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Arctic National Wildlife Refuge, Alaska, Coastal Plain Resource Assessment: Report and recommendation to the Congress of the United States and final legislative environmental impact statement

The Arctic National Wildlife Refuge, in the northeastern corner of Alaska, was first established as the Arctic National Wildlife Range by Public Land Order 2214 in 1960, for the purpose of preserving unique wildlife, wilderness, and recreational values. The original 8.9-millionacre Range was withdrawn from all forms of appropriation under the public land laws, including mining laws but not including mineral leasing laws. This order culminated extensive efforts begun more than a decade earlier to preserve this unique part of Alaska. The following report analyzes the potential environmental consequences of five management alternatives for the coastal plain, ranging from opening for lease of the entire area for oil and gas development, to wilderness designation. A legislative environmental impact statement has been integrated into the report.

Alaska

Biological monitoring of environmental quality: The use of developmental instability

Distributed robustness is thought to influence the buffering of random phenotypic variation through the scale-free topology of gene regulatory, metabolic, and protein-protein interaction networks. If this hypothesis is true, then the phenotypic response to the perturbation of particular nodes in such a network should be proportional to the number of links those nodes make with neighboring nodes. This suggests a probability distribution approximating an inverse power-law of random phenotypic variation. Zero phenotypic variation, however, is impossible, because random molecular and cellular processes are essential to normal development. Consequently, a more realistic distribution should have a y-intercept close to zero in the lower tail, a mode greater than zero, and a long (fat) upper tail. The double Pareto-lognormal (DPLN) distribution is an ideal candidate distribution. It consists of a mixture of a lognormal body and upper and lower power-law tails.

Journal of Environmental Engineering

Thermal and energetic constraints on ectotherm abundance: A global test using lizards

Population densities of birds and mammals have been shown to decrease with body mass at approximately the same rate as metabolic rates increase, indicating that energetic needs constrain endotherm population densities. In ectotherms, the exponential increase of metabolic rate with body temperature suggests that environmental temperature may additionally constrain population densities. Here we test simple bioenergetic models for an ecologically important group of ectothermic vertebrates by examining 483 lizard populations. We find that lizard population densities decrease as a power law of body mass with a slope approximately inverse to the slope of the relationship between metabolic rates and body mass. Energy availability should limit population densities. As predicted, environmental productivity has a positive effect on lizard density, strengthening the relationship between lizard density and body mass. In contrast, the effect of environmental temperature is at most weak due to behavioral thermoregulation, thermal evolution, or the temperature dependence of ectotherm performance. Our results provide initial insights into how energy needs and availability differentially constrain ectotherm and endotherm density across broad spatial scales. ?? 2008 by the Ecological Society of America.

