance, and co-adaptation shape system trajectories. Ultimately, we argue that fostering durable coexistence requires moving beyond incremental adaptation toward transformative governance that centers on equity, relationality, and proactive management.

Ambio↗

Modeling vegetation heights from high resolution stereo aerial photography: an application for broad-scale rangeland monitoring

Vertical vegetation structure in rangeland ecosystems can be a valuable indicator for assessing rangeland health and monitoring riparian areas, post-fire recovery, available forage for livestock, and wildlife habitat. Federal land management agencies are directed to monitor and manage rangelands at landscapes scales, but traditional field methods for measuring vegetation heights are often too costly and time consuming to apply at these broad scales. Most emerging remote sensing techniques capable of measuring surface and vegetation height (e.g., LiDAR or synthetic aperture radar) are often too expensive, and require specialized sensors. An alternative remote sensing approach that is potentially more practical for managers is to measure vegetation heights from digital stereo aerial photographs. As aerial photography is already commonly used for rangeland monitoring, acquiring it in stereo enables three-dimensional modeling and estimation of vegetation height. The purpose of this study was to test the feasibility and accuracy of estimating shrub heights from high-resolution (HR, 3-cm ground sampling distance) digital stereo-pair aerial images. Overlapping HR imagery was taken in March 2009 near Lake Mead, Nevada and 5-cm resolution digital surface models (DSMs) were created by photogrammetric methods (aerial triangulation, digital image matching) for twenty-six test plots. We compared the heights of individual shrubs and plot averages derived from the DSMs to field measurements. We found strong positive correlations between field and image measurements for several metrics. Individual shrub heights tended to be underestimated in the imagery, however, accuracy was higher for dense, compact shrubs compared with shrubs with thin branches. Plot averages of shrub height from DSMs were also strongly correlated to field measurements but consistently underestimated. Grasses and forbs were generally too small to be detected with the resolution of the DSMs. Estimates of vertical structure will be more accurate in plots having low herbaceous cover and high amounts of dense shrubs. Through the use of statistically derived correction factors or choosing field methods that better correlate with the imagery, vegetation heights from HR DSMs could be a valuable technique for broad-scale rangeland monitoring needs.

California;Nevada↗

Interpreting the tectonic evolution of Pacific Rim margins using plate kinematics and slab window volcanism

The possibility that slab windows might form in the wake of ridge subduction was first conceptualized in the late 1970s as earth scientists explored the implications of plate tectonic theory in three dimensions. Acceptance of slab-window occurrence, however, has been a long time coming (McCrory and Wilson, this issue). With records of both current and past slab-window transients now firmly established through detailed studies of volcanism and tectonism tied to kinematic plate reconstructions, we are able to exploit these spatially and temporally restricted events as paleogeographic markers. Slab-window research encompasses and integrates a broad range of disciplines including earthquake seismology, plate kinematics, volcanic geochemistry, lithospheric dynamics, seismic tomography, and structural geology. In this special issue we use this powerful new tool to constrain and interpret the Cenozoic evolution of Pacific Rim subduction margins from Alaska, to Patagonia, to Antarctica, to Tonga.

Tectonophysics↗

A novel suspended-sediment sampling method: Depth-Integrated Grab (DIG)

Measuring suspended sediment in fluvial systems is critical to understanding and managing water resources. Sampling suspended sediment has been the primary means of understanding fluvial suspended sediment. Specialized samplers, sampling methods, and laboratory methods developed by select U.S. Federal Agencies are more representative of river and stream conditions than commonly used grab sampling and total suspended solids (TSS) laboratory methods but are not widely used because they are expensive, time consuming, and not required as part of water quality standards in the United States. A new suspended-sediment sampling method called a depth-integrated grab (DIG) was developed by combining certain elements from both grab and depth-integrating sampling methods and suspended-sediment concentration (SSC) laboratory methods. The goal of the DIG method was to provide more accurate results than Grab-TSS while being easier and cheaper to sample than specialized samplers and methods. Approximately 50 paired comparison samples were collected at 9 sites in Minnesota from 2018 through 2019. Results showed no significant difference between the DIG and specialized sampling methods and a significant difference between both methods and the Grab-TSS method. The DIG-SSC provided an improved alternative to the Grab-TSS method, but additional research and testing is important to evaluate if this method is appropriate in different conditions than were observed in this study.

