Search USGS⌕ Search

SEARCH · Search USGS

Results for “Contributions in Science”

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 775 records · Page 43Linked to original sources

Educational background and professional participation by federal wildlife biologists: Implications for science, management, and The Wildlife Society

Over 2,000 people are employed in wildlife biology in the United States federal government. The size of this constituency motivated me to examine the amount of formal education federal biologists have received and the extent of continuing education they undertake by reading journals or attending scientific meetings. Most federal biologists who are members of The Wildlife Society (TWS) have a graduate degree. However, one-third have only a Bachelor of Science degree, despite the current trend toward hiring people with graduate degrees. Most federal biologists are not research biologists. Numbers of journals subscribed to was positively related to educational level. Less than one-third of all wildlife biologists employed by the United States Fish and Wildlife Service are members of TWS or subscribe to any of its journals. In contrast, the majority of presenters at the TWS 2000 Annual Conference were research biologists and members of TWS. The failure of many federal wildlife biologists to read scientific literature or attend professional meetings indicates a failure to promote the importance of continuing education in the federal workplace. I identify 2 potential adverse impacts of this failing: an inability to recognize important and relevant scientific contributions and an ineffectiveness in carrying out adaptive management.

Wildlife Society Bulletin↗

Status and trends of pelagic prey fish in Lake Huron, 2017

Scientists from the U.S. Geological Survey’s Great Lakes Science Center conducted integrated acoustic and mid-water trawl surveys of Lake Huron in 1997 and annually from 2004-2017. The 2017 survey was conducted during September and included transects in Lake Huron’s main basin, Georgian Bay, and North Channel. Mean lake-wide pelagic fish density was 1582 fish/ha and mean pelagic fish biomass was 10.5 kg/ha in 2017, which represents 96% and 93% of the long-term mean respectively. Mean lake-wide biomass was 23% higher in 2017 as compared to 2016. The total estimated lake-wide standing stock biomass of pelagic fish species, excluding cisco, was ~49 kt (± 10.4 kt), consisting almost entirely of bloater (26.8 kt; 55%) and rainbow smelt (22 kt; 45%), with small contributions from sticklebacks (0.13 kt; 0.26 %), emerald shiner (0.09 kt; 0.18%), and alewife (0.004kt; <0.005%). Age-0 rainbow smelt abundance increased from 155 fish/ha in 2016 to 598 fish/ha in 2017. Biomass of age-1+ rainbow smelt increased from 2.5 kg/ha in 2016 to 4.1 kg/ha in 2017. Age-0 bloater abundance increased from 94 fish/ha in 2016 to 342 fish/ha in 2017. Biomass of age-1+ bloater in 2017 (5.0 kg/ha) remained at levels similar to 2016 (5.2 kg/ha). Emerald shiner density decreased from 38.6 fish/ha in 2016 to 19.5 fish/ha in 2017. Emerald shiner biomass remained at 0.02 kg/ha between 2016-2017 which represented 19% of the long-term mean. Cisco lake-wide mean biomass was estimated at 2.2 kg/ha and mean density was estimated at 5.1 fish/ha in 2017. Bloater and rainbow smelt will likely continue to be the primary pelagic species available to offshore predators in coming years.

Michigan, Ontario↗

The use of conceptual ecological models to identify critical data and uncertainties to support numerical modeling: The northern Gulf of Mexico eastern oyster Crassostrea virginica example

