Search USGS⌕ Search

SEARCH · Search USGS

Results for “Coasts”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 757 records · Page 42Linked to original sources

The structure of genetic diversity in eelgrass (Zostera marina L.) along the North Pacific and Bering Sea coasts of Alaska

Eelgrass ( Zostera marina) populations occupying coastal waters of Alaska are separated by a peninsula and island archipelago into two Large Marine Ecosystems (LMEs). From populations in both LMEs, we characterize genetic diversity, population structure, and polarity in gene flow using nuclear microsatellite fragment and chloroplast and nuclear sequence data. An inverse relationship between genetic diversity and latitude was observed (heterozygosity: R 2 = 0.738, P < 0.001; allelic richness: R 2 = 0.327, P = 0.047), as was significant genetic partitioning across most sampling sites (θ = 0.302, P < 0.0001). Variance in allele frequency was significantly partitioned by region only in cases when a population geographically in the Gulf of Alaska LME (Kinzarof Lagoon) was instead included with populations in the Eastern Bering Sea LME (θ p = 0.128–0.172; P < 0.003), suggesting gene flow between the two LMEs in this region. Gene flow among locales was rarely symmetrical, with notable exceptions generally following net coastal ocean current direction. Genetic data failed to support recent proposals that multiple Zostera species (i.e. Z . japonica and Z . angustifolia ) are codistributed with Z . marina in Alaska. Comparative analyses also failed to support the hypothesis that eelgrass populations in the North Atlantic derived from eelgrass retained in northeastern Pacific Last Glacial Maximum refugia. These data suggest northeastern Pacific populations are derived from populations expanding northward from temperate populations following climate amelioration at the terminus of the last Pleistocene glaciation.

Alaska↗

Distribution and community characteristics of staging shorebirds on the northern coast of Alaska

Avian studies conducted in the 1970s on Alaska&rsquo;s Arctic Coastal Plain (ACP) indicated that coastal littoral habitats are important to Arctic-breeding shorebirds for staging prior to fall migration. However, relatively little recent, broad-scale, or quantitative information exists on shorebird use of staging areas in this region. To locate possible shorebird concentration areas in the littoral zone of the ACP, we conducted aerial surveys from the southwest end of Kasegaluk Lagoon on the Chukchi Sea to Demarcation Point on the Beaufort Sea during the summers of 2005&ndash;07. These surveys identified persistent within- and between-year concentrations of staging shorebirds at Peard Bay, Point Barrow/Elson Lagoon, Cape Simpson, and Smith Bay to Cape Halkett. Among river deltas in the Beaufort Sea, the Sagavanirktok and Kongakut deltas had large concentrations of staging shorebirds. We also collected data on shorebird community characteristics, staging phenology, and habitat use in 2005 and 2006 by conducting land-based surveys at six camps: Kasegaluk Lagoon, Peard Bay, Point Barrow/Elson Lagoon, Colville Delta, Sagavanirktok Delta, and Okpilak Delta. The shorebird community was more even and diverse (evenness E and Shannon Weiner H&rsquo; ) along the Beaufort Sea compared to the Chukchi Sea and in 2005 versus 2006. Staging phenology varied by species and location and differed for several species from that reported in previous studies. Our results suggest the existence of three foraging habitat guilds among the shorebird species observed in this study: gravel beach, mudflat, and salt marsh/pond edge. A comparison to data collected in the mid-1970s suggests that these foraging associations are conserved through time. Results from this research will be useful to land managers for monitoring the effects of changing environmental conditions and human activity on shorebirds and their habitats in Arctic Alaska.

