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At least 775 records · Page 43Linked to original sources

Distance effects of gas field infrastructure on pygmy rabbits in southwestern Wyoming

As domestic energy development activity continues in the western United States, wildlife conservation planning in affected regions is increasingly important. The geologic basins where oil and gas energy exploration is occurring are primarily sagebrush steppe rangelands. Sagebrush steppe habitats may support more than 20 vertebrate species of conservation concern, and for many of these species, information is lacking on the effects of gas energy development. In earlier work, we demonstrated a negative relationship among development density of gas field infrastructure and pygmy rabbits ( Brachylagus idahoensis ). We now examine the spatial relationship among gas field infrastructure, pygmy rabbits, and their habitat on four major gas fields in southwest Wyoming. Using data collected from 120 plots over three years (2011–2013) and 2012 National Agriculture Imagery Program (NAIP) imagery, we evaluated (1) whether well pads are more likely to be located in areas of pygmy rabbit habitat, (2) whether the presence and abundance of pygmy rabbits are related to distance from infrastructure, and, if so, (3) how much of the total surface area on a gas field is affected. Well pads on three gas fields occurred in higher quality pygmy rabbit habitat than did a set of randomly generated points, and the abundance and probability of pygmy rabbits being present were lower within approximately 0.5–1.5 km of the nearest road and 2 km of well pads and utilities. Buffering a digital layer of roads and well pads on one gas field revealed that nearly 82% of the (4417 km 2 ) surface area was within 1 km of infrastructure, and over 95% of the gas field surface area was within 2 km. This need not be the case on future gas fields. Directional and horizontal well drilling technologies now make it possible for gas to be recovered from a greater area per well pad, enabling future gas field developments that require fewer well pads, roads, and pipeline corridors. Such changes would enable increased well pad spacing and provide the opportunity to locate gas field infrastructure in areas of poor quality wildlife habitat, avoid high priority habitat, and conserve a greater amount of on‐field wildlife habitat overall.

Wyoming↗

Differential landscape use by forest owls two years after a mixed-severity wildfire

Owls are important avian predators in forested systems, but little is known about landscape use by most forest-adapted owl species in environments impacted by mixed-severity wildfire. To better understand species-specific patterns of post-wildfire landscape use within an owl guild, we used passive acoustic monitoring using autonomous recording units. The technology is effective for multi-species surveys, especially if some species are rare, nocturnal, or difficult to detect by traditional means. In 2017, we surveyed the interior and adjacent unburned areas of a 10,700-ha mixed-severity wildfire that burned in 2015 in southwest Oregon. We used occupancy modeling to identify patterns of landscape use by five species of forest owls: barred owls ( Strix varia ), great horned owls ( Bubo virginianus ), western screech-owls ( Megascops kennicottii ), northern pygmy-owls ( Glaucidium gnoma ), and northern saw-whet owls ( Aegolius acadicus ). Our results showed a positive relationship between increasing fire severity and probability of use by western screech-owls and a similar but somewhat weaker relationship for northern pygmy-owls. Barred owls were rarely detected in severely burned areas and their use decreased with increased fire severity. We observed generally low landscape use for great horned owls, which decreased with increased fire severity and at higher elevations. Thus, four out of the five species appeared to use recently burned forests at different levels, with only northern saw-whet owls showing near-complete avoidance of the burned area. These findings increase our understanding of the basic ecology of each species and highlight the varied use of burned areas within this community. These previously undocumented patterns of landscape use in burned landscapes should provide insights to managers and policymakers in the Pacific Northwest as climate shifts, and fires may increase in size, frequency, and severity.

Oregon↗

Asynchronous flowering patterns in saguaro cacti (Carnegiea gigantea)

The saguaro cactus ( Carnegiea gigantea [Engelm.] Britton & Rose) is a keystone species endemic to the Sonoran Desert of northern Mexico and the southwestern United States. The saguaro produces large white flowers near its stem apex (crown) during April–June, which bloom at night and close the following day. In 1924, Duncan Johnson reported that saguaro floral buds are likely to have an asymmetrical distribution in which buds occur in higher densities on the eastern half of a plant's crown. Using technology not available to Johnson, we tested his observations to determine whether flowers are asymmetrically distributed using repeat photography. We also tested whether there is a seasonal pattern of flowering that may explain Johnson’s observations. We tracked intra-individual flowering phenology of 20 saguaros and measured 2372 flowers across two reproductive seasons in Saguaro National Park, Tucson, Arizona. Flowers first appeared on the east side of all saguaro crowns at the start of the reproductive season, and then spread radially in a counterclockwise direction as the season progressed. In contrast to previous reports, saguaro flowers were consistently more abundant on the northern part of the crown than in the eastern part. To our knowledge, this study is the first to document a seasonal, counterclockwise pattern of asynchronous flowering in saguaro or any angiosperm. We discuss potential drivers of this phenomenon as well as implications for saguaros responding to climate change.