Objective Increasing reliance on numerical simulation models to help inform management and restoration choices benefits from careful consideration of critical early steps in model development. Along the northern coast of the Gulf of Mexico, the eastern oyster Crassostrea virginica fulfills important ecological and economic roles. Using the eastern oyster as an example, we draw on several recent frameworks outlining best practices for model development and application for restoration, conservation, and management. Methods We identify priority model questions, outline a conceptual ecological model (CEM) to guide numerical model development, and use this framework to identify uncertainties and research needs. Result The CEM uses a nested design, identifying explicit vital rates, processes, attributes, and outcomes for the species (oysters), population, and metapopulation (i.e., network of populations) levels in response to drivers of species, population, and metapopulation changes and changing environmental factors. Most management actions related to oyster restoration and harvest affect population attributes directly, but many coastal management actions and changes (i.e., climate change and coastal and water resource engineering) impact environmental factors that alter vital rates and attributes of oysters, populations, and metapopulations. Conclusion Investment in studies targeting individual oyster‐ and population‐level multi‐stressor responses (filtration, respiration, growth, and reproduction) and improving hydrodynamic and environmental models targeting drivers that influence metapopulation vital rates and attributes (i.e., connectivity and substrate persistence) would contribute to reducing uncertainties. Development of numerical models covering the entire oyster life cycle and connectivity of populations using hydrodynamic models of current and predicted conditions to provide key abiotic and biotic factors influencing larval movement, recruitment, and on‐reef oyster vital rates would assist in balancing the goals of conservation, restoration, and fisheries management of this foundational estuarine species.

Marine and Coastal Fisheries: Dynamics, Management↗

Data worth and prediction uncertainty for pesticide transport and fate models in Nebraska and Maryland, United States

BACKGROUND Complex environmental models are frequently extrapolated to overcome data limitations in space and time, but quantifying data worth to such models is rarely attempted. The authors determined which field observations most informed the parameters of agricultural system models applied to field sites in Nebraska (NE) and Maryland (MD), and identified parameters and observations that most influenced prediction uncertainty. RESULTS The standard error of regression of the calibrated models was about the same at both NE (0.59) and MD (0.58), and overall reductions in prediction uncertainties of metolachlor and metolachlor ethane sulfonic acid concentrations were 98.0 and 98.6% respectively. Observation data groups reduced the prediction uncertainty by 55&ndash;90% at NE and by 28&ndash;96% at MD. Soil hydraulic parameters were well informed by the observed data at both sites, but pesticide and macropore properties had comparatively larger contributions after model calibration. CONCLUSIONS Although the observed data were sparse, they substantially reduced prediction uncertainty in unsampled regions of pesticide breakthrough curves. Nitrate evidently functioned as a surrogate for soil hydraulic data in well-drained loam soils conducive to conservative transport of nitrogen. Pesticide properties and macropore parameters could most benefit from improved characterization further to reduce model misfit and prediction uncertainty. RESULTS: The standard error of regression of the calibrated models was about the same at both NE (0.59) and MD (0.58), and overall reductions in prediction uncertainties of metolachlor and metolachlor ethane sulfonic acid concentrations were 98.0 and 98.6% respectively. Observation data groups reduced the prediction uncertainty by 55&ndash;90% at NE and by 28&ndash;96% at MD. Soil hydraulic parameters were well informed by the observed data at both sites, but pesticide and macropore properties had comparatively larger contributions after model calibration. CONCLUSIONS: Although the observed data were sparse, they substantially reduced prediction uncertainty in unsampled regions of pesticide breakthrough curves. Nitrate evidently functioned as a surrogate for soil hydraulic data in well-drained loam soils conducive to conservative transport of nitrogen. Pesticide properties and macropore parameters could most benefit from improved characterization further to reduce model misfit and prediction uncertainty.

Maryl;Nebraska↗

Perched water tables on hillsides in western Oregon: I. Some factors affecting their development and longevity

Perched water tables on hillsides located on the western border of the Willamette Valley in Oregon in some cases have the potential to transport pollutants from either domestic or agricultural sources downslope to streams, ponds, or reservoirs, resulting in the deterioration of the quality of these waters. In this paper, some factors responsible for the development and longevity of these potentially problem-causing perched water tables on three hillsides were examined. Analyses of hydraulic conductivity data and the relationships between rainfall, soil water pressure potential, and time suggest that permeable rock below 110 cm rather than clayey B horizons is mainly responsible for the development of perched water tables on upper convex slope positions on two of these hillsides. The data also suggest that subsurface flow from the upper convex regions contributed significant amounts of water to the lower convex slope positions. Further, perched water tables developed more rapidly, to a greater extent, and lasted longer in upper horizons of a lower concave region of slope where a shallow perched water table was already present at the onset of rainfall. Finally, perched water tables did not develop in the upper horizons on a third hillside that had no impermeable regions in the soil or upper rock mantle.