Ecology

Managing biological diversity

Biological diversity is the variety of life and accompanying ecological processes (Off. Technol. Assess. 1987, Wilcove and Samson 1987, Keystone 1991). Conservation of biological diversity is a major environmental issue (Wilson 1988, Counc. Environ. Quality 1991). The health and future of the earth's ecological systems (Lubchenco et al. 1991), global climate change (Botkin 1990), and an ever-increasing rate in loss of species, communities, and ecological systems (Myers 1990) are among issues drawing biological diversity to the mainstream of conservation worldwide (Int. Union Conserv. Nat. and Nat. Resour. [IUCN] et al. 1991). The legal mandate for conserving biological diversity is now in place (Carlson 1988, Doremus 1991). More than 19 federal laws govern the use of biological resources in the United States (Rein 1991). The proposed National Biological Diversity Conservation and Environmental Research Act (H.R. 585 and S.58) notes the need for a national biological diversity policy, would create a national center for biological diversity research, and recommends a federal interagency strategy for ecosystem conservation. There are, however, hard choices ahead for the conservation of biological diversity, and biologists are grappling with how to set priorities in research and management (Roberts 1988). We sense disillusion among field biologists and managers relative to how to operationally approach the seemingly overwhelming charge of conserving biological diversity. Biologists also need to respond to critics like Hunt (1991) who suggest a tree farm has more biological diversity than an equal area of old-growth forest. At present, science has played only a minor role in the conservation of biological diversity (Weston 1992) with no unified approach available to evaluate strategies and programs that address the quality and quantity of biological diversity (Murphy 1990, Erwin 1992). Although actions to conserve biological diversity need to be clearly defined by viewing issues across biological, spatial, and temporal scales (Knopf and Smith 1992), natural resource managers find much conflicting information in the literature on strategies and programs for the conservation of biological diversity (Ehrlich 1992). Moreover, recommendations provided in much of the published information available for planning or decisions not only can be debated but may prove counterproductive if implemented. Current operational efforts beg for clearer focus on fundamental concepts central to daily decisions that impact native biological diversity. Recognizing that many biologists would provide different council and at the risk of oversimplification, we offer the following 4 topical issues as fundamental guidance to wise conservation action. These recommendations are based on our collective experiences working within conservation agencies since our original, collaborative essay (Samson and Knopf 1982). They are offered as initial, rather than authoritative, steps to better align research and management decisions with what we perceive as the critical issues in conserving biological diversity at the landscape and ecosystem levels of resolution.

Wildlife Society Bulletin

Environmental Assessment for a Marine Geophysical Survey of Parts of the Arctic Ocean, August-September 2010

According to the United Nations Convention on the Law of the Sea (UNCLOS), individual nations? sovereign rights extend to 200 nautical miles (n.mi.) (370 km) offshore or to a maritime boundary in an area called the continental shelf. These rights include jurisdiction over all resources in the water column and on and beneath the seabed. Article 76 of UNCLOS also establishes the criteria to determine areas beyond the 200 n.mi. (370 km) limit that could be defined as ?extended continental shelf,? where a nation could extend its sovereign rights over the seafloor and sub-seafloor (As used in UNCLOS, ?continental shelf? refers to a legally defined region of the sea floor rather than a morphological shallow-water area adjacent to continents commonly used by geologists and hydrographers.). This jurisdiction provided in Article 76 includes resources on and below the seafloor but not in the water column. The United States has been acquiring data to determine the outer limits of its extended continental shelf in the Arctic and has a vested interest in declaring and receiving international recognition of the reach of its extended continental shelf. The U.S. collaborated with Canada in 2008 and 2009 on extended continental shelf studies in the Arctic Ocean. The U.S. Coast Guard (USCG) Cutter Healy worked with the Canadian Coast Guard ship Louis S. St. Laurent to map the continental shelf beyond 200 n.mi. (370 km) in the Arctic. Each icebreaking vessel contributed different capabilities in order to collect data needed by both nations more efficiently in order to save money, avoid redundancy, and foster cooperation. Generally, the Healy collects bathymetric (sea-floor topography) data and the Louis S. St. Laurent collects seismic reflection profile data. The vessels work in concert when ice conditions are heavy, with one vessel breaking ice for the ship collecting data. The Canadian Environmental Assessments for these projects are available on line at http://www.ceaa.gc.ca/052/details-eng.cfm?pid=38185 (2008) and http://www.ceaa.gc.ca/052/details-eng.cfm?pid=46518 (2009). The U.S. Geological Survey (USGS) and Geological Survey of Canada (GSC) are undertaking a similar partnership again for 2010 in a limited area of U.S. waters during the period between ~10 and 16 August. The survey vessels will then proceed to international or Canadian waters where surveying will proceed until ~3 September, when the two icebreakers will separate to conduct independent work. The survey area of the joint work will be bounded approximately by 145? to 158? W longitude and 71? to 84? N latitude in water depths ranging from ~2,000 to 4,000 m (fig. 1). Ice conditions are expected to range from open water to 10/10 ice cover. The Louis S. St. Laurent will join accompanying vessel Healy in or near the survey area around 10 August to begin the joint survey work. As its energy source, the seismic system aboard Louis S. St. Laurent will employ a 3-airgun array consisting of three Sercel G-airguns. Two guns will have a discharge volume of 500 in3 and the third a discharge volume of 150 in3 for a total array discharge volume of 1,150 in3. The seismic survey will take place in water depths 2,000?4,000 m. This airgun array is identical to the system used in the 2008 and 2009 field programs by the Geological Survey of Canada. The USGS requested that the National Marine Fisheries Service (NMFS) issue an Incidental Harassment Authorization (IHA) to authorize the incidental, that is, not intentional, harassment of small numbers of cetaceans and seals should this occur during the seismic survey in U.S. waters. USGS is also consulting with the U.S. Fish and Wildlife Service (USFWS) regarding concerns about disturbance to walruses and polar bears. Through informal consultation with the Office of Protected Resources with the National Oceanic and Atmospheric Administration (NOAA), USGS proposes that no ESA-listed marine species?bowhead, fin, humpback or sperm whale?w