Arizona↗

Estimating wolf abundance from cameras

Monitoring the abundance of rare carnivores is a daunting task for wildlife biologists. Many carnivore populations persist at relatively low densities, public interest is high, and the need for population estimates is great. Recent advances in trail camera technology provide an unprecedented opportunity for biologists to monitor rare species economically. Few studies, however, have conducted rigorous analyses of our ability to estimate abundance of low-density carnivores with cameras. We used motion-triggered trail cameras and a space-to-event model to estimate gray wolf ( Canis lupus ) abundance across three study areas in Idaho, USA, 2016–2018. We compared abundance estimates between cameras and noninvasive genetic sampling that had been extensively tested in our study areas. Estimates of mean wolf abundance from camera and genetic surveys were within 22% of one another and 95% CIs overlapped in 2 of the 3 years. A single camera with many detections appeared to bias camera estimates high in 2018. A subsequent bootstrapping procedure produced a population estimate from cameras equal to that derived from genetic sampling, however. Camera surveys were less than half the cost of genetic surveys once initial camera purchases were made. Our results suggest that cameras can be a viable method for estimating wolf abundance across broad landscapes (>10,000 km 2 ).

Idaho↗

Diverse migratory portfolios drive inter-annual switching behavior of elk across the Greater Yellowstone Ecosystem

A growing body of evidence shows that some ungulates alternate between migratory and nonmigratory behaviors over time. Yet it remains unclear whether such short-term behavioral changes can help explain reported declines in ungulate migration worldwide, as opposed to long-term demographic changes. Furthermore, advances in tracking technology reveal that a simple distinction between migration and nonmigration may not sufficiently describe all individual behaviors. To better understand the dynamics and drivers of ungulate switching behavior, we investigated 14 years of movement data from 361 elk in 20 herds across the Greater Yellowstone Ecosystem (GYE). First, we categorized yearly individual behaviors using a clustering algorithm that identified similar migratory tactics across a continuum of behaviors. Then, we tested seven hypotheses to explain why some ungulates switch behaviors, and we evaluated how behavioral changes affected the proportions of different behaviors across the system. We identified four distinct behavioral tactics: residents (4.8% of elk-years), short-distance migrants (53.7%), elevational migrants (21.9%) and long-distance migrants (19.6%). Of the 20 herds, 18 were partially migratory, and 5 had all four movement tactics present. We observed switches between migratory tactics in all sets of consecutive years during our study period, with an average of 22.5% of individual elk changing movement tactics from one year to the next. Elk in herds with higher movement tactic diversity were significantly more likely to switch tactics and often responded more effectively to adverse environmental conditions, compared to those in herds with low movement tactic diversity. During our study period, switching increased the prevalence of both short- and long-distance migrants, decreased the prevalence of elevational migrants, and had no effect on the prevalence of residents. Our findings suggest that rather than contributing to the declining migratory behavior found in the GYE, switching behavior may enable greater resiliency to continuously changing environmental and anthropogenic conditions.

Wyoming↗

Too much and not enough data: Challenges and solutions for generating information in freshwater research and monitoring

Evaluating progress toward achieving freshwater conservation and sustainability goals requires transforming diverse types of data into useful information for scientists, managers, and other interest groups. Despite substantial increases in the volume of freshwater data collected worldwide, many regions and ecosystems still lack sufficient data collection and/or data access. We illustrate how these data challenges result from a diverse set of underlying mechanisms and propose solutions that can be applied by individuals or organizations. We discuss creative approaches to address data scarcity, including the use of community science, remote-sensing, environmental sensors, and legacy datasets. We highlight the importance of coordinated data collection efforts among groups and training programs to improve data access. At the institutional level, we emphasize the power of prioritizing data curation, incentivizing data publication, and promoting research that enhances data coverage and representativeness. Some of these strategies involve technological and analytical approaches, but many necessitate shifting the priorities and incentives of organizations such as academic and government research institutions, monitoring groups, journals, and funding agencies. Our overarching goal is to stimulate discussion to narrow the data disparities hindering the understanding of freshwater processes and their change across spatial scales.