Oregon↗

Subsidence reversal in a re-establish wetland in the Sacramento-San Joaquin Delta, California, USA

The stability of levees in the Sacramento-San Joaquin Delta is threatened by continued subsidence of Delta peat islands. Up to 6 meters of land-surface elevation has been lost in the 150 years since Delta marshes were leveed and drained, primarily from oxidation of peat soils. Flooding subsided peat islands halts peat oxidation by creating anoxic soils, but net accumulation of new material in restored wetlands is required to recover land-surface elevations. We investigated the subsidence reversal potential of two 3 hectare, permanently flooded, impounded wetlands re-established on a deeply subsided field on Twitchell Island. The shallower wetland (design water depth 25 cm) was almost completely colonized by dense emergent marsh vegetation within two years; whereas, the deeper wetland (design water depth 55 cm) which developed spatially variable depths as a result of heterogeneous colonization by emergent vegetation, still had some areas remaining as open water after nine years. Changes in land-surface elevation were quantified using repeated sedimentation-erosion table measurements. New material accumulating in the wetlands was sampled by coring. Land-surface elevations increased by an average of 4 cm/yr in both wetlands from 1997 to 2006; however, the rates at different sites in the wetlands ranged from -0.5 to +9.2 cm/yr. Open water areas of the deeper wetland without emergent vegetation had the lowest rates of land-surface elevation gain. The greatest rates occurred in areas of the deeper wetland most isolated from the river water inlets, with dense stands of emergent marsh vegetation (tules and cattails). Vegetated areas of the deeper wetland in the transition zones between open water and mature emergent stands had intermediate rates of land-surface gain, as did the entire shallower wetland. These results suggest that the dominant component contributing to land-surface elevation gain in these wetlands was accumulation of organic matter, rather than mineral sediment, and that accumulation of organic matter in emergent marshes is strongly affected by hydrologic factors. Re-established, non-tidal wetlands with managed hydrology can produce significant increases in land-surface elevations, which can help to improve levee stability and protect subsided islands from future flooding.

California↗

Recharge rates and chemistry beneath playas of the High Plains aquifer: A literature review and synthesis

Playas are ephemeral, closed-basin wetlands that are important zones of recharge to the High Plains (or Ogallala) aquifer and critical habitat for birds and other wildlife in the otherwise semiarid, shortgrass prairie and agricultural landscape. The ephemeral nature of playas, low regional recharge rates, and a strong reliance on ground water from the High Plains aquifer has prompted many questions regarding the contribution of recharge from playas to the regional aquifer. To address these questions and concerns, the U.S. Geological Survey, in cooperation with the Playa Lakes Joint Venture, present a review and synthesis of the more than 175 publications about recharge rates and chemistry beneath playas and interplaya settings. Although a number of questions remain regarding the controls on recharge rates and chemistry beneath playas, the results from most published studies indicate that recharge rates beneath playas are substantially (1 to 2 orders of magnitude) higher than recharge rates beneath interplaya settings. The synthesis presented here supports the conceptual model that playas are important zones of recharge to the High Plains aquifer and are not strictly evaporative pans. The major findings of this synthesis yield science-based implications for the protection and management of playas and ground-water resources of the High Plains aquifer and directions for future research.

High Plains aquifer↗

Seismic‐hazard forecast for 2016 including induced and natural earthquakes in the central and eastern United States

