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Longitudinal patterns of fish assemblages, aquatic habitat, and water temperature in the Lower Crooked River, Oregon

The Lower Crooked River is a remarkable groundwater-fed stream flowing through vertical basalt canyons in the Deschutes River Valley ecoregion in central Oregon (Pater and others, 1998). The 9-mile section of the river between the Crooked River National Grasslands boundary near Ogden Wayside and river mile (RM) 8 is protected under the National Wild and Scenic Rivers Act (16 U.S.C. 1271-1287) for its outstandingly remarkable scenic, recreational, geologic, hydrologic, wildlife, and botanical values (ORVs), and significant fishery and cultural values. Groundwater springs flow directly out of the canyon walls into the Lower Crooked River and create a unique hydrologic setting for native coldwater fish, such as inland Columbia Basin redband trout (Oncorhynchus mykiss gairdneri). To protect and enhance the ORVs that are the basis for the wild and scenic designation, the Bureau of Land Management (BLM) has identified the need to evaluate, among other conditions, fish presence and habitat use of the Lower Crooked River. The results of this and other studies will provide a scientific basis for communication and cooperation between the BLM, Oregon Water Resources Department, Oregon Department of Fish and Wildlife (ODFW) and all water users within the basin. These biological studies initiated by the BLM in the region reflect a growing national awareness of the impacts of agricultural and municipal water use on the integrity of freshwater ecosystems. Biological surveys are needed to better understand the aquatic ecosystem of the Lower Crooked River. This baseline information will be valuable to public land managers whose task is to balance resource use while protecting the unique attributes (that is, ORVs) of the Lower Crooked River. The habitat requirements of coldwater fishes in this section of stream are of particular interest due to state and federal regulation of water temperature in order to protect and restore fish populations. Historical data on the distribution and abundance of stream fishes in the Lower Crooked River are limited to point observations by fishermen and local biologists because steep canyon walls have limited access to most of the river. Surveys of aquatic habitat (channel morphology and substrate composition) have been conducted for the BLM by the ODFW (Oregon Department of Fish and Wildlife, 1997), U.S. Forest Service (United States Forest Service, 2003), and the U.S. Fish and Wildlife Service (USFWS), but fish surveys using electrofishing gear have never been conducted in the isolated 11-mile section of the Crooked River Gorge, and visual observations with mask and snorkel have only been made at isolated point locations where hiking trails provide access to the river (K. Jones, Steve Marx, and Brett Hodgson, ODFW; P. Lickwar, USFWS; pers. comm.). Thus, there is a poor understanding of stream fish presence and distribution throughout Lower Crooked River. Information on fish assemblages is available for the Deschutes River basin and applies generally to the Lower Crooked River because the two rivers were connected historically (Zimmerman and Ratliff 2003). The construction of dams throughout the Deschutes River basin has eliminated historic runs of salmon and steelhead and prevented migration of bull trout and Pacific lamprey into the Crooked River system. Native fish species expected to occur in the Lower Crooked River include Columbia Basin redband trout ( Oncorhynchus mykiss gairdneri ), mountain whitefish ( Prosopium williamsoni ), sculpin ( Cottus spp.), two species of dace ( Rhinichthys spp.), two species of sucker ( Catostomus spp.), northern pikeminnow ( Ptychocheilus oregonensis ), chiselmouth ( Acrocheilus alutaceus ), and redside shiner ( Richardsonius balteatus ). Threespine stickleback ( Gasterosteus aculeatus ), a species native to western Oregon, also occurs in the basin but is believed to be introduced (D. Markle, Department of Fisheries and Wildlife, Oregon State University, personnel commun.). Extensive stocking of rainbow trout has contributed to a large population of naturalized fish of hatchery origin in the Lower Crooked River. Due to the difficulty of differentiating between wild redband trout and naturalized rainbow trout of hatchery origin, the general classification of rainbow trout ( Oncorhynchus mykiss ) is used throughout this report to describe the fish that were observed in the Lower Crooked River. Exotic fish species expected to occur in the Lower Crooked River include large- and smallmouth bass ( Micropterus spp.), yellow perch ( Perca flavescens ), and brown bullhead (Ameiurus nebulosis) (Zimmerman and Ratliff 2003). The goal of this project was to examine longitudinal patterns in fish assemblages, aquatic habitat, and water temperature in the Lower Crooked River during summer conditions. Specific objectives were to (1) characterize the spatial distribution of native and non-native fishes, (2) describe variation in channel morphology, substrate composition, and water temperature, and (3) evaluate the associations between fishes, aquatic habitat, and water temperature.