Arctic↗

Aptian ‘Shale Gas’ Prospectivity in the Downdip Mississippi Interior Salt Basin, Gulf Coast, USA

This study evaluates regional ‘shale gas’ prospectivity of the Aptian section (primarily Pine Island Shale) in the downdip Mississippi Salt Basin (MSB). Previous work by the U.S. Geological Survey estimated a mean undiscovered gas resource of 8.8 trillion cubic feet (TCF) in the chronostratigraphic-equivalent Pearsall Formation in the Maverick Basin of south Texas, where industry has established a moderately successful horizontal gas and liquids play. Wells penetrating the downdip MSB Aptian section at depths of 12,000-15,000 ft were used to correlate formation tops in a 15-well cross-section extending about 200 miles (mi) east-southeastward from Adams Co. to Jackson Co. Legacy cuttings from these wells were analyzed for thermal maturity and source rock quality. Bitumen reflectance (n=53) increases with increasing present-day burial depth in the east-central study area from 1.0% to 1.7%. As the Aptian section shallows in Adams Co. to the west, bitumen Ro values are higher (1.7-2.0%), either from relatively greater heat flux or greater mid-Cenomanian uplift and erosion in this area. Total organic carbon (TOC) content ranges 0.01-1.21 and averages 0.5 wt.% (n=51); pyrolysis output (S2; n=51) averages 0.40 mg HC/g rock, indicating little present-day hydrocarbon-generative potential. Bitumen reflectance is preferred as a thermal maturity parameter as Tmax values are unreliable. Normalized X-ray diffraction (XRD) mineral analyses (n=26) indicate high average clay abundance (53 wt.%) relative to quartz (29%) and carbonate (18%). Mineral content shows a spatial relationship to an Appalachian orogen clastic sediment source, with proximal high clay and quartz and distal high carbonate content. Clastic influx from the Appalachian orogen is confirmed by detrital zircon U-Pb ages with dominant Grenville and Paleozoic components [105 ages from a Rodessa sandstone and 112 ages from a Paluxy (Albian) sandstone]. Preliminary information from fluid inclusion microthermometry (41 aqueous measurements from calcite cements in one argillaceous James Limestone sample) indicates homogenization temperatures (Th) of 120-135°C, consistent with present-day bottom-hole conditions and measured bitumen Ro values towards the western end of the MSB. Downdip in the central MSB, microthermometry (26 aqueous measurements from quartz dust rims in one Paluxy sandstone sample) and measured bitumen Ro values indicate maximum temperatures may have been significantly higher (~25°C) than present-day conditions. High inclusion salinities (15-25 wt.% salt) at both locations suggest interaction of pore fluids with evaporites. Mercury injection capillary pressure (MICP) analyses (n=3) indicate porosity ranges 1.3-2.1% and permeability 0.006-0.02 µD for Pine Island and Rodessa shales. Overall, results from this work indicate generally poor ‘shale gas’ prospectivity compared to other shale reservoirs based primarily on depth, low organic content, low porosity, and high clay content. However, thickness and thermal maturity are appropriate, moderate reservoir pressures are present, and petroleum systems modelling by others has indicated high undiscovered gas potential for the basin as a whole.

Conference Paper↗

Data file, Continental Margin Program, Atlantic Coast of the United States: vol. 2 sample collection and analytical data

The purpose of the data file presented below is twofold: the first purpose is to make available in printed form the basic data relating to the samples collected as part of the joint U.S. Geological Survey - Woods Hole Oceanographic Institution program of study of the Atlantic continental margin of the United States; the second purpose is to maintain these data in a form that is easily retrievable by modern computer methods. With the data in such form, repeate manual transcription for statistical or similar mathematical treatment becomes unnecessary. Manual plotting of information or derivatives from the information may also be eliminated. Not only is handling of data by the computer considerably faster than manual techniques, but a fruitful source of errors, transcription mistakes, is eliminated.