Nahuel Huapi Lake, Lake Tahoe↗

Critical considerations for communicating environmental DNA science

The economic and methodological efficiencies of environmental DNA (eDNA) based survey approaches provide an unprecedented opportunity to assess and monitor aquatic environments. However, instances of inadequate communication from the scientific community about confidence levels, knowledge gaps, reliability, and appropriate parameters of eDNA-based methods have hindered their uptake in environmental monitoring programs and, in some cases, has created misperceptions or doubts in the management community. To help remedy this situation, scientists convened a session at the Second National Marine eDNA Workshop to discuss strategies for improving communications with managers. These include articulating the readiness of different eDNA applications, highlighting the strengths and limitations of eDNA tools for various applications or use cases, communicating uncertainties associated with specified uses transparently, and avoiding the exaggeration of exploratory and preliminary findings. Several key messages regarding implementation, limitations, and relationship to existing methods were prioritized. To be inclusive of the diverse managers, practitioners, and researchers, we and the other workshop participants propose the development of communication workflow plans, using RACI (Responsible, Accountable, Consulted, Informed) charts to clarify the roles of all pertinent individuals and parties and to minimize the chance for miscommunications. We also propose developing decision support tools such as Structured Decision-Making (SDM) to help balance the benefits of eDNA sampling with the inherent uncertainty, and developing an eDNA readiness scale to articulate the technological readiness of eDNA approaches for specific applications. These strategies will increase clarity and consistency regarding our understanding of the utility of eDNA-based methods, improve transparency, foster a common vision for confidently applying eDNA approaches, and enhance their benefit to the monitoring and assessment community.

Environmental DNA↗

DNA retention in sea lamprey digestive tracts: Insights from controlled feeding experiments

The sea lamprey ( Petromyzon marinus ), a non-native species in the Laurentian Great Lakes, has significantly impacted native fish communities and commercial fisheries, requiring population suppression efforts. While traditional control methods such as lampricides and barriers have reduced sea lamprey population abundance, questions remain regarding sea lamprey dietary composition given the focus of current damage assessments on economically and ecologically important host species. Recent advances in molecular technology offer promising methods of sea lamprey dietary assessment. Specifically, DNA metabarcoding enables species-specific identification of taxonomically diverse prey items from gut and fecal samples, and has proven effective in many taxa, including hematophagous species such as Arctic lamprey ( Lethenteron camtschaticum ) and sea lamprey. However, studies on DNA retention within digestive tracts are limited, particularly given the potential effects of environmental and dietary factors among hematophagous species. We used controlled feeding experiments to understand the effects these factors may have on DNA retention and host detectability within sea lamprey digestive tracts. Additionally, we evaluated the utility of metabarcoding for identifying multiple host species from consecutive feedings. Results indicate that host DNA can be detected up to 30 days post-feeding, with detection probability decreasing with increasing time following feeding. Temperature effects were dependent upon fasting periods, and host-switching trials indicated multiple previous host species could be detected from a single lamprey. Findings provide valuable insights for refining dietary analysis protocols for wild-caught sea lamprey within native and introduced ranges.

Environmental DNA↗

Velocity Mapping Toolbox (VMT): a processing and visualization suite for moving-vessel ADCP measurements

The use of acoustic Doppler current profilers (ADCP) for discharge measurements and three-dimensional flow mapping has increased rapidly in recent years and has been primarily driven by advances in acoustic technology and signal processing. Recent research has developed a variety of methods for processing data obtained from a range of ADCP deployments and this paper builds on this progress by describing new software for processing and visualizing ADCP data collected along transects in rivers or other bodies of water. The new utility, the Velocity Mapping Toolbox (VMT), allows rapid processing (vector rotation, projection, averaging and smoothing), visualization (planform and cross-section vector and contouring), and analysis of a range of ADCP-derived datasets. The paper documents the data processing routines in the toolbox and presents a set of diverse examples that demonstrate its capabilities. The toolbox is applicable to the analysis of ADCP data collected in a wide range of aquatic environments and is made available as open-source code along with this publication.