Open-File Report

A policy model to initiate environmental negotiations: Three hydropower workshops

How do I get started in natural resource negotiations? Natural resource managers often face difficult negotiations when they implement laws and policies regulating such resources as water, wildlife, wetlands, endangered species, and recreation. As a result of these negotiations, managers must establish rules, grant permits, or create management plans. The Legal‐Institutional Analysis Model (LIAM) was designed to assist managers in systematically analyzing the parties in natural resource negotiations and using that analysis to prepare for bargaining. The LIAM relies on the theory that organizations consistently employ behavioral roles. The model uses those roles to predict likely negotiation behavior. One practical use of the LIAM is when all parties to a negotiation conduct a workshop as a way to open the bargaining on a note of trust and mutual understanding. The process and results of three LIAM workshops designed to guide hydroelectric power licensing negotiations are presented. Our experience with these workshops led us to conclude that the LIAM can be an effective tool to begin a negotiation and that trust built through the workshops can help create a successful result.

Human Dimensions of Wildlife: An International Jou

Prevention and control of viral diseases of salmonids

Three viral diseases of salmonids are of worldwide concern: infectious pancreatic necrosis (IPN) viral hemorrhagic septicemia (VHS), and infectious hematopoietic necrosis (IHN). Six principal approaches are being used to prevent or control these diseases: 1) preventing contact o the pathogen with the host, 2) environmental manipulation, 3) immunization, 4) chemotherapy, 5 selective breeding for disease resistance, and 6) reducing stress conditions which augment disease conditions. Preventing the introduction of a pathogen into a new stock of fish has been accomplished mainly by implementing stringent laws to prevent transport of infected fish into uninfected areas. Stocks of fish already infected are sometimes destroyed, and the hatchery is disinfected and restocked with fish free of specific pathogens. Environmental manipulation (elevated water temperature) has been successfully used to control IHN. Chemotherapeutics such as povidone-iodine for IPN and benzipyrene for IHN show promise of controlling mortalities; however, the practicality of using these drugs to eliminate the carrier fish has not been evaluated. Salmonids are capable of developing immune responses to viruses; however, development of effective vaccines, selective breeding for disease resistance, and identification of stress conditions which augment disease are still in the experimental phase.

Journal of the Fisheries Research Board of Canada

Adaptive management of rangeland systems

Adaptive management is an approach to natural resource management that uses structured learning to reduce uncertainties for the improvement of management over time. The origins of adaptive management are linked to ideas of resilience theory and complex systems. Rangeland management is particularly well suited for the application of adaptive management, having sufficient controllability and reducible uncertainties. Adaptive management applies the tools of structured decision making and requires monitoring, evaluation, and adjustment of management. Adaptive governance, involving sharing of power and knowledge among relevant stakeholders, is often required to address conflict situations. Natural resource laws and regulations can present a barrier to adaptive management when requirements for legal certainty are met with environmental uncertainty. However, adaptive management is possible, as illustrated by two cases presented in this chapter. Despite challenges and limitations, when applied appropriately adaptive management leads to improved management through structured learning, and rangeland management is an area in which adaptive management shows promise and should be further explored.

