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At least 811 records · Page 45Linked to original sources

Tectonic map of the Circum-Pacific region, Pacific basin sheet

Circum-Pacific Map Project : The Circum-Pacific Map Project was a cooperative international effort designed to show the relationship of known energy and mineral resources to the major geologic features of the Pacific basin and surrounding continental areas. Available geologic, mineral, and energy-resource data are being complemented by new, project-developed data sets such as magnetic lineations, seafloor mineral deposits, and seafloor sediment. Earth scientists representing some 180 organizations from more than 40 Pacific-region countries are involved in this work. Six overlapping equal-area regional maps at a scale of 1:10,000,000 form the cartographic base for the project: the four Circum-Pacific Quadrants (Northwest, Southwest, Southeast, and Northeast), and the Antarctic and Arctic Sheets. There is also a Pacific Basin Sheet at a scale of 1:17,000,000. The Base Map Series and the Geographic Series (published from 1977 to 1990), the Plate-Tectonic Series (published in 1981 and 1982), the Geodynamic Series (published in 1984 and 1985), and the Geologic Series (published from 1984 to 1989) all include six map sheets. Other thematic map series in preparation include Mineral-Resources, Energy-Resources and Tectonic Maps. Altogether, more than 50 map sheets are planned. The maps were prepared cooperatively by the Circum-Pacific Council for Energy and Mineral Resources and the U.S. Geological Survey and are available from the Branch of Distribution, U. S. Geological Survey, Box 25286, Federal Center, Denver, Colorado 80225, U.S.A. The Circum-Pacific Map Project is organized under six panels of geoscientists representing national earth-science organizations, universities, and natural-resource companies. The six panels correspond to the basic map areas. Current panel chairmen are Tomoyuki Moritani (Northwest Quadrant), R. Wally Johnson (Southwest Quadrant), Ian W.D. Dalziel (Antarctic Region), vacant. (Southeast Quadrant), Kenneth J. Drummond (Northeast Quadrant), and George W. Moore (Arctic Region). Project coordination and final cartography was being carried out through the cooperation of the Office of the Chief Geologist of the U.S. Geological Survey, under the direction of General Chairman, George Gryc of Menlo Park, California. Project headquarters were located at 345 Middlefield Road, MS 952, Menlo Park, California 94025, U.S.A. The framework for the Circum-Pacific Map Project was developed in 1973 by a specially convened group of 12 North American geoscientists meeting in California. The project was officially launched at the First Circum-Pacific Conference on Energy and Mineral Resources, which met in Honolulu, Hawaii, in August 1974. Sponsors of the conference were the AAPG, Pacific Science Association (PSA), and the Coordinating Committee for Offshore Prospecting for Mineral Resources in Offshore Asian Areas (CCOP). The Circum-Pacific Map Project operates as an activity of the Circum-Pacific Council for Energy and Mineral Resources, a nonprofit organization that promotes cooperation among Circum-Pacific countries in the study of energy and mineral resources of the Pacific basin. Founded by Michel T. Halbouty in 1972, the Council also sponsors conferences, topical symposia, workshops and the Earth Science Series books. Tectonic Map Series : The tectonic maps distinguish areas of oceanic and continental crust. Symbols in red mark active plate boundaries, and colored patterns show tectonic units (volcanic or magmatic arcs, arc-trench gaps, and interarc basins) associated with active plate margins. Well-documented inactive plate boundaries are shown by symbols in black. The tectonic development of oceanic crust is shown by episodes of seafloor spreading. These correlate with the rift and drift sequences at passive continental margins and episodes of tectonic activity at active plate margins. The recognized episodes of seafloor spreading seem to reflect major changes in plate kinematics. Oceanic plateaus and other prominences of greater than normal oceanic crustal thickness such as hotspot traces are also shown. Colored areas on the continents show the ages of deformation and metamorphism of basement rocks and the emplacement of igneous rocks. Transitional tectonic (molassic) and reactivation basins are shown by a colored boundary, and if they are deformed, a colored horizontal line pattern indicates the age of deformation. Colored bands along basin boundaries indicate age of inception, and isopachs indicate thickness of platform strata on continental crust and cover on oceanic crust. Colored patterns at separated continental margins show the age of inception of rift and drift (breakup) sequences. Symbols mark folds and faults, and special symbols show volcanoes and other structural features. Affiliations are as of compilation of the data. This map was created in quadrants and then compiled together. They are the Northwest land, Northwest Marine (different compilers), Northeast, Southwest and Southeast, and parts in plate-boundary sections.

Circum-Pacific Map↗

Model of whooping crane energetics as foundation for development of a method to assess potential take during migration

A whooping crane energetic model was developed as a component of a larger effort to ascertain potential take, as defined by the Endangered Species Act, of whooping cranes from proposed development of wind-energy infrastructure in the Great Plains of North America. The primary objectives of this energetic model were to (1) predict extra flight energy that whooping cranes may require to find suitable migration stopover sites if they are unable to use a primary site; and (2) express energy expended as additional time required to replenish lipid reserves used to fuel flight. The energetic model is based on three elements related to energy: expenditure of energy, intake of energy, and constraints to energy intake. The energetic model estimates each element and recognizes interactions among them. This framework will be most useful when integrated into a migration model that predicts incidence of avoidance of wind towers by whooping cranes and distances they might fly to find alternative stopover habitat. This report details work conducted in accordance with the U.S. Geological Survey and U.S. Fish and Wildlife Service Quick Response Program funded in fiscal year 2011 and will serve as a final report.