Minnesota↗

American Oystercatcher (Haematopus palliatus)

The American Oystercatcher is a large, conspicuous shorebird, common in coastal salt marshes and along sand beaches throughout the central part of its range. One of the few birds to specialize on bivalve mollusks living in saltwater, this species is completely restricted to marine habitats. Two races breed in North America—the eastern nominate race along the Atlantic coast from southern Maine south, and a second race along the Pacific coast from northwestern Baja California south. While the eastern race has been studied extensively across its range both during winter and the breeding season, the biology of the western race is poorly known and this population may also be at risk both from coastal development and hybridization with the American Black Oystercatcher ( H. bachmani ). Eastern oystercatchers regularly winter in large flocks, from Virginia south along the Atlantic and Gulf coasts.

Report↗

Studies for seismic zonation of the San Francisco Bay region

The analyses presented in the preceding six papers show that the geologic setting of the San Francisco Bay region has a dominant influence on potential earthquake hazards. The strong correlation between geologic conditions and the amount of earthquake damage in 1906 emphasizes the importance of this influence and demonstrates the need for seismic zonation. Seismic zonation can provide the logical basis for preparation of special-purpose land-use maps that, with appropriate public policy, would be a significant step toward reducing the currently expected catastrophic effects of another great earthquake (Algermissen, 1972). Seismic zonation requires a set of integrated multidisciplinary predictions about the geologic effects of potential earthquakes. To illustrate a strategy for making such predictions, a demonstration profile has been chosen perpendicular to a segment of the San Andreas fault, along which a magnitude 6.5 earthquake has been postulated. This profile includes a wide variety of geologic conditions and provides a means for application of the analyses presented in the preceding six papers. Earthquake hazards to life and property originate from (1) surface faulting, (2) ground shaking, (3) flooding, (4) liquefaction, and (5) landsliding. The extent to which each of these geologic effects can be predicted for an earthquake of a given magnitude and location depends on the current state of the art. To illustrate techniques and data currently available, each effect is considered for the postulated earthquake. This paper does not provide final estimates for the total earthquake hazard along the demonstration profile. Such an objective would require analysis of individual manmade structures as well as consideration of earthquakes of other sizes and locations. Instead, this paper illustrates the extent to which the above effects can be predicted for an earthquake of this given size and location. Such an analysis demonstrates a methodology for seismic zonation based on available data.

Professional Paper↗

Groundwater-quality data in the South Coast Range-Coastal study unit, 2008: Results from the California GAMA Program