Report↗

Changes in lagoonal marsh morphology at selected northeastern Atlantic coast sites of significance to migratory waterbirds

Five lagoonal salt marsh areas, ranging from 220 ha to 3,670 ha, were selected from Cape Cod, Massachusetts to the southern DelMarVa peninsula, Virginia, USA to examine the degree to which Spartina marsh area and microhabitats had changed from the early or mid- 1900s to recent periods. We chose areas based on their importance to migratory bird populations, agency concerns about marsh loss and sea-level rise, and availability of historic imagery. We georeferenced and processed aerial photographs from a variety of sources ranging from 1932 to 1994. Of particular interest were changes in total salt marsh area, tidal creeks, tidal flats, tidal and non-tidal ponds, and open water habitats. Nauset Marsh, within Cape Cod National Seashore, experienced an annual marsh loss of 0.40% (19% from 1947 to 1994) with most loss attributed to sand overwash and conversion to open water. At Forsythe National Wildlife Refuge in southern New Jersey, annual loss was 0.27% (17% from 1932 to 1995), with nearly equal attribution of loss to open water and tidal pond expansion. At Curlew Bay, Virginia, annual loss was 0.20% (9% from 1949 to 1994) and almost entirely due to perimeter erosion to open water. At Gull Marsh, Virginia, a site chosen because of known erosional losses, we recorded the highest annual loss rate, 0.67% per annum, again almost entirely due to erosional, perimeter loss. In contrast, at the southernmost site, Mockhorn Island Wildlife Management Area, Virginia, there was a net gain of 0.09% per annum (4% from 1949 to 1994), with tidal flats becoming increasingly vegetated. Habitat. implications for waterbirds are considerable; salt marsh specialists such as laughing gulls ( Larus atricilla ), Forster's terns ( Sterna forsteri ), black rail, ( Laterallus jamaicensis ), seaside sparrow ( Ammodramus maritimus ), and saltmarsh sharp-tailed sparrow ( Ammodramus caudacutus ) are particularly at risk if these trends continue, and all but the laughing gull are species of concern to state and federal managers.

Massachusetts, New Jersey, Virginia↗

Aspects of the biology of Salicornia bigelovii torr. In relation to a proposed restoration of a wind-tidal flat system on the South Texas, USA Coast

Wind-tidal flats are the dominant coastal wetland type in southern Texas USA. Succulent vascular plants are colonizing the flats in some locations, often where past dredge disposal along navigation channels and other activities have interrupted natural water communication between hypersaline bays and large areas of wind-tidal flats. The objective of this study was to test the feasibility of proposed removal of a causeway at Laguna Atascosa National Wildlife Refuge to restore the historic hydrologic regime and eradicate encroaching vascular plants, mostly Salicornia bigelovii, on the assumption that high sediment salt excluded these vascular plants under natural conditions. Assessment in spring 1998 of the density of Salicornia in relation to elevation and sediment salt of bare and vegetated zones on the vegetated flats on one side of the causeway and entirely barren flats with unimpaired connection to Laguna Madre on the other side of the causeway suggested that sediment salt >0.1 g ml-1 excluded vascular plants. However, bimonthly sampling in 1999-2000 revealed that sediment salt concentrations were >0.1 g ml-1 throughout the vegetated zone in July and more locally in the period of winter low water, with little impairment to established plants. This indicates that if control is desired, it must be exerted at germination and early establishment during and after fall high water. Continuous monitoring of water levels on either side of the causeway suggests that, even with removal of the causeway, flooding with hypersaline lagoon water will be too infrequent to counteract the freshening effect of a permanent hydraulic connection to the main agricultural drain of the lower Rio Grande Valley that has developed at the other end of the salt flat. Monitoring Salicornia distribution over six years documented huge variation between years but no trend toward increasing dominance of the flats. The results of this study illustrate that the most obvious alterations to a site may not be the most influential on function and that the scale of analysis may have to extend far beyond the site in space and time to evaluate a proposed restoration properly. ?? 2006, The Society of Wetland Scientists.