Oregon

Cruise report for a seismic investigation of gas hydrates in the Mississippi Canyon region, northern Gulf of Mexico: Cruise M1-98-GM

During June 1998, the U.S. Geological Survey (USGS) and the University of Mississippi Marine Minerals Technology Center (MMTC) conducted a 12-day cruise in the Mississippi Canyon region of the Gulf of Mexico (Fig. 1). The R/V Tommy Munro, owned by the Marine Research Institute of the University of Southern Mississippi, was chartered for the cruise. The general objective was to acquire very high resolution seismic-reflection data across of the upper and middle continental slope (200-1200-m water depths) to study the acoustic character, distribution and potential effects of gas hydrates within the shallow subsurface, extending from the sea floor down to the base of the gas-hydrate stability zone. The Gulf of Mexico is well known for hydrocarbon resources that include petroleum and related gases. Areas of the Gulf that lie in waters deeper than about 250 m potentially have conditions (e.g., pressure, temperature, near-surface gas content, etc.) that are right for the shallow-subsurface formation of the ice-like substance (gas and water) known as gas hydrate (Kvenvolden, 1993). Gas hydrates have previously been sampled in sea-floor cores and observed as massive mounds in several parts of the northern Gulf, including the Mississippi Canyon region (e.g., Anderson et al., 1992). Extensive seismic data have been recorded in the Gulf, in support of commercial drilling efforts, but few very high resolution data exist in the public domain to aid in gas-hydrate studies. Studies of long-term interest include those on the resource potential of gas hydrates, the geologic hazards associated with dissociation and formation of hydrates, and the impact, if any, of gas-hydrate dissociation on atmospheric warming (i.e., via release of methane, a "greenhouse" gas). Several very high resolution seismic systems (surface-towed, deep-towed, and sea-floor) were used during the cruise to test the feasibility of using such data for detailed structural (geometric) and stratigraphic (physical property) analyses based on the acoustic data. The cruise was conducted in two regions, on opposite flanks of the Mississippi Canyon, where gas hydrates are known and suspected from prior coring and seismic operations (e.g., Neurauter and Bryant, 1989). The regions are also characterized by thick surficial, relatively young (Pleistocene and younger) sediments. Swath-bathymetry data (Fig. 2) show extensive sea-floor faults, piercement features, and slumps—features whose development could potentially be related to gas hydrates. The specific objectives of the cruise were (a) to image the gas-hydrate stability zone across the continental margin to document bottom-simulating reflections (BSRs) and changes in geometry of the hydrate stability zone; (b) to image known hydrate features (with several seismic systems) to estimate physical properties for hydrate and non-hydrate areas; (c) to outline the shallow structures of the hydrate stability zone to ascertain their potential effects on the formation/distribution of hydrates and on stability of the sea floor; and (d) to estimate, if possible, the amounts of hydrates present in the shallow sub surface. During the cruise about 850 km of multichannel and single-channel seismic data were recorded. Seismic measurements at nine ocean-bottom seismometer (OBS) stations were recorded for several of the multichannel tracklines (see Fig. 3 in report). The following report describes the field operations and equipment systems employed, gives two examples of ship-board seismic records, and outlines a few preliminary results.

Open-File Report

Results of the second phase of the drought-disaster test-drilling program near Morristown, N.J.