Groundwater quality in the approximately 766-square-mile South Coast Range–Coastal (SCRC) study unit was investigated from May to December 2008, as part of the Priority Basins Project of the Groundwater Ambient Monitoring and Assessment (GAMA) Program. The GAMA Priority Basins Project was developed in response to legislative mandates (Supplemental Report of the 1999 Budget Act 1999-00 Fiscal Year; and, the Groundwater Quality Monitoring Act of 2001 [Sections 10780-10782.3 of the California Water Code, Assembly Bill 599]) to assess and monitor the quality of groundwater in California, and is being conducted by the U.S. Geological Survey (USGS) in cooperation with the California State Water Resources Control Board (SWRCB). The SCRC study unit was the 25th study unit to be sampled as part of the GAMA Priority Basins Project. The SCRC study unit was designed to provide a spatially unbiased assessment of untreated groundwater quality in the primary aquifer systems and to facilitate statistically consistent comparisons of untreated groundwater quality throughout California. The primary aquifer systems (hereinafter referred to as primary aquifers) were defined as that part of the aquifer corresponding to the perforation interval of wells listed in the California Department of Public Health (CDPH) database for the SCRC study unit. The quality of groundwater in shallow or deep water-bearing zones may differ from the quality of groundwater in the primary aquifers; shallow groundwater may be more vulnerable to surficial contamination. In the SCRC study unit, groundwater samples were collected from 70 wells in two study areas (Basins and Uplands) in Santa Barbara and San Luis Obispo Counties. Fifty-five of the wells were selected using a spatially distributed, randomized grid-based method to provide statistical representation of the study unit (grid wells), and 15 wells were selected to aid in evaluation of specific water-quality issues (understanding wells). In addition to the 70 wells sampled, 3 surface-water samples were collected in streams near 2 of the sampled wells in order to better comprehend the interaction between groundwater and surface water in the area. The groundwater samples were analyzed for organic constituents (volatile organic compounds [VOC], pesticides and pesticide degradates, polar pesticides and metabolites, and pharmaceutical compounds), constituents of special interest (perchlorate, N-nitrosodimethylamine [NDMA], and 1,2,3-TCP), naturally occurring inorganic constituents (trace elements, nutrients, dissolved organic carbon [DOC], major and minor ions, silica, total dissolved solids [TDS], and alkalinity), and radioactive constituents (gross alpha and gross beta radioactivity). Naturally occurring isotopes (stable isotopes of hydrogen and oxygen in water, stable isotopes of nitrogen and oxygen in dissolved nitrate, stable isotopes of sulfur in dissolved sulfate, stable isotopes of carbon in dissolved inorganic carbon, activities of tritium, and carbon-14 abundance), and dissolved gases (including noble gases) also were measured to help identify the sources and ages of the sampled groundwater. In total, 298 constituents and field water-quality indicators were investigated. Three types of quality-control samples (blanks, replicates, and matrix-spikes) were collected at approximately 3 to 12 percent of the wells in the SCRC study unit, and the results for these samples were used to evaluate the quality of the data for the groundwater samples. Field blanks rarely contained detectable concentrations of any constituent, suggesting that contamination from sample collection procedures was not a significant source of bias in the data for the groundwater samples. Differences between replicate samples generally were less than 10 percent relative and/or standard deviation, indicating acceptable analytical reproducibility. Matrix-spike recoveries were within the acceptable range (70 to 130 percent) for approximately 84 percent of the compounds. This study did not attempt to evaluate the quality of drinking water delivered to consumers; after withdrawal from the ground, untreated groundwater typically is treated, disinfected, and/or blended with other waters to maintain water quality. Regulatory thresholds apply to water that is served to the consumer, not to untreated groundwater. However, to provide some context for the results, concentrations of constituents measured in the untreated groundwater were compared with regulatory and non-regulatory health-based thresholds established by the U.S. Environmental Protection Agency (USEPA) and CDPH, and to non-regulatory thresholds established for aesthetic concerns by CDPH. Comparisons between data collected for this study and thresholds for drinking water are for illustrative purposes only and are not indicative of compliance or noncompliance with those thresholds. Most organic and inorganic constituents that were detected in groundwater samples from the 55 grid wells in the SCRC study unit were detected at concentrations less than drinking-water thresholds. In addition, all detections of organic constituents in SCRC grid well samples were less than health-based thresholds. In total, VOCs were detected in 33 percent of the 55 grid wells sampled and pesticides and pesticide degradates were detected in 27 percent of grid wells sampled in the SCRC study unit. In the Basins study area, VOCs and pesticides and pesticide degradates were detected in approximately 33 percent of the 39 grid wells. In the Uplands study area, VOCs were detected in approximately 31 percent and pesticides and pesticide degradates were detected in approximately 13 percent of the 16 grid wells. Trace elements and minor ions were sampled for at 32 grid wells and nutrients at 33 grid wells in the SCRC study unit, and most detections were less than health-based thresholds. Exceptions in the Basins study area include one detection of arsenic greater than the USEPA maximum contaminant level (MCL-US) of 10 µg/L and three detections of nitrite plus nitrate, as nitrogen (NO2-+NO3-) greater than the MCL-US of 10 mg/L. Exceptions in the Uplands study area include two detections of arsenic greater than the MCL-US and eight detections of molybdenum greater than the USEPA lifetime health advisory level (HAL-US) of 40 µg/L. All detections of major and minor ions and gross alpha and gross beta radioactivity from the SCRC grid wells were less than health-based thresholds. Results for trace elements, major ions, and TDS with non-enforceable thresholds set for aesthetic concerns from 16 Basins study area grid wells showed that iron concentrations greater than the CDPH secondary maximum contaminant level (SMCL-CA) of 300 µg/L were detected in grid wells. Manganese concentrations greater than the SMCL-CA of 50 µg/L were detected in six grid wells. Chloride concentrations greater than the recommended SMCL-CA threshold of 250 mg/L were detected in one grid well. Sulfate concentrations greater than the recommended SMCL-CA threshold of 250 mg/L were measured in 12 grid wells and 3 of these wells also were greater than the upper SMCL-CA threshold of 500 mg/L. TDS concentrations greater than the SMCL-CA recommended threshold of 500 mg/L were measured in 14 of the 16 Basins study area grid wells and concentrations in 5 of these wells also were greater than the SMCL-CA upper threshold of 1,000 mg/L. In the Uplands study area, iron concentrations greater than the SMCL-CA were detected in 2 of 16 grid wells and manganese concentrations greater than the SMCL-CA were detected in 3 grid wells. TDS and sulfate concentrations greater than the recommended SMCL-CA thresholds were detected in 11 and 2 grid wells, respectively, but none of these concentrations were greater than the SMCL-CA upper thresholds.