Wetlands↗

Distribution, abundance and habitat use of American White Pelicans in the Delta Region of Mississippi and along the Western Gulf of Mexico Coast

Aerial surveys of American White Pelicans ( Pelecanus erythrorhynchos ) were conducted over coastal Louisiana and the delta region of Mississippi on 1-2 days during December, February, and April each year from 1997 to 1999. Additional surveys were conducted in coastal Texas and Mexico during January 1998 and 1999. The numbers, location, and habitat of all pelicans observed were recorded. The coastal zone of Louisiana consistently had higher numbers of pelicans (18,000 to 35,000 birds) than other areas surveyed (3,000 to 8,000 birds), indicating that Louisiana may be the most important wintering area for American White Pelicans east of the Rocky Mountains. Among the four regions surveyed, the average size of pelican flocks was largest in Mississippi during January-February, particularly in 1999 (x̄ = 245 birds/flock). Pelican numbers in Mississippi peaked in February but in Louisiana they were more variable. Pelicans in the delta region of Mississippi were found most often in fresh water and sand bar habitats during December, flooded field habitats during February, and catfish ponds in April. In Louisiana, pelicans used fresh, intermediate, and brackish marshes during December, but showed a preference for brackish and saline marshes in February and April.

Louisiana, Mississippi, Tamaulipas, Texas, Veracru↗

Great earthquakes and tsunamis of the past 2000 years at the Salmon River estuary, central Oregon coast, USA

Four buried tidal marsh soils at a protected inlet near the mouth of the Salmon River yield definitive to equivocal evidence for coseismic subsidence and burial by tsunami-deposited sand during great earthquakes at the Cascadia subduction zone. An extensive, landward-tapering sheet of sand overlies a peaty tidal-marsh soil over much of the lower estuary. Limited pollen and macrofossil data suggest that the soil suddenly subsided 0.3-1.0 m shortly before burial. Regional correlation of similar soils at tens of estuaries to the north and south and precise 14C ages from one Salmon River site imply that the youngest soil subsided during the great earthquake of 26 January A.D. 1700. Evidence for sudden subsidence of three older soils during great earthquakes is more equivocal because older-soil stratigraphy can be explained by local hydrographic changes in the estuary. Regional 14C correlation of two of the three older soils with soils at sites that better meet criteria for a great-earthquake origin is consistent with the older soils recording subsidence and tsunamis during at least two great earthquakes. Pollen evidence of sudden coseismic subsidence from the older soils is inconclusive, probably because the amount of subsidence was small (<0.5 m). The shallow depths of the older soils yield rates of relative sea-level rise substantially less than rates previously calculated for Oregon estuaries.

Bulletin of the Seismological Society of America↗

Remotely triggered seismicity on the United States west coast following the Mw 7.9 Denali fault earthquake

The M w 7.9 Denali fault earthquake in central Alaska of 3 November 2002 triggered earthquakes across western North America at epicentral distances of up to at least 3660 km. We describe the spatial and temporal development of triggered activity in California and the Pacific Northwest, focusing on Mount Rainier, the Geysers geothermal field, the Long Valley caldera, and the Coso geothermal field. The onset of triggered seismicity at each of these areas began during the Love and Raleigh waves of the M w 7.9 wave train, which had dominant periods of 15 to 40 sec, indicating that earthquakes were triggered locally by dynamic stress changes due to low-frequency surface wave arrivals. Swarms during the wave train continued for ∼4 min (Mount Rainier) to ∼40 min (the Geysers) after the surface wave arrivals and were characterized by spasmodic bursts of small ( M ≤ 2.5) earthquakes. Dynamic stresses within the surface wave train at the time of the first triggered earthquakes ranged from 0.01 MPa (Coso) to 0.09 MPa (Mount Rainier). In addition to the swarms that began during the surface wave arrivals, Long Valley caldera and Mount Rainier experienced unusually large seismic swarms hours to days after the Denali fault earthquake. These swarms seem to represent a delayed response to the Denali fault earthquake. The occurrence of spatially and temporally distinct swarms of triggered seismicity at the same site suggests that earthquakes may be triggered by more than one physical process.