Book chapter

Strategies for reducing risks from introductions of aquatic organisms: The federal perspective

The Lacey Act of 1900 and subsequent amendments have provided the basis for existing federal regulations on species introductions. The 1981 version repealed the Black Bass Act and corrected certain insufficiencies in the original Lacey and Black Bass Acts. A 1977 executive order instructs federal agencies, to the extent permitted by law, to restrict the introductions of exotic species into federally owned or controlled lands and waters. The National Environmental Policy Act of 1969 and the Endangered Species Act of 1973 indirectly relate to the stocking of exotic fish. The first requires each federal agency to prepare an environmental impact statement if a proposed action, such as a species introduction, may significantly affect the environment. The second regulation prohibits the importation of endangered or threatened animals, and specific exotic fishes could be in one of these categories. The U.S. Fish and Wildlife Service, as part of the Department of Interior's charge, initiated a program in 1977 at Gainesville, Florida, to conduct and coordinate research on non-native fish introduced or considered for stocking into United States waters. Construction of a fishery laboratory and other research facilities began in 1984 and are scheduled for completion in 1987.

Fisheries

Relating carbon monoxide photoproduction to dissolved organic matter functionality

Aqueous solutions of humic substances (HSs) and pure monomeric aromatics were irradiated to investigate the chemical controls upon carbon monoxide (CO) photoproduction from dissolved organic matter (DOM). HSs were isolated from lakes, rivers, marsh, and ocean. Inclusion of humic, fulvic, hydrophobic organic, and hydrophilic organic acid fractions from these environments provided samples diverse in source and isolation protocol. In spite of these major differences, HS absorption coefficients (a) and photoreactivities (a bleaching and CO production) were strongly dependent upon HS aromaticity ( r 2 >0.90; n = 11), implying aromatic moieties are the principal chromophores and photoreactants within HSs, and by extension, DOM. Carbonyl carbon and CO photoproduction were not correlated, implying that carbonyl moieties are not quantitatively important in CO photoproduction. CO photoproduction efficiency of aqueous solutions of monomeric aromatic compounds that are common constituents of organic matter varied with the nature of ring substituents. Specifically, electron donating groups increased, while electron withdrawing groups decreased CO photoproductivity, supporting our conclusion that carbonyl substituents are not quantitatively important in CO photoproduction. Significantly, aromatic CO photoproduction efficiency spanned 3 orders of magnitude, indicating that variations in the CO apparent quantum yields of natural DOM may be related to variations in aromatic DOM substituent group chemistry.

Environmental Science and Technology

Kullback-Leibler information in resolving natural resource conflicts when definitive data exist

Conflicts often arise in the management of natural resources. Often they result from differing perceptions, varying interpretations of the law, and self-interests among stakeholder groups (for example, the values and perceptions about spotted owls and forest management differ markedly among environmental groups, government regulatory agencies, and timber industries). We extend the conceptual approach to conflict resolution of Anderson et al. (1999) by using information-theoretic methods to provide quantitative evidence for differing stakeholder positions. Importantly, we assume that relevant empirical data exist that are central to the potential resolution of the conflict. We present a hypothetical example involving an experiment to assess potential effects of a chemical on monthly survival probabilities of the hen clam (Spisula solidissima). The conflict centers on 3 stakeholder positions: 1) no effect, 2) an acute effect, and 3) an acute and chronic effect of the chemical treatment. Such data were given to 18 analytical teams to make independent analyses and provide the relative evidence for each of 3 stakeholder positions in the conflict. The empirical evidence strongly supports only one of the 3 positions in the conflict: the application of the chemical causes acute and chronic effects on monthly survival, following treatment. Formal inference from all the stakeholder positions is provided for the 2 key parameters underlying the hen clam controversy. The estimates of these parameters were essentially unbiased (the relative bias for the control and treatment group's survival probability was -0.857% and 1.400%, respectively) and precise (coefficients of variation were 0.576% and 2.761%, respectively). The advantages of making formal inference from all the models, rather than drawing conclusions from only the estimated best model, is illustrated. Finally, we contrast information-theoretic and Bayesian approaches in terms of how positions in the controversy enter the formal analysis.