Earth Surface Processes and Landforms↗

Estimating sand concentrations using ADCP‐based acoustic inversion in a large fluvial system characterized by bi‐modal suspended‐sediment distributions

Quantifying sediment flux within rivers is a challenge for many disciplines due, mainly, to difficulties inherent to traditional sediment sampling methods. These methods are operationally complex, high cost, and high risk. Additionally, the resulting data provide a low spatial and temporal resolution estimate of the total sediment flux, which has impeded advances in the understanding of the hydro‐geomorphic characteristics of rivers. Acoustic technologies have been recognized as a leading tool for increasing the resolution of sediment data by relating their echo intensity level measurements to suspended sediment. Further effort is required to robustly test and develop these techniques across a wide range of conditions found in natural river systems. This article aims to evaluate the application of acoustic inversion techniques using commercially available, down‐looking acoustic Doppler current profilers (ADCPs) in quantifying suspended sediment in a large sand bed river with varying bi‐modal particle size distributions, wash load and suspended‐sand ratios, and water stages. To achieve this objective, suspended sediment was physically sampled along the Paraná River, Argentina, under various hydro‐sedimentological regimes. Two ADCPs emitting different sound frequencies were used to simultaneously profile echo intensity level within the water column. Using the sonar equation, calibrations were determined between suspended‐sand concentrations and acoustic backscatter to solve the inverse problem. The study also analyzed the roles played by each term of the sonar equation, such as ADCP frequency, power supply, instrument constants, and particle size distributions typically found in sand bed rivers, on sediment attenuation and backscatter. Calibrations were successfully developed between corrected backscatter and suspended‐sand concentrations for all sites and ADCP frequencies, resulting in mean suspended‐sand concentration estimates within about 40% of the mean sampled concentrations. Noise values, calculated using the sonar equation and sediment sample characteristics, were fairly constant across evaluations, suggesting that they could be applied to other sand bed rivers.

Earth Surface Processes and Landforms↗

River Metabolism Estimation Tools (RiverMET) with demo in the Illinois River Basin

Ecosystem metabolism quantifies the rate of production, maintenance, and decay of organic matter in terrestrial and aquatic systems. It is a fundamental measure of energy flow associated with biomass production by photosynthesizing organisms and biomass oxidation by respiring plants, animals, algae, and bacteria (Bernhardt et al., 2022) . Ecosystem metabolism also provides an understanding of energy flow to higher trophic levels that supports secondary and tertiary productivity, as well as helping to explain when aquatic ecosystems undergo out-of-balance behaviors such as harmful algal blooms and hypoxia. Recent advances in sensor technology and modeling capabilities have enabled estimation of aquatic system metabolism and gas exchange over long time periods in rivers, streams, ponds, and wetlands where oxygen sensors have been deployed. Here we present RiverMET, a framework for estimation of river metabolism, with workflows to streamline data preparation, run a stream metabolism model, assess the model performance, and flag and censor final output data. The workflows are specifically tailored to use streamMetabolizer, a model for one-station calculations of stream metabolism that calculates gross primary productivity (GPP), ecosystem respiration (ER) and the air-water gas exchange rate constant (K600). We advise potential users of RiverMET to review core publications for the streamMetabolizer model (Appling et al., 2018 a, b, c) to ensure best practices that produce the most useful results. We encourage feedback about our workflows, although issues regarding the streamMetabolizer model itself should be referred to the model authors. We tested RiverMET by calculating GPP, ER, and K600 across 17 river sites in the Illinois River basin (ILRB). Each river had between one and nine years of sensor data appropriate for modeling metabolism. In total, metabolism was modeled on 15,176 days between 2005 and 2020. Overall confidence in the results was rated as high at nine river sites, medium at six river sites, and poor at two river sites. Twenty-nine percent of the total modeled days had performance metrics that triggered flags. Metrics used for daily flagging are provided with the final output, with an option to only retain the censored daily outputs with high confidence (representing 72 %, i.e., 10,938 days, of the total days modeled). This work was completed as part of the U.S. Geological Survey Proxies Project, an effort supported by the Water Mission Area (WMA) Water Quality Processes program to develop estimation methods for harmful algal blooms (HABs), per- and polyfluoroalkyl substances (PFAS), and metals, at multiple spatial and temporal scales.