North America↗

Seismicity rate changes along the central California coast due to stress changes from the 2003 M 6.5 San Simeon and 2004 M 6.0 Parkfield earthquakes

We investigated the relationship between seismicity rate changes and modeled Coulomb static stress changes from the 2003 M 6.5 San Simeon and the 2004 M 6.0 Parkfield earthquakes in central California. Coulomb stress modeling indicates that the San Simeon mainshock loaded parts of the Rinconada, Hosgri, and San Andreas strike-slip faults, along with the reverse faults of the southern Los Osos domain. All of these loaded faults, except for the San Andreas, experienced a seismicity rate increase at the time of the San Simeon mainshock. The Parkfield earthquake occurred 9 months later on the loaded portion of the San Andreas fault. The Parkfield earthquake unloaded the Hosgri fault and the reverse faults of the southern Los Osos domain, which both experienced seismicity rate decreases at the time of the Parkfield event, although the decreases may be related to the decay of San Simeon-triggered seismicity. Coulomb stress unloading from the Parkfield earthquake appears to have altered the aftershock decay rate of the southern cluster of San Simeon after-shocks, which is deficient compared to the expected number of aftershocks from the Omori decay parameters based on the pre-Parkfield aftershocks. Dynamic stress changes cannot explain the deficiency of aftershocks, providing evidence that static stress changes affect earthquake occurrence. However, a burst of seismicity following the Parkfield earthquake at Ragged Point, where the static stress was decreased, provides evidence for dynamic stress triggering. It therefore appears that both Coulomb static stress changes and dynamic stress changes affect the seismicity rate.

Bulletin of the Seismological Society of America↗

The (mythical) M8.2 off coast of Peru earthquake of 12 December 1908

Global earthquake catalogs covering the early twentieth century differ in their listings of a large earthquake, or earthquakes, on 12 December 1908. Some catalogs list an M &#x223C; 7 "> M ∼ 7 M∼7 earthquake originating in northern Myanmar (Burma) at &#x223C; 12 : 55 "> ∼ 12 : 55 ∼12:55 UTC on that date. Other catalogs do not list the Myanmar origin but list an earthquake with magnitude 8.2 originating in or near Peru at 12:08 UTC on the date. Some catalogs list both origins, but sometimes with additional evidence suggesting that the 1908 M 8.2 Peru origin may be “mythical.” In a review of arrival times of phases reported in seismic bulletins of 1908, conducted specifically to identify data that might be consistent with the sometimes‐cataloged Peru origin, we do not find a coherent set of such data. Many bulletin arrival times reported for 12 December 1908, however, are mutually consistent with the cataloged Myanmar origin. Comparisons of seismograms recorded at the Seismological Observatory of Göttingen in Germany (station GTT) on 12 December 1908 with seismograms obtained on the same instruments for later large earthquakes that are reliably located in Myanmar and Peru, respectively, are consistent with the implication of the bulletin arrival‐time observations. We conclude that a major earthquake did indeed occur in or near northern Myanmar on 12 December 1908 but that there was not on that date a great earthquake near Peru that would correspond to the sometimes‐cataloged M 8.2 Peru origin.

Northern Myanmar (Burma)↗

Analysis of earthquake recordings obtained from the Seafloor Earthquake Measurement System (SEMS) instruments deployed off the coast of southern California