The continued drought in northeastern New Jersey through the summer of 1966 with its attendant water-supply problems resulted in an extension of the drought-disaster test-drilling program originally requested by the Office of Emergency Planning on August 30, 1965. Authorization to continue test drilling was fiven by the Office of Emergency Planning on September 26, 1966, with the stipulation that all field work be complete by January 31, 1977. Contractural costs were paid by the Office of Emergency Planning, whereas personnel costs were shared by the U.S. Geological Survey and the New Jersey Department of Conservation and Economic Development, Division of Water Policy and Supply. The work undertaken in 1965 by the Geological Survey was "...to preform the necessary drilling and testing of wells to identify the extent and nature of a reserve ground-water source in the vicinity of the Passaic River near the northern New Jersey metropolitan area." Results of this first phase were made available in the fall of 1966 in Water Resources Circular 16 of the New Jersey Department of Conservation and Economic Development. Three of the five areas tested (figure 1)--two in Parsippany-Troy Hills Township (areas 2 and 4) and one in East Hanover Township (area 1), Morris County--proved capable of providing an aggregate sustained yield of 7.5 million gallons daily (mgd) from wells constructed in sand and gravel deposits. Because significant supplies of ground water for emergency use were located in the first phase of the exploratory test-drilling program, it was though desirable to extend the originally planned studies so as to obtain maximum practicable information on emergency supplies. During this second phase of the investigation, drilling was conducted in 16 sites in Chatham, Madison, and Florham Park Boroughs and in Hanover and East Hanover Townships, Morris County. (See figure 2.) The drilling in Hanover and East Hanover Townships, and part of the drilling done in Florham Park was to explore the availability of large undeveloped ground-water supplies. Drilling in Chatham, Madison, and Florham Park Boroughs was done primarily to determine the extent and continuity of buried valley-fill aquifers, so that a full evaluation of the effects of pumpage from other areas on these already heavily pumped areas could be made. In addition, it was anticipated that the drilling could help in defining the feasibility of artificial recharge of the heavily pumped areas and in the determination of the prospective method of recharge and points of emplacement. Arrangements for easements with landowners, preparation of specifications for well drilling and seismic work, and supervision of well drilling and seismic contracts were all performed by the New Jersey District, Water Resources Division of the Geological Survey. Prior to the test drilling, seismic exploration under contract with Alpine Geophysical Associates of Norwood, N. J. was conducted at five locations in the Chatham-Madison-Florham Park area and at one place in Parsippany-Troy Hills Township. The seismic work was done to determine the most favorable location for a test well at several potential test-well sites and to help in the interpretation of subsurface geology between test sites. Contracts for the drilling of the test holes were awarded during November and drilling commences on November 30. Kaye Well drilling, Inc. of Jackson, N. J. was the recipient of a contract for eight of the test holes, and a second contract was awarded to Rinbrand Well Drilling Co., Inc. of Glen Rock, N. J.--also for eight test holes. Acknowledgment is due to the many public officials of Chatham, Madison, Florham Park, Morristown, and East Hanover Township as well as officials of the Braidburn Corporation and Esso Research and Engineering Co., who cooperated by making their lands available for exploration.

New Jersey

Integrated geoscience studies in the Greater Yellowstone Area - Volcanic, tectonic, and hydrothermal processes in the Yellowstone geoecosystem