The U.S. Geological Survey (USGS) has produced a one‐year (2016) probabilistic seismic‐hazard assessment for the central and eastern United States (CEUS) that includes contributions from both induced and natural earthquakes that are constructed with probabilistic methods using alternative data and inputs. This hazard assessment builds on our 2016 final model ( Petersen et al. , 2016 ) by adding sensitivity studies, illustrating hazard in new ways, incorporating new population data, and discussing potential improvements. The model considers short‐term seismic activity rates (primarily 2014–2015) and assumes that the activity rates will remain stationary over short time intervals. The final model considers different ways of categorizing induced and natural earthquakes by incorporating two equally weighted earthquake rate submodels that are composed of alternative earthquake inputs for catalog duration, smoothing parameters, maximum magnitudes, and ground‐motion models. These alternatives represent uncertainties on how we calculate earthquake occurrence and the diversity of opinion within the science community. In this article, we also test sensitivity to the minimum moment magnitude between M 4 and M 4.7 and the choice of applying a declustered catalog with b =1.0 rather than the full catalog with b =1.3. We incorporate two earthquake rate submodels: in the informed submodel we classify earthquakes as induced or natural, and in the adaptive submodel we do not differentiate. The alternative submodel hazard maps both depict high hazard and these are combined in the final model. Results depict several ground‐shaking measures as well as intensity and include maps showing a high‐hazard level (1% probability of exceedance in 1 year or greater). Ground motions reach 0.6 g horizontal peak ground acceleration (PGA) in north‐central Oklahoma and southern Kansas, and about 0.2 g PGA in the Raton basin of Colorado and New Mexico, in central Arkansas, and in north‐central Texas near Dallas–Fort Worth. The chance of having levels of ground motions corresponding to modified Mercalli intensity (MMI) VI or greater earthquake shaking is 2%–12% per year in north‐central Oklahoma and southern Kansas and New Madrid similar to the chance of damage at sites in high‐hazard portions of California caused by natural earthquakes. Hazard is also significant in the Raton basin of Colorado/New Mexico; north‐central Arkansas; Dallas–Fort Worth, Texas; and in a few other areas. Hazard probabilities are much lower (by about half or more) for exceeding MMI VII or VIII. Hazard is 3‐ to 10‐fold higher near some areas of active‐induced earthquakes than in the 2014 USGS National Seismic Hazard Model (NSHM), which did not consider induced earthquakes. This study in conjunction with the LandScan TM Database (2013) indicates that about 8 million people live in areas of active injection wells that have a greater than 1% chance of experiencing damaging ground shaking (MMI≥VI) in 2016. The final model has high uncertainty, and engineers, regulators, and industry should use these assessments cautiously to make informed decisions on mitigating the potential effects of induced and natural earthquakes.

Seismological Research Letters↗

Quantifying anthropogenic contributions to century-scale groundwater salinity changes, San Joaquin Valley, California, USA

Total dissolved solids (TDS) concentrations in groundwater tapped for beneficial uses (drinking water, irrigation, freshwater industrial) have increased on average by about 100 mg/L over the last 100 years in the San Joaquin Valley, California (SJV). During this period land use in the SJV changed from natural vegetation and dryland agriculture to dominantly irrigated agriculture with growing urban areas. Century-scale salinity trends were evaluated by comparing TDS concentrations and major ion compositions of groundwater from wells sampled in 1910 (Historic) to data from wells sampled in 1993-2015 (Modern). TDS concentrations in subregions of the SJV, the southern (SSJV), western (WSJV), northeastern (NESJV), and southeastern (SESJV) were calculated using a cell-declustering method. TDS concentrations increased in all regions, with the greatest increases found in the SSJV and SESJV. Evaluation of the Modern data from the NESJV and SESJV found higher TDS concentrations in recently recharged (post-1950) groundwater from shallow (< 50 m) wells surrounded predominantly by agricultural land uses, while premodern (pre-1950) groundwater from deeper wells, and recently recharged groundwater from wells surrounded by mainly urban, natural, and mixed land uses had lower TDS concentrations, approaching the TDS concentrations in the Historic groundwater. For the NESJV and SESJV, inverse geochemical modeling with PHREEQC indicated that weathering of primary silicate minerals accounted for the majority of the increase in TDS concentrations, contributing more than nitrate from fertilizers and sulfate from soil amendments combined. Bicarbonate showed the greatest increase among major ions, resulting from enhanced silicate weathering due to recharge of irrigation water enriched in CO2 during the growing season. The results of this study demonstrate that large anthropogenic changes to the hydrologic regime, like massive development of irrigated agriculture in semi-arid areas like the SJV, can cause large changes in groundwater quality on a regional scale.