California↗

Comparison of downhole and surface sampling for the determination of volatile organic compounds (VOCs) in ground water

The relative precision and accuracy of sampling and analysis methods for the determination of trace concentrations of volatile organic compounds (VOCs) in ground water were compared. Samples were collected from a well containing nanogram‐per‐liter (ng/L) to microgram‐per‐liter (μg/L) levels of VOCs. A Keck helical rotor submersible pump was used to collect samples at the surface for analysis by purge and trap (P&T) and for analysis by adsorption/thermal desorption (ATD). Downhole samples were collected by passing water through an ATD cartridge. Although slight spontaneous bubble outgassing occurred when the water was brought to the surface, the relative precisions and comparabilities of the surface and downhole methods were generally found to be equivalent from a statistical point of view. A main conclusion of this study is that bringing sample water to the surface for placement in VOC vials (and subsequent analysis by P&T) can be done reliably under many circumstances. However, care must still be taken to prevent adsorption losses and cross contamination. Samples subject to strong bubble outgassing will need to be handled in a special fashion (e.g., by downhole ATD) to minimize volatilization losses. Additionally, the higher sensitivity of the ATD method allows lower detection limits than are possible with P&T. For example, several compounds present at the ng/L level could be determined with confidence by ATD, but not by P&T.

New Jersey↗

Mineral potential of felsic plutonic rocks in the north-central Arabian Shield, Kingdom of Saudi Arabia