Yellowstone National Park, rimmed by a crescent of older mountainous terrain, has at its core the Quaternary Yellowstone Plateau, an undulating landscape shaped by forces of volcanism, tectonism, and later glaciation. Its spectacular hydrothermal systems cap this landscape. From 1997 through 2003, the United States Geological Survey Mineral Resources Program conducted a multidisciplinary project of Yellowstone National Park entitled Integrated Geoscience Studies of the Greater Yellowstone Area, building on a 130-year foundation of extensive field studies (including the Hayden survey of 1871, the Hague surveys of the 1880s through 1896, the studies of Iddings, Allen, and Day during the 1920s, and NASA-supported studies starting in the 1970s—now summarized in USGS Professional Paper 729 A through G) in this geologically dynamic terrain. The project applied a broad range of scientific disciplines and state-of-the-art technologies targeted to improve stewardship of the unique natural resources of Yellowstone and enable the National Park Service to effectively manage resources, protect park visitors from geologic hazards, and better educate the public on geologic processes and resources. This project combined a variety of data sets in characterizing the surficial and subsurface chemistry, mineralogy, geology, geophysics, and hydrothermal systems in various parts of the park. The sixteen chapters presented herein in USGS Professional Paper 1717, Integrated Geoscience Studies in the Greater Yellowstone Area—Volcanic, Tectonic, and Hydrothermal Processes in the Yellowstone Geoecosystem , can be divided into four major topical areas: (1) geologic studies, (2) Yellowstone Lake studies, (3) geochemical studies, and (4) geophysical studies. The geologic studies include a paper by Ken Pierce and others on the influence of the Yellowstone hotspot on landscape formation, the ecological effects of the hotspot, and the human experience and human geography of the greater Yellowstone ecosystem as influenced by the Yellowstone hotspot. Another paper by Paul Carrara describes the recent movement of a large landslide block dated by tree-ring analyses in the Tower Falls area. The section under Yellowstone Lake studies begins with a classic paper by J. David Love and others on ancestral Lake Yellowstone. Other papers in this section include results and interpretation of the high-resolution bathymetric, seismic reflection, and submersible studies by Lisa Morgan and others. Ken Pierce and others describe results from their studies of shorelines along Yellowstone Lake and their interpretation of inflation-deflation cycles, tilting, and faulting in the Yellowstone caldera. The influence of sublacustrine hydrothermal vent fluids on the geochemistry of Yellowstone Lake is described by Laurie Balistrieri and others. In Pat Shanks and others’ chapter, hydrothermal reactions, stable-isotope systematics, sinter deposition, and spire formation are related to the geochemistry of sublacustrine hydrothermal deposits in Yellowstone Lake. The geochemical studies section considers park-wide geochemical systems in Yellowstone National Park. In Bob Rye and Alfred Truesdell’s paper, the question of recharge to the deep thermal reservoir underlying the geysers and hot springs of Yellowstone National Park is discussed. Irving Friedman and Dan Norton report on the chloride flux emissions from Yellowstone in their paper questioning whether Yellowstone is losing its steam. Wildlife issues as addressed by examining trace-element and stable-isotope geochemistry are discussed in a chapter by Maurice Chaffee and others. In another chapter by Chaffee and others, natural and anthropogenic anomalies and their potential impact on the environment using geochemistry is reported. Pam Gemery-Hill and others present geochemical data for selected rivers, lake waters, hydrothermal vents, and subaerial geysers for the time interval of 1996–2004. The life cycle of gold deposits near the northeast corner of the park is discussed by Brad Van Gosen. Under the geophysical studies segment, Ray Kokaly and others use AVIRIS (Airborne Visible and Infrared Spectroscopy) data to map vegetation cover and microbial communities in Yellowstone National Park. Eric Livo and others report their results using AVIRIS data on hydrothermally altered rock and hot-spring deposits. In his final paper following a half century of scientific research, Irving Friedman presents data on monitoring changes in geothermal activity at Norris Geyser Basin using satellite telemetry. These papers summarize a near-decade-long effort by the USGS from the late 1990s to mid-2000s. In 2001, the USGS in cooperation with the National Park Service (Yellowstone National Park) and the University of Utah established the Yellowstone Volcano Observatory, the 5th volcano observatory in the United States.

Professional Paper

Refining sources of polychlorinated biphenyls in the Back River watershed, Baltimore, Maryland, 2018–2020