For more than 20 years, a program has been underway to obtain records of earthquake shaking on the seafloor at sites offshore of southern California, near oil platforms. The primary goal of the program is to obtain data that can help determine if ground motions at offshore sites are significantly different than those at onshore sites; if so, caution may be necessary in using onshore motions as the basis for the seismic design of oil platforms. We analyze data from eight earthquakes recorded at six offshore sites; these are the most important data recorded on these stations to date. Seven of the earthquakes were recorded at only one offshore station; the eighth event was recorded at two sites. The earthquakes range in magnitude from 4.7 to 6.1. Because of the scarcity of multiple recordings from any one event, most of the analysis is based on the ratio of spectra from vertical and horizontal components of motion. The results clearly show that the offshore motions have very low vertical motions compared to those from an average onshore site, particularly at short periods. Theoretical calculations find that the water layer has little effect on the horizontal components of motion but that it produces a strong spectral null on the vertical component at the resonant frequency of P waves in the water layer. The vertical-to-horizontal ratios for a few selected onshore sites underlain by relatively low shear-wave velocities are similar to the ratios from offshore sites for frequencies less than about one-half the water layer P -wave resonant frequency, suggesting that the shear-wave velocities beneath a site are more important than the water layer in determining the character of the ground motions at lower frequencies.

California↗

Breeding bird responses to three silvicultural treatments in the Oregon Coast Range

Silvicultural alternatives to clear-cutting have been suggested to promote development, retention, or creation of late-successional features such as large trees, multilayered canopies, snags, and logs. We assessed bird response to three silvicultural alternatives to clear-cutting that retained structural features found in old Douglas-fir ( Pseudotsuga menziesii ) forests and that imitated natural disturbance regimes more closely than did traditional clear-cutting: (1) small-patch group selection treatment representing a low-intensity disturbance; (2) two-story treatment, representing a moderate to high-intensity disturbance; and (3) modified clear-cut treatment, representing a high-intensity disturbance. We counted diurnal breeding birds 1 yr prior to and 2 yr after harvest to estimate effects of the silvicultural treatments on bird communities compared with uncut controls. The small-patch group selection treatment was most similar in species composition to control stands. The two-story treatment was more similar to the modified clear-cut treatment. Ten bird species remained abundant following the small-patch group selection treatment. They declined in abundance in modified clearcuts and two-story stands. These species included four neotropical migratory species and five species with restricted geographic ranges and habitat associations. Nine species increased in response to moderate and/or high-intensity disturbances. This group included a larger proportion of species that were habitat generalists. Silvicultural treatments imitating low-intensity disturbances were most effective in retaining bird communities associated with mature forest; high-intensity disturbances such as the two-story and modified clear-cut treatments greatly altered bird community composition. Bird responses to the silvicultural treatments that we studied indicate that a variety of stand types is needed to meet needs of all species.

Oregon↗

Predicted eelgrass response to sea level rise and its availability to foraging Black Brant in Pacific coast estuaries

Managers need to predict how animals will respond to habitat redistributions caused by climate change. Our objective was to model the effects of sea level rise on total eelgrass ( Zostera marina ) habitat area and on the amount of that area that is accessible to Brant geese ( Branta bernicla ), specialist grazers of eelgrass. Digital elevation models were developed for seven estuaries from Alaska, Washington, California (USA), and Mexico. Scenarios of future total eelgrass area were derived from combinations of estuarine specific sediment and tectonic rates (i.e., bottom change rate) with three rates of eustatic sea level rise (ESLR). Percentages of total eelgrass areas that were accessible to foraging Brant were determined for December when the birds overwinter at more southerly sites and in April as they move north to sites where they build body stores on their way to nesting areas in Alaska. The modeling showed that accessible eelgrass area could be lower than total area due to how daytime low-tide height, eelgrass shoot length, and the upper elevation of eelgrass determined Brant-reaching depth. Projections of future eelgrass area indicated that present-day ESLR (2.8 mm/yr) and bottom change rates should sustain the current pattern of estuarine use by Brant except in Morro Bay, where use should decrease because eelgrass is being ejected from this estuary by a positive bottom change rate. Higher ESLR rates (6.3 and 12.7 mm/yr) should result in less Brant use of estuaries at the northern and southern ends of the flyway, particularly during the winter, but more use of mid-latitude estuaries. The capacity of mid-latitude estuaries to function as Brant feeding refugia, or for these estuaries and Izembek Lagoon to provide drift rather than attached leaves, is eventually limited by the decrease in total eelgrass area, which is a result of a light extinction affect on the eelgrass, or the habitat being pushed out of the estuary by positive tectonic rates. Management responses are limited to the increase or decrease of sediment supply and the relocation of levees to allow for upslope migration of eelgrass habitat.