Fourteen plutons of Late Proterozoie age potentially favorable for rare-element mineralization have been identified in a geochemical and petrographic assessment of felsic plutonic rocks in the north-central Arabian Shield (lat 23°00'-25°00' N., long 40°00'-45°00' E.). The plutons are highly fractionated, leucocratic granitoids assigned to a major magmatic pulse that spanned the later stages of the Hijaz orogeny (about 610 Ma to about 550 Ma). Most of the targeted plutons are small or not deeply eroded. Two rock types are dominant: subsolvus, muscovite-bearing monzogranite or syenogranite; and hypersolvus, mieroeline perthite granite commonly containing sodic pyriboles. Enrichment in varied suites of the granitophile elements (Sn-W-NbTa-Zr-Y-Th-U) is characteristic. The plutons occupy the central part of a broad arcuate belt of geochemically specialized plutons that conforms generally to the eastern limit of exposed Proterozoic basement. The muscovite-bearing monzogranites containing anomalous tin and tungsten in rock and (or) wadi sediment samples occur generally east of long 42°30' E. Two of these, Jabal Minya and Jabal Khinzir, are recommended for immediate follow-up studies. Of the alkali granites, most of which occur in the area west of long 42°30' E., the composite plutons of Jabal Hadb ad Dayahin and Jabal Tuqfah have the highest potential for rare-element mineralization and warrant prompt systematic investigation. Evaluation of isolated one- or two-element anomalies should be coordinated with current high-density geochemical prospecting programs of the Riofinex Geological Mission.

Open-File Report↗

Owls

Eight species of owls regularly occur and may breed in one or more of the southeastern states. Several additional northern or western species appear irregularly as accidentals or during years of southward incursions. In the Southeast, the most common and wide- spread owls are the common barn-owl, eastern screech-owl, great horned owl and barred owl; the most restricted is the burrowing owl. The long-eared, short-eared, and northern saw-whet owls are primarily winter visitors in this region, although small and very localized nesting populations of short-eared owls may occur in Virginia. Long-eared owls and northern saw-whet owls may occur in West Virginia and northern saw-whet owls may occur in the highlands of Tennessee and North Carolina. Several owls of the Southeast are Blue-listed as threatened, endangered, or of local concern, including the common barn-owl, eastern screech-owl, burrow'ing owl and short-eared owl. The nesting status of the long-eared owl and northern saw-whet owl are still poorly known. These two owls should be included on stat and regional lists of species of special concern. Important limiting factors for all owls of the Southeast include habitat loss and human related mortality. Management issues center on obtaining a data base useful in predicting the effects of current forest management practices on owl populations and encouraging use of forestry techniques that least impact owls. Research needs include initiating studies of all aspects of the life history and habitat relationships of each owl species.

Book chapter↗

An interview with Karl Steinbrugge

For thirty years the name of Karl V. Steinbrugge has been synonymous with the Insurance Services Office in San Francisco. There he was in charge of their earthquake engineering and research activities for the United States, and his work included detailed engineering investigations of the probable earthquake damage to structures as well as studies of actual earthquake effects. trained as a civil and structural engineer, Steinbrugge was on faculty of the University of California at Berkeley for 28 years, retiring as a Professor of Structural Design. He has served on numerous national and international committees on earthquake hazards, and he is now a consulting structural engineer, specializing in earthquake hazard evaluation. At the present moment he is chairman of an independent panel of the Federal Emergency Management Agency that is reviewing the National Earthquake Hazards Reduction Program. Henry Spall recently asked Steinbrugge some questions about his long career.

Earthquake Information Bulletin (USGS)↗

Status of groundwater quality in the Upper Santa Ana Watershed, November 2006--March 2007--California GAMA Priority Basin Project