Older urban landscapes present unique and complex stressors to urban streams and their habitats through the introduction of legacy and emerging toxic contaminants. Contaminant sources are often associated with various developed land uses such as older residential areas, active and former industrial sites, contaminated sites, and effluents from municipal wastewater treatment plant discharges. These landscapes have a history of legacy contaminant use such as polychlorinated biphenyls (PCBs) resulting in impacts to sediment and water in these complex environments. Despite the ban of PCBs in new commercial use in 1979, PCB contamination is still widespread in the environment, with many fish consumption advisories throughout the Chesapeake Bay region based on elevated PCBs. Several watersheds in the Baltimore region have mandated reductions in PCBs per total maximum daily loads in tidal waters of the watersheds in order to promote compliance with water quality standards. Some of these mandated reductions (for example, regulated watershed runoff) specified in the total maximum daily loads are the responsibility of the local jurisdictions as part of their phase 1 National Pollutant Discharge Elimination System municipal separate storm sewer system permit. In cooperation with the Baltimore City Department of Public Works and Maryland Department of the Environment, the U.S. Geological Survey and University of Maryland, Baltimore County conducted a study from 2018 to 2020 to refine the sources of PCBs from the City of Baltimore into Back River and to use the results to improve the conceptual site model of PCBs in the Back River watershed. PCB concentrations in the water column of the nontidal streams in Back River watershed are relatively consistent throughout both tributaries, with greater concentrations detected in samples collected from Moores Run but greater loads estimated in samples collected from Herring Run. PCB concentrations measured in the bed sediments and analysis of the flux between sediment porewater (hereafter porewater) and surface water within the tributaries suggest that there are no stationary legacy sources within the stream channels. The bulk of PCB mass entering the system from these nontidal tributaries appears to be introduced primarily during storm events. While only one storm event was sampled and concentrations were quantified only in Herring Run, solids captured during the storm were characterized by increases in PCB mass and overall suspended solids concentrations. Although the bioavailability of the PCB-associated sediment is unknown, this mechanism appears to warrant additional attention to better understand how concentrations vary under different storm conditions and temporally. The importance of contaminated stormwater in loading to Herring Run is further supported by the PCB concentrations in storm drain sediments collected near the tributary, which were present in higher concentrations and were characterized by different homolog signatures compared to that in bed sediments. The observations in the tributaries differed from PCB concentrations and sediment characteristics downstream from the City of Baltimore boundary, in the upper tidal area of the main stem of Back River, particularly at the passive sampler locations BRT–1 and BRT–3. This depositional environment is characterized by higher organic content in sediments and higher concentrations of PCBs in porewater, which result in the possible flux of contaminants from sediment to the water column. This flux is generally opposite of that observed in the nontidal tributaries and the farthest upstream tidal site (BRT–2) and may be a result of the possible settling of sediment particles introduced via suspended solids in stormwater. Despite an observed considerable reduction in overall PCB mass loading to and from the Back River Wastewater Treatment Plant (BRWWTP) (and similar reductions observed in biosolids) compared to the estimates previously reported from 2015, effluent from the BRWWTP continues to be a primary source of PCBs to Back River. The current study confirmed the likeliness of fat, oil, and grease deposits within the miles of sewer pipe as a source of PCBs to the BRWWTP influent. The differences between PCB concentrations in fat, oil, and grease deposits found in pipes (during replacement) compared to that of the BRWWTP suggest that legacy deposits may contain higher PCB concentrations and may act as a source of PCBs to passing sewage, eventually entering the BRWWTP. Variation in freely dissolved concentrations in the sewer system was apparent through the analysis of PCBs in the primary pump stations using passive sampling, with the largest contribution to the influent attributed to a single pump station and associated piping. The contribution of PCBs to Herring Run and Moores Run via sanitary sewer overflows compared to the BRWWTP effluent is negligible, similar to reports from another large urban wastewater treatment plant. Therefore, decreased occurrence of sanitary sewer overflows is not expected to largely decrease PCB loads. Results of this study suggest that targeted, sediment-capture best management practices in Back River watershed could be an effective way to reduce PCB mass loading assuming that deposited contaminated sediments are effectively isolated. Recent studies of some common urban best management practices such as bioretention have shown removal of PCBs within the stormwater control structures. In addition, appropriately timed street sweeping practices with appropriate collection equipment may be an effective way to reduce contaminants such as PCBs from road runoff sources. Reductions in concentrations and mass loading within the sewer system measured in this study compared to that estimated 5 years prior reflect the possible success of ongoing gray infrastructure management actions. Reductions may be attributable to enhanced nutrient reduction upgrades to the BRWWTP and extensive capital improvements and maintenance to the sewer system. This study employed a combined sampling approach and a variety of sampling methods to include low-density polyethylene passive samplers, high-volume water samples, and grab samples of both water and sediment to characterize the PCB inputs to Herring Run, Moores Run, and Back River. Incorporating the passive samplers provided a time-weighted average of the freely dissolved concentration in the surface water, porewater, WWTP influent and effluent, and pump station influent over the deployment period with picogram per liter detection limits. A similar monitoring approach from this study could be implemented within other subwatersheds or municipal separate storm sewer system jurisdictions to assist in refining primary sources of PCBs in order to inform appropriate mitigation approaches.

Maryland

Characterization and data-gap analysis of surface-water quality data in the Piceance study area, western Colorado, 1959–2009