Wildlife Society Bulletin

National assessment of geologic carbon dioxide storage resources: Summary

The U.S. Geological Survey (USGS) recently completed an evaluation of the technically accessible storage resource ( TA SR ) for carbon dioxide (CO 2 ) for 36 sedimentary basins in the onshore areas and State waters of the United States. The TA SR is an estimate of the geologic storage resource that may be available for CO 2 injection and storage and is based on current geologic and hydrologic knowledge of the subsurface and current engineering practices. By using a geology-based probabilistic assessment methodology, the USGS assessment team members obtained a mean estimate of approximately 3,000 metric gigatons (Gt) of subsurface CO 2 storage capacity that is technically accessible below onshore areas and State waters; this amount is more than 500 times the 2011 annual U.S. energy-related CO 2 emissions of 5.5 Gt (U.S. Energy Information Administration, 2012, http://www.eia.gov/environment/emissions/carbon/). In 2007, the Energy Independence and Security Act (Public Law 110–140) directed the U.S. Geological Survey to conduct a national assessment of geologic storage resources for CO 2 in consultation with the U.S. Environmental Protection Agency, the U.S. Department of Energy, and State geological surveys. The USGS developed a methodology to estimate storage resource potential in geologic formations in the United States (Burruss and others, 2009, USGS Open-File Report (OFR) 2009–1035; Brennan and others, 2010, USGS OFR 2010–1127; Blondes, Brennan, and others, 2013, USGS OFR 2013–1055). In 2012, the USGS completed the assessment, and the results are summarized in this Fact Sheet and are provided in more detail in companion reports (U.S. Geological Survey Geologic Carbon Dioxide Storage Resources Assessment Team, 2013a,b; see related reports at right). The goal of this project was to conduct an initial assessment of storage capacity on a regional basis, and results are not intended for use in the evaluation of specific sites for potential CO 2 storage. The national assessment was a geology-based examination of all sedimentary basins in the onshore and State waters area of the United States that contain storage assessment units (SAUs) that could be defined according to geologic and hydrologic characteristics. Although geologic storage of CO 2 may be possible in some areas not assessed by the USGS, the SAUs identified in this assessment represent those areas within sedimentary basins that met the assessment criteria. A geologic description of each SAU was prepared; descriptions for SAUs in several basins are in Warwick and Corum (2012, USGS OFR 2012–1024).