Illinois River Basin↗

In situ and laboratory toxicity of coalbed natural gas produced waters with elevated sodium bicarbonate

Some tributaries in the Powder River Structural Basin, USA, were historically ephemeral, but now contain water year round as a result of discharge of coalbed natural gas (CBNG)-produced waters. This presented the opportunity to study field sites with 100% effluent water with elevated concentrations of sodium bicarbonate. In situ experiments, static renewal experiments performed simultaneously with in situ experiments, and static renewal experiments performed with site water in the laboratory demonstrated that CBNG-produced water reduces survival of fathead minnow ( Pimephales promelas ) and pallid sturgeon ( Scaphirhynchus albus ). Age affected survival of fathead minnow, where fish 2 d posthatch (dph) were more sensitive than 6 dph fish, but pallid sturgeon survival was adversely affected at both 4 and 6 dph. This may have implications for acute assays that allow for the use of fish up to 14 dph. The survival of early lifestage fish is reduced significantly in the field when concentrations of NaHCO 3 rise to more than 1500 mg/L (also expressed as >1245 mg HCO 3 (-) /L). Treatment with the Higgin's Loop technology and dilution of untreated water increased survival in the laboratory. The mixing zones of the 3 outfalls studied ranged from approximately 800 m to 1200 m below the confluence. These experiments addressed the acute toxicity of effluent waters but did not address issues related to the volumes of water that may be added to the watershed.

Environmental Toxicology and Chemistry↗

Metal Mixture Modeling Evaluation project: 2. Comparison of four modeling approaches

As part of the Metal Mixture Modeling Evaluation (MMME) project, models were developed by the National Institute of Advanced Industrial Science and Technology (Japan), the U.S. Geological Survey (USA), HDR⎪HydroQual, Inc. (USA), and the Centre for Ecology and Hydrology (UK) to address the effects of metal mixtures on biological responses of aquatic organisms. A comparison of the 4 models, as they were presented at the MMME Workshop in Brussels, Belgium (May 2012), is provided herein. Overall, the models were found to be similar in structure (free ion activities computed by WHAM; specific or non-specific binding of metals/cations in or on the organism; specification of metal potency factors and/or toxicity response functions to relate metal accumulation to biological response). Major differences in modeling approaches are attributed to various modeling assumptions (e.g., single versus multiple types of binding site on the organism) and specific calibration strategies that affected the selection of model parameters. The models provided a reasonable description of additive (or nearly additive) toxicity for a number of individual toxicity test results. Less-than-additive toxicity was more difficult to describe with the available models. Because of limitations in the available datasets and the strong inter-relationships among the model parameters (log KM values, potency factors, toxicity response parameters), further evaluation of specific model assumptions and calibration strategies is needed.

Environmental Toxicology and Chemistry↗

Nanomaterials in the environment: Behavior, fate, bioavailability, and effects—An updated review

The present review covers developments in studies of nanomaterials (NMs) in the environment since our much cited review in 2008. We discuss novel insights into fate and behavior, metrology, transformations, bioavailability, toxicity mechanisms, and environmental impacts, with a focus on terrestrial and aquatic systems. Overall, the findings were that: 1) despite substantial developments, critical gaps remain, in large part due to the lack of analytical, modeling, and field capabilities, and also due to the breadth and complexity of the area; 2) a key knowledge gap is the lack of data on environmental concentrations and dosimetry generally; 3) substantial evidence shows that there are nanospecific effects (different from the effects of both ions and larger particles) on the environment in terms of fate, bioavailability, and toxicity, but this is not consistent for all NMs, species, and relevant processes; 4) a paradigm is emerging that NMs are less toxic than equivalent dissolved materials but more toxic than the corresponding bulk materials; and 5) translation of incompletely understood science into regulation and policy continues to be challenging. There is a developing consensus that NMs may pose a relatively low environmental risk, but because of uncertainty and lack of data in many areas, definitive conclusions cannot be drawn. In addition, this emerging consensus will likely change rapidly with qualitative changes in the technology and increased future discharges.