The U.S. Geological Survey, in cooperation with Federal, State, county, and industry partners, developed a Web-accessible common data repository to provide access to historical and current (as of August 2009) water-quality information (available on the Internet at http://rmgsc.cr.usgs.gov/cwqdr/Piceance/index.shtml ). Surface-water-quality data from public and private sources were compiled for the period 1931 to 2009 and loaded into the common data repository for the Piceance Basin. A subset of surface-water-quality data for 1959 to 2009 from the repository were compiled, reviewed, and checked for quality assurance for this report. This report contains data summaries, comparisons to water-quality standards, trend analyses, a generalized spatial analysis, and a data-gap analysis for select water-quality properties and constituents. Summary statistics and a comparison to standards were provided for 347 sites for 33 constituents including field properties, nutrients, major ions, trace elements, suspended sediment, Escherichia coli, and BTEX (benzene, toluene, ethylbenzene, and xylene). When sufficient data were available, trends over time were analyzed and loads were calculated for those sites where there were also continuous streamflow data. The majority of sites had information on field properties. Water temperature data was available for 316 sites where data were collected between 1959 and 2009. The only trend that was detected in temperature was an upward trend at the Gunnison River near Grand Junction, Colorado. There were 326 values out of a total of 32,006 values in the study area that exceeded the aquatic-life standard for daily maximum water temperature. For the entire study area, 196 sites had dissolved-oxygen data collected between 1970 and 2009, and median dissolved-oxygen concentrations ranged from 6.8 to11.2 milligrams per liter (mg/L). There were 185 concentrations that exceeded the dissolved oxygen aquatic-life standard out of a total of 11,248 values. The pH data were available for 276 sites, and median pH values ranged from 7.5 to 9.0. There were 241 values that exceeded the high pH standard and 13 values that were less than the low pH standard of the 16,790 values in the study area. Nutrients within the study area were not well represented in each basin and were often not being sampled currently. For the entire study area, 62 sites had nitrate data collected between 1958 and 2009, and median nitrate concentrations ranged from less than detection to 3.72 mg/L as nitrogen. The maximum contaminant level for domestic water supply for nitrate is 10 mg/L and was exceeded once in 3,736 samples. Total phosphorus was collected at 113 sites between 1974 and 2009, and median total phosphorus concentrations ranged from less than detection to 5.04 mg/L. The U.S. Environmental Protection Agency recommendation for phosphorus is less than 0.1 mg/L, and 1,469 of 4,842 samples exceeded this recommended standard. An upward trend in both nitrate and total phosphorus was detected in the White River above Coal Creek near Meeker, Colo. Standards for major ions exist only for chloride and sulfate. For the entire study area, 118 sites had both chloride and sulfate concentration data collected between 1958 and 2009. Median chloride concentrations ranged from 0.085 mg/L to 280 mg/L. Median sulfate concentrations ranged from 4.57 mg/L to 15,000 mg/L. Both chloride and sulfate domestic water-supply standards are 250 mg/L. There were 120 chloride concentrations and 1,111 sulfate concentration samples that exceeded these standards. A downward trend in dissolved solids was detected at the Colorado River near the Colorado-Utah state border and could be a result of salinity control work near Grand Junction, Colo. Trace elements were relatively well represented both temporally and spatially in the study area though the number of trace element samples per site was not typically enough to compute trends or loads except for selenium. There were 127 sites that had dissolved iron concentration data collected between 1961 and 2009, and median iron concentrations ranged from less than detection to 1,100 micrograms per liter (µg/L). The 30-day drinking-water standard for iron is 300 µg/L, and 203 samples exceeded the standard. Selenium was the best represented trace element with selenium concentration data collected at 197 sites between 1973 and 2009, and median selenium concentrations range from less than detection to 181 µg/L. The chronic standard of 4.6 µg/L for selenium concentrations was exceeded in 899 samples, and the acute aquatic-life standard of 18.4 µg/ for selenium was exceeded in 629 samples. High concentrations of selenium are of concern in the Lower Gunnison River Basin because of the combination of geologic formations and land use. There were significant downward trends in selenium at both main-stem sites on the Gunnison River at Delta, Colo., and the Gunnison River near Grand Junction, Colo. High selenium concentrations correlate with high salinity concentrations; thus, when salinity control efforts are conducted in selenium-rich areas in the Lower Gunnison River Basin, both salinity and selenium have the potential to decrease. Spatial, temporal, and analytical data gaps were identified in the study area. The spatial coverage of sampling sites could be expanded in the White River Basin by adding more tributary sites. No water-quality data exist for tributary streams in the area north of Rangely, Colo., where extensive energy development has occurred in a complex geologic setting. Douglas Creek has a drainage area of 425 square miles and has limited historic water-quality and water-quantity data. Limited data were available for field properties, major ions, nutrients, and trace elements on the main stem of the Colorado River between Glenwood Springs and Cameo, Colo. Nutrient data were minimally collected upstream from Colorado River at the Colorado-Utah state border and on the Gunnison River (major tributary in the reach). Approximately 30 percent of the samples for total phosphorus in the Lower Gunnison River Basin exceeded the recommended standard, yet there were insufficient data to do trends analysis in the Lower Gunnison River Basin except at the Gunnison near Grand Junction site. There is limited trace element data except for selenium in the Lower Gunnison River Basin. Additional sampling is necessary to understand the occurrence, concentrations, and loads of these constituents.