California↗

Temporal evaluation of estrogenic endocrine disruption markers in smallmouth bass (Micropterus dolomieu) reveals seasonal variability in intersex

A reconnaissance project completed in 2009 identified intersex and elevated plasma vitellogenin in male smallmouth bass inhabiting the Missisquoi River, VT. In an attempt to identify the presence and seasonality of putative endocrine disrupting chemicals or other factors associated with these observations, a comprehensive reevaluation was conducted between September 2012 and June 2014. Here, we collected smallmouth bass from three physically partitioned reaches along the river to measure biomarkers of estrogenic endocrine disruption in smallmouth bass. In addition, polar organic chemical integrative samples (POCIS) were deployed to identify specific chemicals associated with biological observations. We did not observe biological differences across reaches indicating the absence of clear point source contributions to the observation of intersex. Interestingly, intersex prevalence and severity decreased in a stepwise manner over the timespan of the project. Intersex decreased from 92.8% to 28.1%. The only significant predictor of intersex prevalence was year of capture, based on logistic regression analysis. The mixed model of fish length and year-of-capture best predicted intersex severity. Intersex severity was also significantly different across late summer and early spring collections indicating seasonal changes in this metric. Plasma vitellogenin and liver vitellogenin Aa transcript abundance in males did not indicate exposure to estrogenic endocrine disrupting chemicals at any of the four sample collections. Analysis of chemicals captured by the POCIS as well as results of screening discrete water samples or POCIS extracts did not indicate the contribution of appreciable estrogenic chemicals. It is possible that unreported changes in land-use activity have ameliorated the problem, and our observations indicate recovery. Regardless, this work clearly emphasizes that single, snap shot sampling for intersex may not yield representative data given that the manifestation of this condition within a population can change dramatically over time.

Vermont↗

Linking fire and the United Nations Sustainable Development Goals

Fire is a ubiquitous natural disturbance that affects 3–4% of the Earth's surface each year. It is a tool used by humans for land clearing and burning of agricultural wastes. The United Nations Sustainable Development Goals (SDGs) do not explicitly mention fire, though many of the Goals are affected by the beneficial and adverse consequences of fires on ecosystem services. There are at least three compelling reasons to include a fire perspective in the implementation of the United Nations Sustainable Development Goals. The first reason relates to the stated vision of the United Nations 2030 Agenda to protect the environment. In order to achieve environmental protection during sustainable development activities, it is necessary to understand and plan for the effects of disturbances, in this case fire, on ecosystem services. The second reason is that fires produce emissions with regional and global impacts on air quality and rainfall patterns. Fires contribute to global warming though the release greenhouse gases, primarily CO 2 , and black carbon, identified as a SLCP (short-lived climate pollutant). The third reason is that fire is one of several complex processes that lead to land degradation across the globe. Opportunities exist to incorporate a fire perspective into sustainable development projects or approaches. Two examples are highlighted here. Transdisciplinary communication and collaboration are needed to address the complex issues related to fire, and to climate and land use change.

Science of the Total Environment↗

Transport of suspended solids from a karstic to an alluvial aquifer: The role of the karst/alluvium interface

This study focuses on the coupled transport of dissolved constituents and particulates, from their infiltration on a karst plateau to their discharge from a karst spring and their arrival at a well in an alluvial plain. Particulate markers were identified and the transport of solids was characterised in situ in porous and karstic media, based on particle size analyses, SEM, and traces. Transport from the sinkhole to the spring appeared to be dominated by flow through karst: particulate transport was apparently conservative between the two sites, and there was little difference in the overall character of the particle size distribution of the particulates infiltrating the sinkhole and of those discharging from the spring. Qualitatively, the mineralogy of the infiltrating and discharging material was similar, although at the spring an autochthonous contribution from the aquifer was noted (chalk particles eroded from the parent rock by weathering). In contrast, transport between the spring and the well appears to be affected by the overlying alluvium: particles in the water from the well, showed evidence of considerable size-sorting. Additionally, SEM images of the well samples showed the presence of particles originating from the overlying alluvial system; these particles were not found in samples from the sinkhole or the spring. The differences between the particulates discharging from the spring and the well indicate that the water pumped from the alluvial plain is coming from the karst aquifer via the very transmissive, complex geologic interface between the underlying chalk formation and the gravel at the base of the overlying alluvial system. ?? 2002 Elsevier Science B.V. All rights reserved.