Fact Sheet

Wetland modeling and information needs at Stillwater National Wildlife Refuge

The marshes in and around Stillwater National Wildlife Refuge (the Refuge) are extremely dynamic; expanding and contracting in size both seasonally, due to runoff and subsequent evapotranspiration, and over longer periods, due to climatic variation. The dynamic nature of these marshes results in a diversity of wetland habitats, which support a variety of migratory birds. To maintain this wetland diversity and control the loss of migratory bird habitat in the Lahontan Valley, the Refuge was established and currently manages a complex of marsh units. However, changes in the hydrology, and changes that will occur as a result of the Fallon Paiute-Shoshone and Truckee-Carson-Pyramid Lake Water Rights Settlement Act (Public Law 101-618, 104 Stat. 3389), greatly affect the Refuge's wetland management capability. In light of these changes, and the legal requirements associated with environmental impact assessments, the Refuge convened a workshop to discuss several aspects of wetland management in the Lahontan Valley. The workshop, described in this report, had three primary objectives: 1. discuss the types and relative proportions of primary wetland habitats that should be provided as described in the settlement act; 2. discuss wetland management models that might be developed to help manage these marshes under hydrologic regimes likely in the future; and 3. discuss future information and monitoring needs, including proposals for valley-wide biodiversity surveys, which would be helpful when considering withdrawn Bureau of Reclamation (BR) lands for possible incorporation into the Refuge. Several presentations at the beginning of the workshop provided a common basis for discussing these objectives. Refuge staff provided background on the history and past management. The Nature Conservatory discussed their role in the settlement act, proposals for valley-wide biodiversity surveys, and results of a literature review for Stillwater Marsh and the Lahontan Valley (Nachlinger 1993). Kay Fowler provided an historical context of changes in vegetation and waterbird use of the marshes based on her ethnography of the local Paiute Indians (Fowler 1993). Finally, Bob Elston discussed a model that predicts archaeological sites based on environmental variables (Raven and Elston 1989). The workshop was organized by staff from the Refuge and facilitated by the authors of this report. Participants included Ron Anglin, Bill Henry, Anne Janik, Cliff Creger, Fred Paveglio, and Mary Jo Elpers of the U.S. Fish and Wildlife Service (the Service); Jeff Baumgartner, Jan Nachlinger, Hope Humphries, and Graham Chisholm of The Nature Conservancy; David Yardas of the Environmental Defense Fund; David Robertson of Robertson Software, Inc.; Norm Saake, Terry Retterer, and Larry Neel of the Nevada Department of Wildlife; Lew Oring and Kay Fowler of the University of Nevada; and Robert Elston of Intermountain Research.

Report

Spatio-temporal ecological models via physics-informed neural networks for studying chronic wasting disease

To mitigate the negative effects of emerging wildlife diseases in biodiversity and public health it is critical to accurately forecast pathogen dissemination while incorporating relevant spatio-temporal covariates. Forecasting spatio-temporal processes can often be improved by incorporating scientific knowledge about the dynamics of the process using physical models. Ecological diffusion equations are often used to model epidemiological processes of wildlife diseases where environmental factors play a role in disease spread. Physics-informed neural networks (PINN) are deep learning algorithms that constrain neural network predictions based on physical laws and therefore are powerful forecasting models useful even in cases of limited and imperfect training data. In this paper, we develop a novel ecological modeling tool using PINNs, which fits a feedforward neural network and simultaneously performs parameter identification in a partial differential equation (PDE) with varying coefficients. We demonstrate the applicability of our model by comparing it with the commonly used Bayesian stochastic partial differential equation method and traditional machine learning approaches, showing that our proposed model exhibits superior prediction and forecasting performance when modeling chronic wasting disease in deer in Wisconsin. Furthermore, our model provides the opportunity to obtain scientific insights into spatiotemporal covariates affecting spread and growth of diseases. This work contributes to future machine learning and statistical methodology development by studying spatio-temporal processes enhanced by prior physical knowledge.

Spatial Statistics

Chlorinated hydrocarbons in the marine environment. A report prepared by the Panel on Monitoring Persistent Pesticides in the Marine Environment of the Committee on Oceanography