Colorado

Annotated bibliography of scientific research relevant to oil and gas reclamation best management practices in the western United States, published from 1969 through 2020

Integrating recent scientific knowledge into management decisions supports effective natural resource management and can lead to better resource outcomes. However, finding and accessing scientific knowledge can be time consuming and costly. To assist in this process, the U.S. Geological Survey has created a series of annotated bibliographies on topics of management concern for lands in the western United States (U.S.). Oil and gas development on public lands is a long-standing and substantial component of local and regional economies and has expanded in recent decades, particularly on public lands in the western U.S. This development is associated with extensive networks of pipelines, roads, and processing facilities, across which reclamation is Federally mandated following initial well pad development (“interim” reclamation) and once resource extraction is complete (“final” reclamation). Reclamation is critical for recovering ecological services to energy-affected lands, including vegetation productivity, wildlife habitat, water and air quality, and soil stability (for example, resistance to wind and water erosion). However, reclamation of oil and gas affected lands in the western U.S. has proved challenging due to an array of regulatory and environmental factors, such as minimally developed soils, short growing seasons, herbivory, high winds, invasive species, rugged terrain, and in particular, arid climates associated with low total precipitation, high evapotranspiration rates, and highly variable precipitation patterns. We compiled and summarized journal articles, government reports, technical reports, proceedings, and theses and dissertations relevant to oil and gas reclamation. We constrained our search to products published on or before December 31, 2020 but did not limit our search by a starting date; the earliest product resulting from this effort was published in March 1969. Second, we manually scanned the last 15 years (2005-2020) of tables of contents in journals, bibliographies, and proceedings of which we were aware would contain articles highly relevant to this bibliography. We carried out the search for these products through multiple means: (1) performing a structured search of two reference databases, (2) examining articles published since 2005 in highly relevant scientific journals and conference proceedings, and (3) reviewing additional material suggested by authors of products identified in steps 1 and 2. Our search was intentionally broad in order to identify as much relevant work as possible, much of which is professionally applied and tested within the industry of oil and gas reclamation, but which remains unpublished in scientific journals. We refined the initial list of products by removing: (1) duplicates, (2) products not written in English, (3) products that were not relevant to the arid ecosystems of western North America, (4) products that were not released as research, data products, or review articles in journals or as formal scientific reports, and (5) products with data which were not relevant to reclamation of oil and gas-affected lands, or for which the study did not present new data, findings, or syntheses relevant to reclamation of oil and gas-affected lands. We summarized each product using a consistent structure (background, objectives, methods, location, findings, and implications) and assigned standardized management topics to each. Management topics are intended to aid online searching within the bibliography and are described in more detail in the Methods Section of this report; they include what type of disturbance the product addresses (well pads, mining, pipelines), what aspect of oil and gas reclamation they pertain to (practices, standards, monitoring), what type of data are present in the product (for instance soil or vegetation recovery data), and an indication if the product were from a source other than a published, peer-reviewed outlet (such as dissertations or unpublished professional reports – these are identified as grey literature). The review process for this annotated bibliography included an initial internal colleague review of each summary, requesting input on each summary from an author of the original product, and a formal peer-review. Our initial searches resulted in 3,197 total products, of which 290 met our criteria for inclusion. “Reclamation Practices” is by far the management topic most addressed, followed by “Reclamation Monitoring,” for example, products assessing what and how monitoring methods are used to track and measure reclamation outcome. This document may be accessed at https://doi.org/10.3133/ofr20231068 or from the U.S. Geological Survey Publication Warehouse ( https://pubs.usgs.gov/ ). The 1-page product summaries herein will also be used to create a bibliography at https://apps.usgs.gov/science-for-resource-managers that includes links to each original product, where available, and in which subject matter will be searchable by topic, location, and year. The studies compiled and summarized here may inform planning and management actions that seek to reclaim landscapes across the western U.S. which have been affected by oil and gas development.

Open-File Report

The Grouse & Grazing Project: Effects of cattle grazing on demographic traits of greater sage-grouse