Environmental Toxicology and Chemistry↗

Quality control considerations for the determination of acid-volatile sulfide and simultaneously extracted metals in sediments

The determination of acid-volatile sulfide (AVS) and simultaneously extracted metals (SEMs) in sediment by treatment with dilute HCl shows promise as a tool for predicting the potential for metal toxicity to sediment-dwelling organisms. Effective quality control measures must be developed if this method is to become a reliable procedure and to ensure comparability of data. However, establishing quality control measures that assess procedural errors for an operationally defined method can be problematic. For example, preextraction spikes added for assessing the accuracy of AVS and SEMs may be poorly recovered due to adsorption or reaction with sediment constituents. For a variety of sediment types, we found preextraction spikes of sulfide, mercury, and copper to be prone to variable recoveries for the AVS/SEM procedure; recoveries averaged 76.3% (SD, 20.9) for sulfide, 61.9% (39.6) for Hg, and 90.1% (12.7) for Cu. The average recovery was near 100% for preextraction spikes of sediments for Cd, Ni, Pb, and Zn, and the recoveries of preextraction blank spikes for all analytes were consistently 95 to 105%. Binding of Cu or Hg with sulfides is sufficiently strong that 1 N hydrochloric acid will not necessarily keep the spiked metal in the dissolved state. This does not mean that the SEM procedure is invalid for these metals, only that the quality control of procedural error is difficult to assess. However, Hg will generally not be detected when measured as an SEM because of its tendency to adsorb onto sulfide minerals even at extremely low pH. Some reference sediments may be useful for assessing consistency of AVS determinations; we measured 5.97 ± 0.65 μmol/g in National Institute of Standards and Technology (NIST) 1645 and 1.34 ± 0.14 μmol/g in NIST 2704 for repeated determinations conducted over the past 3 years. Apparently, some sediments may contain an oxidation-resistant sulfide component that can release low to moderate AVS when treated with dilute HCl.

Environmental Toxicology and Chemistry↗

Inexpensive, underwater filming of rare fishes in high definition

Generating public interest in fish and their biology is often challenging. Many aquatic species are cryptic and largely invisible to the public. Therefore, increasing public awareness of cryptic fishes and elevating their visibility to broad audiences requires innovation. Inexpensive technological advancements now provide fisheries biologists, managers, and researchers with means never before possible for documenting fish in their natural habitat via underwater videography. We investigated cost efficient and simple methods for capturing and creating high quality, high definition, and informative underwater videos that could be used by people with little or no previous experience in videography. We tested 1) a variety of filming equipment including cameras and camera recording settings, lenses, batteries, and memory cards; 2) active and passive camera deployment techniques; and 3) a variety of free and paid postproduction software and compared them for ease of use, expense, and quality of output. Highest quality footage, i.e., highest resolution, clearest, and most stable, was obtained using a GoPro action camera deployed underwater in a stationary position mounted to a metal base plate using a combination of stock and macro lenses, and filming in 4K resolution at 30 frames per second. Final production videos were created using Adobe Premiere Pro.

Fisheries Magazine↗

Themes of contemporary inland fisheries goals

Goals are important for the effective execution of public trust responsibilities by state inland fisheries bureaus, but formulating meaningful goals is not simple. Often bureaus look to their past and to their sister bureaus in neighboring states when crafting goals for their own freshwater resources. Herein, we review the goal themes of fisheries bureaus using publicly available documents and guided by previous literature. We test whether goals exhibit geographic patterns presuming that differences and similarities in climate, natural resources, and people determine, to various degrees, the goal themes across the U.S. We identified nine distinct goal themes but found that they do not form clear geographic patterns, which contrasts with a similar analysis conducted in the 1970s. Since the 1970s, fisheries bureau goals have expanded and regionalism in goals has vanished. We suggest that changes in perspectives and communication technology, as well as provisions within nationwide funding mechanisms have led to goals becoming more homogenous across the U.S. and more diverse within each bureau.

Fisheries Magazine↗

Side-scan sonar as a tool for measuring fish populations: Current state of the science and future directions

Side-scan sonar (SSS) is a powerful tool that can be used to address many key questions in fisheries science. In principle, SSS uses dual transducers to transmit a narrow-beam, wide-angle acoustic signal as the survey vessel transits an area. The intensity of reflected sound is recorded to generate an image mosaic comprised of benthic substrates and targets in the water column, including organisms such as fish. Although SSS has been around for decades, recent advancements have opened new opportunities to leverage this technology to directly measure fish populations. In this paper, we review the current state of the science and identify opportunities to further refine SSS for fisheries applications.

Fisheries↗