SUMMARY AND RECOMMENDATIONS : The oceans are an ultimate accumulation site for the persistent chlorinated hydrocarbons. As much as 25 percent of the DDT compounds produced to date may have been transferred to the sea. The amount of DDT compounds in the marine biota is estimated to be less than 0.1 percent of total production, yet this amount has produced a demonstrable impact upon the marine environment. Populations of fish-eating birds have experienced reproductive failure and decline. With continued accumulations of persistent chlorinated hydrocarbons in the marine ecosystem, additional species will be threatened. Continued release of these pollutants to the environment can only accelerate the accumulation of unacceptable levels of persistent chlorinated hydrocarbons in the tissues of marine food fish. Certain risks in the utilization of chlorinated hydrocarbons are especially hard to quantify, but they require serious consideration. The rate at which such substances degrade to harmless products in the marine system is unknown; the half-lives of some of the more persistent materials are certainly of the order of years, and perhaps even of decades or centuries. If most of the remaining 75 percent of the persistent chlorinated hydrocarbons is now in reservoirs that will in time transfer their contents to the sea, we may expect an increased level of these substances in marine organisms, despite future improvements of manufacturing practices. In fact, if these compounds degrade with half-lives of decades or longer, there will be no opportunity to redress the consequences. The more the problems are studied, the more unexpected effects are identified. In view of the findings of the past decade, our prediction of the potential hazards of chlorinated hydrocarbons in the marine environment may be vastly underestimated. The Panel makes the following recommendations, which will be developed and expanded in the remainder of the report: ? A massive national effort should be made immediately to effect a drastic reduction of the escape of persistent toxicants into the environment, with the ultimate aim of achieving virtual cessation in the shortest possible time. ? Programs should be designed both to determine the rates of entry of each pollutant into the marine environment and to make base-line determinations of the distribution of the pollutants among the components of that environment, These should be followed by a program of monitoring long-term trends in order to record progress and to document possible disaster. ? The laws relating to the registration of chemical substances and the release of production figures by government should be examined and perhaps revised in light of evidence of environmental deterioration caused by some of these substances.

Book

Strategic science plan Salton Sea restoration project

The Salton Sea is an ecosystem in peril. Its prehistory consists of a series of intermittent lakes dependent on infrequent flooding of the Colorado River, while the modern Salton Sea originated from the desire to harness the flow of the Colorado River for irrigation. What began as an accident of this attempt is now a permanent inland sea supported by wastewater and agricultural drainage rather than Colorado River flood flows. However, environmental degradation is challenging the ability of the Sea to sustain the biological components that society has learned to value as characteristics of this waterbody. Increasing salinity and increasing frequency and magnitude of wildlife losses indicate the Sea is under severe environmental stress. The Salton Sea Restoration Project originated to reverse this degradation, to stabilize fluctuating water levels, and to provide a permanent waterbody that sustains values of the human society that uses it. The project foundation is provided by Public Law (PL) 102-575, passed by Congress in 1992. PL 102-575 directs the Secretary of the Interior to "conduct a research project for the development of a method or combination of methods to reduce and control salinity, provide endangered species habitat, enhance fisheries, and protect human recreational values . . . in the area of the Salton Sea." That PL was followed by the Salton Sea Reclamation Act of 1998 (PL 105-372), which directs the Secretary of the Interior to "complete all studies, including, but not limited to environmental and other reviews, of the feasibility and benefit-cost of various options that permit the continued use of the Salton Sea."

Report

Environmental controls of suppressed fall crop productivity in an agrivoltaic solar array

Globally, agrivoltaics (AV) research has revealed how microclimates created by photovoltaic (PV) panels can be leveraged to promote reciprocal benefits for agricultural land use and PV energy generation. Yet, in regions of the United States where emissions reduction laws are likely to lead to greater PV development on croplands, empirical evaluation of such co-location remain under explored. Furthermore, the most common approach to AV in the United States is one that maximizes energy generation and secondarily accommodates for agricultural management, and the controls of crop production in facilities that employ such an approach are underrepresented in the AV literature. Here, we assessed the agronomic and physiological response of two vegetable crops (radish and radicchio) with different carbon allocation patterns (belowground and aboveground, respectively) in an energy focused AV facility during a fall growing season, in New York, United States. We found that a reduction in total irradiance (−24%) within the AV array decreased total biomass in both crop types (46% and 49%), with significant alterations to root-shoot ratios in radish. Reductions in total biomass were not a result of physiological acclimation, indicating that AV crops had similar photosynthetic capacity as control crops; however, the environmental constraints imposed by energy focused AV design (i.e. reduced irradiance) limited C uptake overall. Our findings highlight the need for novel management approaches (e.g. earlier planting of AV fall crops) to help overcome yield penalties incurred by energy focused AV designs.

New York