Greater sage-grouse (Centrocercus urophasianus) were once widespread within sagebrush -grassland ecosystems of western North America, but populations have declined since the mid-1960s. Though sage-grouse were not listed as threatened or endangered under the Endangered Species Act (ESA), when examined in 2015, they remain a species of interest and concern. Roughly half of the sage-grouse’s remaining habitat is on federal land, most of it managed by the Bureau of Land Management (BLM) and the U.S. Forest Service (USFS). Livestock grazing is the most extensive land use within sage-grouse habitat and the effects of livestock grazing on sage-grouse are often debated. The extensive decade-long research project summarized in this report was initiated to provide rigorous experimental research to inform the debate regarding the relationship between livestock grazing and sage-grouse. In 2012, the Idaho Grouse & Grazing Project was started with several partners including the University of Idaho, BLM, Idaho Department of Fish and Game (IDFG), and other partners to evaluate the effects of cattle grazing on sage-grouse vital rates. Many additional supporters have provided resources to this research effort including the Public Lands Council, Idaho Cattle Association, Idaho Governor’s Office of Species Conservation, Western Association of Fish & Wildlife Agencies, U.S. Fish and Wildlife Service, USFS, and numerous grazing associations and ranchers in Idaho. This 10-year research project was a scientifically rigorous and replicated experiment, occurring across five study sites in Idaho. This document is intended to provide a summary of the findings of this unprecedented study. Annual reports are available on the project’s website: https://idahogrousegrazing.org and scientific papers are being prepared and submitted to journals. The project focused on the influence of spring cattle grazing on sage-grouse vital rates across five study sites in Idaho including 21 BLM grazing pastures. From 2014-2023, we captured 1,343 grouse, documented the fate of 1,285 nests, and tracked 399 broods. Vegetation was characterized at 4,777 plots and grazing utilization levels were recorded at >30,000 locations. Because insects are an important food source for sage-grouse hens and their chicks, insect biomass and diversity were also examined in this study. We collected arthropods in 12,151 pitfall samples and 6,217 sweep-net samples across 786 plots within our five study sites. At each study site, three or four grazing treatments were implemented after two years of pre-treatment field investigations. These controlled cattle grazing treatments included spring-grazing in even years, spring-grazing in odd years, spring-and-fall grazing in alternating years, and a no grazing (or rested) control. Once grazing treatments were implemented at a study site, we measured sage-grouse demographic traits for 4-8 years post-treatment. Stocking rate (grazing intensity) was assessed across pastures each year and was influenced by vegetation communities, topography, and water sources. Grazed pastures exhibited lower grass cover and height compared to the no grazing pastures, and the extent of this difference varied based on annual precipitation levels. Rested pastures maintained higher grass cover and grass height, but the differences in habitat structure did not consistently translate to differences in sage-grouse demographic traits. Apparent nesting success varied annually and by site, ranging from 24% to 44% over the study period. Like some other studies, results from this research show that successful (i.e., hatched) sage-grouse nests have taller grass heights than failed nests. The average grass height surrounding successful nests in grazed pastures was shorter than that surrounding successful nests in non-grazed (i.e., rested) pastures. It is well documented that grazing reduces grass height, and these observations have led to widely held assumptions that livestock grazing reduces grass height which negatively affects sage-grouse nesting habitat. At the pasture scale, this study has found that sage-grouse nesting success is no greater in pastures that were rested for 4-8 years than those currently or recently grazed. This study gives no indication that removing cattle from pastures affected nesting success. We found some evidence that nest density varied among the grazing treatments, but we did not see compelling evidence of increases in density of nesting hens following cessation of grazing in the no grazing treatments. Brood survival varied by site and year but showed no strong effect of grazing treatment. Climatic conditions, particularly drought in 2021, had a greater effect on brood survival than grazing metrics. We also found no differences in hen survival among the grazing treatments. Results of this study suggest that hens nesting in spring and fall grazed pastures had similar or even slightly higher brood survival than hens in the rested pastures or the spring grazed pastures. Arthropod biomass and species diversity varied among our study sites and the differences between grazed and rested pastures also varied among study sites. Average biomass and diversity of arthropods was higher in the spring grazed pastures on two of three sites examined but higher in the rested pastures on the other site examined. Some taxa of arthropods were more abundant in grazed pastures while other taxa were more abundant in rested pastures. For example, Carabidae (Ground Beetles) and Formicidae (Ants) had higher biomass in grazed pastures, while Tenebrionidae (Darkling Beetles) and Acrididae (Grasshoppers) had higher biomass in non-grazed pastures. Results indicate that grazing effects on arthropod biomass and arthropod diversity are study site-dependent, suggesting a need to better quantify the most important prey taxa for sage-grouse chicks and to better control for other factors that influence arthropod abundance. Based on results of this research, livestock grazing, when properly managed, does not appear to negatively impact sage-grouse nest survival or brood success. This study provides critical insights for land managers balancing livestock production with sage-grouse conservation, supporting adaptive grazing strategies that maintain both economic and ecological objectives.

Idaho