Groundwater quality in the approximately 1,000-square-mile (2,590-square-kilometer) Upper Santa Ana Watershed (USAW) study unit was investigated as part of the Priority Basin Project of the Groundwater Ambient Monitoring and Assessment (GAMA) Program. The study unit is located in southern California in Riverside and San Bernardino Counties. The GAMA Priority Basin Project is being conducted by the California State Water Resources Control Board in collaboration with the U.S. Geological Survey and the Lawrence Livermore National Laboratory. The GAMA USAW study was designed to provide a spatially unbiased assessment of untreated groundwater quality within the primary aquifer systems in the study unit. The primary aquifer systems (hereinafter, primary aquifers) are defined as the perforation interval of wells listed in the California Department of Public Health (CDPH) database for the USAW study unit. The quality of groundwater in shallower or deeper water-bearing zones may differ from that in the primary aquifers; shallower groundwater may be more vulnerable to surficial contamination. The assessment is based on water-quality and ancillary data collected by the U.S. Geological Survey (USGS) from 90 wells during November 2006 through March 2007, and water-quality data from the CDPH database. The status of the current quality of the groundwater resource was assessed based on data from samples analyzed for volatile organic compounds (VOCs), pesticides, and naturally occurring inorganic constituents, such as major ions and trace elements. The status assessment is intended to characterize the quality of groundwater resources within the primary aquifers of the USAW study unit, not the treated drinking water delivered to consumers by water purveyors. Relative-concentrations (sample concentration divided by the health- or aesthetic-based benchmark concentration) were used for evaluating groundwater quality for those constituents that have Federal or California regulatory or non-regulatory benchmarks for drinking-water quality. A relative-concentration greater than (>) 1.0 indicates a concentration above a benchmark, and a relative-concentration less than or equal to (&le;) 1.0 indicates a concentration equal to or less than a benchmark. Organic and special-interest constituent relative-concentrations were classified as "high" (> 1.0), "moderate" (0.1 < relative-concentration &le; 1.0), or "low" (&le; 0.1). Inorganic constituent relative-concentrations were classified as "high" (> 1.0), "moderate" (0.5 < relative-concentration &le; 1.0), or "low" ( &le; 0.5). Aquifer-scale proportion was used as the primary metric in the status assessment for evaluating regional-scale groundwater quality. Aquifer-scale proportions are defined as the percentage of the area of the primary aquifer system with concentrations above or below specified thresholds relative to regulatory or aesthetic benchmarks. High aquifer-scale proportion is defined as the percentage of the area of the primary aquifers with a relative-concentration greater than 1.0 for a particular constituent or class of constituents; percentage is based on an areal, rather than a volumetric basis. Moderate and low aquifer-scale proportions were defined as the percentage of the primary aquifers with moderate and low relative-concentrations, respectively. Two statistical approaches&mdash;grid-based and spatially weighted&mdash;were used to evaluate aquifer-scale proportions for individual constituents and classes of constituents. Grid-based and spatially weighted estimates were comparable in the USAW study unit (within 90-percent confidence intervals). Inorganic constituents with human-health benchmarks had relative-concentrations that were high in 32.9 percent of the primary aquifers, moderate in 29.3 percent, and low in 37.8 percent. The high aquifer-scale proportion of these inorganic constituents primarily reflected high aquifer-scale proportions of nitrate (high relative-concentration in 25.3 percent of the aquifer), although seven other inorganic constituents with human-health benchmarks also were detected at high relative-concentrations in some percentage of the aquifer: arsenic, boron, fluoride, gross alpha activity, molybdenum, uranium, and vanadium. Perchlorate, as a constituent of special interest, was evaluated separately from other inorganic constituents, and had high relative-concentrations in 11.1 percent, moderate in 53.3 percent, and low or not detected in 35.6 percent of the primary aquifers. In contrast to the inorganic constituents, relative-concentrations of organic constituents (one or more) were high in 6.7 percent, moderate in 11.1 percent, and low or not detected in 82.2 percent of the primary aquifers. Of the 237 organic and special-interest constituents analyzed for, 39 constituents were detected (21 VOCs, 13 pesticides, 3 pharmaceuticals, and 2 constituents of special interest). All of the detected VOCs had health-based benchmarks, and five of these&mdash;1,1-dichloroethene, 1,2-dibromo-3-chloropropane (DBCP), tetrachloroethene (PCE), carbon tetrachloride, and trichloroethene (TCE)&mdash;were detected in at least one sample at a concentration above a benchmark (high relative-concentration). Seven of the 13 pesticides had health-based benchmarks, and none were detected above these benchmarks (no high relative-concentrations). Pharmaceuticals do not have health-based benchmarks. Thirteen organic constituents were frequently detected (detected in at least 10 percent of samples without regard to relative-concentrations): bromodichloromethane, chloroform, cis-1,2-dichloroethene, 1,1-dichloroethene, dichlorodifluoromethane (CFC-12), methyl tert-butyl ether (MTBE), PCE, TCE, trichlorofluoromethane (CFC-11), atrazine, bromacil, diuron, and simazine.