Journal of Hydrology↗

Proposing sources for discrete groundwater discharges to patterned pools in three regional raised northern peat bogs

Raised northern peat bogs are generally assumed to be entirely precipitation-fed (ombrogenous), suggesting they are void of groundwater (minerogenous) inflow from underlying sediments. Patterned pools in raised bogs have often been attributed to surficial flow filling depressions along the peat surface that produces subtle differences in peat pore-water chemistry. However, we present evidence that certain patterned pools may be partially fed by localized upwelling of minerogenous groundwater from underlying glacial sediments in three northern peat bogs of Maine, USA. Underlying permeable glacial deposits, embedded in hydraulically confining glacio-marine clay deposits, were delineated using ground-penetrating radar and transient electromagnetic surveys. Paired point measurements of temperature and specific conductance (SpC) were surveyed around pools, and statistical relationships indicative of groundwater upwelling were established. Uncrewed aerial systems (UAS) thermal infrared (TIR) mapping was conducted, augmented by handheld TIR imaging, to examine characteristic groundwater temperatures in cold and warm seasons across pool surfaces. Surface water samples were acquired to assess the relationship between SpC / temperature signals and elevated iron and manganese concentrations that could be indicative of glacial aquifer sources. The combined datasets present evidence for localized upwelling in pools underlain by glacial structures, and the possibility of minerogenous groundwater contributions. Upwelling through the peat matrix is possibly partially facilitated by macropore, “peat pipe” features that serve as preferential flowpaths of varying lengths to the surface. Such upwelling could drive a positive feedback loop where elevated concentrations of ionic constituents repeatedly dilate the peat matrix and/or terminal electron acceptors enhance anaerobic respiration and microbial activity, accelerating the humification of peat around patterned pools and potentially magnifying carbon loss.

Maine↗

Structural and functional effects of herbicides on non-target organisms in aquatic ecosystems with an emphasis on atrazine

Herbicide use has increased dramatically around the world over the past 6 decades (Gianessi and Reigner, 2007). Few herbicides were in use in the 1950s. However, by 2001 approximately 1.14 billion kilograms of herbicides were applied globally for the control of undesireable vegetation in agricultural, silvicultural, lawncare, aquacultural, and irrigation/recreational water management activities (Kiely et al., 2004). Twenty-eight percent of the total mass of herbicides is applied in the United States, with the remaining 72 percent being applied elsewhere around the globe (Kiely et al., 2004). Herbicides represent 36% of global pesticide use, followed by insecticides (25%), fungicides (10%) and other chemical classes (Kiely et al., 2004). Agricultural production accounts for approximately 90% of herbicide use in the U.S. (Kiely et al., 2004). Gianessi and Reigner (2007) indicated that herbicides are routinely used on more than 90% of the area designated for large commercial crops including corn, soybeans, cotton, sugar beets, peanuts, and rice. Increased farm mechanization, technological advancements in production of inexpensive sources of inorganic nitrogen fertilizer (e.g., anhydrous ammonia), and conversion of forest, grassland, and wetland habitats to cropland has led to a tremendous increase in global food production over the past half-century. Herbicides have augmented advances in large-scale agricultural systems and have largely replaced mechanical and hand-weeding control mechanisms (Gianessi and Reigner, 2007). The wide-spread use of herbicides in agriculture has resulted in frequent chemical detections in surface and groundwaters (Gilliom, 2007). The majority of herbicides used are highly water soluble and are therefore prone to runoff from terrestrial environments. In additon, spray drift and atmospheric deposition can contribute to herbicide contamination of aquatic environments. Lastly, selected herbicides are deliberately applied to aquatic environments for controlling nuisance aquatic vegetation. Although aquatic herbicide exposure has been widely documented, these exposures are not necessarily related to adverse non-target ecological effects on natural communities in aquatic environments. This chapter evaluates the potential for effects of herbicides on the structure and function of aquatic envrionments at the population, community, and ecosystem levels of biological organization. In this manuscript I examine several critical aspects of the subject matter area: primary herbicides in use and chemical modes of action; the regulatory process used for registration and risk assessment of herbicides; data regarding non-target risks and the relative sensitivity of aquatic plants, inveretebrates, and fish to herbicides; and emerging areas of science regarding the potential for endocrine-disrupting effects of herbicides on aquatic vertebrates. Much of the focus of this paper is on atrazine due to the extensive database which exists regarding its fate and effects.