Alaska;California;Washington↗

Neighborhood and habitat effects on vital rates: expansion of the Barred Owl in the Oregon Coast Ranges

In this paper, we modify dynamic occupancy models developed for detection-nondetection data to allow for the dependence of local vital rates on neighborhood occupancy, where neighborhood is defined very flexibly. Such dependence of occupancy dynamics on the status of a relevant neighborhood is pervasive, yet frequently ignored. Our framework permits joint inference about the importance of neighborhood effects and habitat covariates in determining colonization and extinction rates. Our specific motivation is the recent expansion of the Barred Owl (Strix varia) in western Oregon, USA, over the period 1990-2010. Because the focal period was one of dramatic range expansion and local population increase, the use of models that incorporate regional occupancy (sources of colonists) as determinants of dynamic rate parameters is especially appropriate. We began our analysis of 21 years of Barred Owl presence/nondetection data in the Tyee Density Study Area (TDSA) by testing a suite of six models that varied only in the covariates included in the modeling of detection probability. We then tested whether models that used regional occupancy as a covariate for colonization and extinction outperformed models with constant or year-specific colonization or extinction rates. Finally we tested whether habitat covariates improved the AIC of our models, focusing on which habitat covariates performed best, and whether the signs of habitat effects are consistent with a priori hypotheses. We conclude that all covariates used to model detection probability lead to improved AIC, that regional occupancy influences colonization and extinction rates, and that habitat plays an important role in determining extinction and colonization rates. As occupancy increases from low levels toward equilibrium, colonization increases and extinction decreases, presumably because there are more and more dispersing juveniles. While both rates are affected, colonization increases more than extinction decreases. Colonization is higher and extinction is lower in survey polygons with more riparian forest. The effects of riparian forest on extinction rates are greater than on colonization rates. Model results have implications for management of the invading Barred Owl, both through habitat alteration and removal.

Oregon↗

Importance of storm events in controlling ecosystem structure and function in a Florida Gulf Coast estuary

From 8/95 to 2/01, we investigated the ecological effects of intra- and inter-annual variability in freshwater flow through Taylor Creek in southeastern Everglades National Park. Continuous monitoring and intensive sampling studies overlapped with an array of pulsed weather events that impacted physical, chemical, and biological attributes of this region. We quantified the effects of three events representing a range of characteristics (duration, amount of precipitation, storm intensity, wind direction) on the hydraulic connectivity, nutrient and sediment dynamics, and vegetation structure of the SE Everglades estuarine ecotone. These events included a strong winter storm in November 1996, Tropical Storm Harvey in September 1999, and Hurricane Irene in October 1999. Continuous hydrologic and daily water sample data were used to examine the effects of these events on the physical forcing and quality of water in Taylor Creek. A high resolution, flow-through sampling and mapping approach was used to characterize water quality in the adjacent bay. To understand the effects of these events on vegetation communities, we measured mangrove litter production and estimated seagrass cover in the bay at monthly intervals. We also quantified sediment deposition associated with Hurricane Irene's flood surge along the Buttonwood Ridge. These three events resulted in dramatic changes in surface water movement and chemistry in Taylor Creek and adjacent regions of Florida Bay as well as increased mangrove litterfall and flood surge scouring of seagrass beds. Up to 5 cm of bay-derived mud was deposited along the ridge adjacent to the creek in this single pulsed event. These short-term events can account for a substantial proportion of the annual flux of freshwater and materials between the mangrove zone and Florida Bay. Our findings shed light on the capacity of these storm events, especially when in succession, to have far reaching and long lasting effects on coastal ecosystems such as the estuarine ecotone of the SE Everglades.

Journal of Coastal Research↗