California↗

Content Metadata Standards for Marine Science: A Case Study

The U.S. Geological Survey developed a content metadata standard to meet the demands of organizing electronic resources in the marine sciences for a broad, heterogeneous audience. These metadata standards are used by the Marine Realms Information Bank project, a Web-based public distributed library of marine science from academic institutions and government agencies. The development and deployment of this metadata standard serve as a model, complete with lessons about mistakes, for the creation of similarly specialized metadata standards for digital libraries.

Open-File Report↗

Environmental Escherichia coli : Ecology and public health implications - A review

Escherichia coli is classified as a rod-shaped, Gram-negative bacterium in the family Enterobacteriaceae . The bacterium mainly inhabits the lower intestinal tract of warm-blooded animals, including humans, and is often discharged into the environment through feces or wastewater effluent. The presence of E. coli in environmental waters has long been considered as an indicator of recent fecal pollution. However, numerous recent studies have reported that some specific strains of E. coli can survive for long periods of time, and potentially reproduce, in extra-intestinal environments. This indicates that E. coli can be integrated into indigenous microbial communities in the environment. This naturalization phenomenon calls into question the reliability of E. coli as a fecal indicator bacterium (FIB). Recently, many studies reported that E. coli populations in the environment are affected by ambient environmental conditions affecting their long-term survival. Large-scale studies of population genetics provide the diversity and complexity of E. coli strains in various environments, affected by multiple environmental factors. This review examines the current knowledge on the ecology of E. coli strains in various environments in regards to its role as a FIB and as a naturalized member of indigenous microbial communities. Special emphasis is given on the growth of pathogenic E. coli in the environment, and the population genetics of environmental members of the genus Escherichia . The impact of environmental E. coli on water quality and public health is also discussed.

Journal of Applied Microbiology↗

Avian Species Inventory at Manzanar National Historic Site, California - Final Report to the National Park Service

We conducted a baseline inventory for avian species at Manzanar National Historic Site, Inyo County, Calif., from 2002 to 2005. Under the guidelines of the Mojave Network Biological Inventory Program, the primary objectives for this study were to (1) inventory and document the occurrence of avian species at Manzanar, with the goal of documenting at least 90 percent of the species present; (2) provide a geographic information system (GIS)-referenced list of sensitive species occurring at Manzanar that are rare, on Federal or State lists, or otherwise worthy of special consideration; and (3) enter all species data into the National Park Service NPSpecies database. Survey methods included general area searches, variable circular plot point-count censusing, nocturnal surveys, and nest searching. During 13 year-round survey sessions, we documented the occurrence of 132 bird species at Manzanar and confirmed breeding by 19 of these. Based on our findings, as well as review of the literature and searches for records of species occurrence, we estimate inventory completeness for regularly occurring bird species at Manzanar to be near 90 percent. No sensitive species on Federal or State lists were found. The distribution and relative abundance of common bird species at this site is now well enough known to begin development of a monitoring protocol for this group.

Open-File Report↗

A preliminary classification of wetland plant communities in north-central Minnesota

A classification of wetland plant communities was developed for a study area in north-central Minnesota in order to analyze data on waterfowl use of habitat that were gathered by radio telemetry. The classification employs features of several earlier classifications in addition to new classes for bogs and lakeshore communities. Brief descriptions are given for each community, and the important plant species are listed. Discriminant function analysis was used for 40 plant species. Seventy-five percent of the stands studied were classified correctly by this technique. Average probabilities of assignment to communities were calculated and helped to identify distinct and poorly defined communities as well as the relationship among communities.

Special Scientific Report - Wildlife↗