Book chapter↗

Mississippi river sediment diversions and coastal wetland sustainability: Synthesis of responses to freshwater, sediment, and nutrient inputs

Management and restoration of coastal wetlands require insight into how inundation, salinity, and the availability of mineral sediment and nutrients interact to influence ecosystem functions that control sustainability. The Mississippi River Delta, which ranks among the world's largest and most productive coastal wetland complexes, has experienced extensive deterioration over the last century due, in large part, to enhanced vulnerability to relative sea-level rise and lateral erosion caused by a combination of natural processes and anthropogenic modifications of hydrology. This land loss crisis has prompted the State of Louisiana to develop a comprehensive restoration plan that includes constructing and implementing a series of large-scale sediment diversions that will reconnect sediment- and nutrient-rich Mississippi River water to adjacent bays, estuaries, and wetlands. Sediment loading through diversions is predicted to enhance the long-term sustainability of coastal wetlands; however, the additive effects of increased inundation, abrubt changes in the salinity regime, and high nutrient loads on wetland plant growth and organic matter (SOM) decomposition rates, which help regulate accretion and elevation change, is uncertain. Therefore, this review attempts to synthesize existing information to inform predictions of the interactive effects of diversions on these drivers of coastal wetland sustainability. The data suggest that sediment deposition within an optimal elevation range will increase the overall productivity of existing wetlands where prolonged flooding does not counter this effect by limiting plant growth. A reduction in salinity may increase plant productivity and cause vegetation shifts to less salt tolerant species, but seasonal swings in salinity may have unforeseen consequences. Nutrient-loading is predicted to lead to greater aboveground productivity, which, in turn, can facilitate additional sediment trapping; however, belowground productivity may decline, particularly in areas where sediment deposition is limited. In areas experiencing net deposition, nutrient-enrichment is predicted to enhance belowground growth into new sediment and contribute to positive effects on soil organic matter accumulation, accretion, and elevation change. Thus, we contend that sediment input is essential for limiting the negative effects of flooding and nutrient-enrichment on wetland processes. These conclusions are generally supported by the biophysical feedbacks occurring in existing prograding deltas of the Mississippi River Delta complex.

Louisiana↗

Spread of hybridization between native westslope cutthroat trout, Oncorhynchus clarki lewisi, and nonnative rainbow trout, Oncorhynchus mykiss

We examined spatial and temporal patterns of hybridization between native westslope cutthroat trout, Oncorhynchus clarki lewisi , and nonnative rainbow trout, O. mykiss , in streams of the Flathead River system in Montana, U.S.A. We detected hybridization in 24 of 42 sites sampled from 1998 to 2001. We found new Oncorhynchus mykiss introgression in seven of 11 sample populations that were determined to be nonhybridized in 1984. Patterns of spatial autocorrelation and linkage disequilibrium indicated that hybridization is spreading among sites and is advancing primarily via post-F 1 hybrids. Although hybridized populations were distributed widely throughout the study area, the genetic contribution from O. mykiss decreased with increasing upstream distance from the Flathead River mainstem, suggesting that O. mykiss introgression is spreading in an upstream direction. The spread of hybridization may be constrained more by demographic than by environmental factors, given that ( i ) hybridized populations generally encompassed the range of environmental variability in nonhybridized populations, and ( ii ) hybridization status was more strongly associated with neighborhood statistics than measured environmental gradients.

Montana↗

The life and scientific contributions of Lyman J. Briggs

Lyman J. Briggs (1874–1963), an early twentieth century physicist at the U.S. Department of Agriculture (USDA), made many significant contributions to our understanding of soil-water and plant-water interactions. He began his career at the Bureau of Soils (BOS) in 1896. At age 23, Briggs published (1897) a description of the roles of surface tension and gravity in determining the state of static soil moisture. Concepts he presented remain central to this subject more than 100 yr later. With J.W. McLane, Briggs developed the “moisture equivalent” concept (a precursor to the idea of field capacity) and a centrifuge apparatus for measuring it. Briggs left the BOS at the end of 1905, under pressure from Milton Whitney, and moved to the Bureau of Plant Industry. Briggs' multi-state experiments with H.L. Shantz on water-use efficiencies showed that in a climate like that of the Great Plains, plants use water more productively in the cooler north than in the warmer south. In 1920, he moved from the USDA to the National Bureau of Standards (NBS), rising to Director in 1933. Among his other contributions to the American scientific community was his leadership, beginning in 1939, of a top secret committee that evolved into the Manhattan Project to develop an atomic bomb during World War II. A life-long baseball fan, Briggs at age 84, studied the speed, spin, and deflection of the curve ball, aided by manager Cookie Lavagetto and the pitching staff of the Washington Senators; he published these findings in a paper in the American Journal of Physics in 1959.

Soil Science Society of America Journal↗

Sources of fecal indicator bacteria to groundwater, Malibu Lagoon and the near-shore ocean, Malibu, California, USA

Onsite wastewater treatment systems (OWTS) used to treat residential and commercial sewage near Malibu, California have been implicated as a possible source of fecal indicator bacteria (FIB) to Malibu Lagoon and the near-shore ocean. For this to occur, treated wastewater must first move through groundwater before discharging to the Lagoon or ocean. In July 2009 and April 2010, &delta; 18 O and &delta;D data showed that some samples from water-table wells contained as much as 70% wastewater; at that time FIB concentrations in those samples were generally less than the detection limit of 1 Most Probable Number (MPN) per 100 milliliters (mL). In contrast, Malibu Lagoon had total coliform, Escherichia coli , and enterococci concentrations as high as 650,000, 130,000, and 5,500 MPN per 100 mL, respectively, and as many as 12% of samples from nearby ocean beaches exceeded the U.S. Environmental Protection Agency single sample enterococci standard for marine recreational water of 104 MPN per 100 mL. Human-associated Bacteroidales , an indicator of human-fecal contamination, were not detected in water from wells, Malibu Lagoon, or the near-shore ocean. Similarly, microarray (PhyloChip) data show Bacteroidales and Fimicutes Operational Taxanomic Units (OTUs) present in OWTS were largely absent in groundwater; in contrast, 50% of Bacteroidales and Fimicutes OTUs present in the near-shore ocean were also present in gull feces. Terminal-Restriction Length Fragment Polymorphism (T-RFLP) and phospholipid fatty acid (PLFA) data showed that microbial communities in groundwater were different and less abundant than communities in OWTS, Malibu Lagoon, or the near-shore ocean. However, organic compounds indicative of wastewater (such as fecal sterols, bisphenol-A and cosmetics) were present in groundwater having a high percentage of wastewater and were present in groundwater discharging to the ocean. FIB in the near-shore ocean varied with tides, ocean swells, and waves. Movement of water from Malibu Lagoon through the sand berm at the mouth of the Lagoon contributed FIB to the adjacent beach at low tide. Similar increases in FIB concentrations did not occur at beaches adjacent to unsewered residential development, although wastewater indicator compounds and radon-222 (indicative of groundwater discharge) were present. High FIB concentrations at high tide were not related to groundwater discharge, but may be related to FIB associated with debris accumulated along the high-tide line.

California↗