Open-File Report↗

U.S. Geological Survey science for the Wyoming Landscape Conservation Initiative—2015 annual report

This is the eighth annual report highlighting U.S. Geological Survey (USGS) science and decision-support activities conducted for the Wyoming Landscape Conservation Initiative (WLCI). The activities address specific management needs identified by WLCI partner agencies. In 2015, USGS scientists continued 24 WLCI projects in 5 categories: (1) acquiring and analyzing resource-condition data to form a foundation for understanding and monitoring landscape conditions and projecting changes; (2) using new technologies to improve the scope and accuracy of landscape-scale monitoring and assessments, and applying them to monitor indicators of ecosystem conditions and the effectiveness of on-the-ground habitat projects; (3) conducting research to elucidate the mechanisms that drive wildlife and habitat responses to changing land uses; (4) managing and making accessible the large number of databases, maps, and other products being developed; and (5) coordinating efforts among WLCI partners, helping them to use USGS-developed decision-support tools, and integrating WLCI outcomes with future habitat enhancement and research projects. Of the 24 projects, 21 were ongoing, including those that entered new phases or more in-depth lines of inquiry, 2 were new, and 1 was completed. A highlight of 2015 was the WLCI science conference sponsored by the USGS, Bureau of Land Management, and National Park Service in coordination with the Wyoming chapter of The Wildlife Society. Of 260 participants, 41 were USGS professionals representing 13 USGS science centers, field offices, and Cooperative Wildlife Research Units. Major themes of USGS presentations included using new technologies for developing more efficient research protocols for modeling and monitoring natural resources, researching effects of energy development and other land uses on wildlife species and habitats of concern, and modeling species distributions, population trends, habitat use, and effects of land-use changes. There was also a special session on the effectiveness of Wyoming’s Sage-Grouse Executive Order. Combined, USGS presentations provided WLCI partners with a wealth of information and conservation tools. The project completed in 2015 yielded an index of important agricultural lands in the WLCI region. The index improves upon existing measures of agricultural productivity and provides planners and managers with additional values to consider when making decisions about land use and conservation actions. The two new projects include an analysis of satellite imagery to quantify sagebrush productivity and mortality, and an evaluation of how groundwater and small streams interact in the upper Green River Basin. Initiated in response to concern among WLCI partners that large areas of sagebrush appear to have died recently, the sagebrush study objectives are to assess effects of these mortality events on overall sagebrush ecosystem productivity, evaluate the feasibility of using satellite imagery to detect patterns in sagebrush mortality over time, and identify factors driving these mortality events. The groundwater-streamflow interaction study is being conducted by hydrologists and fish ecologists to better understand how groundwater-streamflow interactions are affected by energy-resource development and how native fish communities are affected by these factors. Expected outcomes of both new projects will provide WLCI partners with additional information and decision-support tools. Highlights of ongoing science foundation activities included simulations of nine alternative build-out scenarios for oil and gas development and an associated online fact sheet that explains how the simulations were conducted, with an applied example for the Atlantic Rim. Also completed in 2015 was an update of the USGS online inventory of mineral resources data, and publication of a USGS uranium resource survey for the WLCI region. Combined, the outcomes of this work provide decisionmakers and managers with important baseline information for existing and (or) future planning and monitoring efforts. Terrestrial monitoring activities in 2015 emphasized the use of satellite data in combination with other technologies and field data to monitor, assess, and (or) forecast distribution patterns and (or) trends in sagebrush ecosystems, seasonal and migration stopover habitats used by mule deer and elk, and semi-arid aspen woodlands. Several professional papers detailing new monitoring models and results have been published. Combined, this and related work will help managers understand distribution patterns and trends among priority habitats, identify areas in need of restoration or conservation, and monitor the effectiveness of habitat-management actions. Aquatic monitoring activities entailed not only the new groundwater-streamflow interaction study already mentioned, but also continued monitoring with streamgages paired with nearby wells in the Green River Basin to assess groundwater effects on streamflow and surface water temperatures. A map that portrays groundwater levels and general direction of flow in the Green River Basin was published as well . Overall, outcomes of USGS hydrological research and monitoring will inform WLCI partners about water resources in the WLCI region and help to explain fish-community responses to energy-resource development. In 2015, USGS terrestrial wildlife ecologists continued to make crucial strides towards better understanding wildlife species responses to energy-resource development and other land-use changes. This body of research includes six taxa that require or heavily depend on sagebrush habitats: sage-grouse, pygmy rabbits, 3 songbird species, and mule deer. Native fish communities are also being evaluated. Approaches include modeling and mapping wildlife species distributions, abundances, and trends; using satellite and other technologies to track wildlife seasonal movements; conducting successive phases of research that build on the knowledge gained through prior phases to reveal the specific factors or thresholds that drive population- or individual-level responses to changes; and conducting population viability analyses. Additionally, wildlife habitat association models for pygmy rabbit and sage-grouse were combined with the oil and gas build-out scenarios to project species responses to alternative energy development scenarios. Outcomes of the wildlife response research are helping decisionmakers and managers identify specific factors that contribute to species population trends, the potential for spatial overlap between important wildlife habitats and proposed energy-resource development, locations of priority habitats for restoration and conservation, and more. Data and WLCI Web site management highlights of 2015 included not only ongoing software upgrades, but also an update of the datasets displayed in two of the online products developed for the WLCI effort: (1) a map of 15,532 oil and natural gas well pad scars and other features associated with oil and gas extraction, and (2) a map of oil and gas, oil shale, uranium, and solar energy production, both for southwestern Wyoming. In addition, a map viewer was developed for a previously published map of coal and wind production in relation to sage-grouse distribution and core management areas in southwestern Wyoming. Combined, these maps place valuable decision-support tools in the hands of WLCI partners. The USGS coordination efforts on behalf of the WLCI in 2015 included significant work on planning and executing the WLCI science conference. They also included ongoing efforts to support Local Project Development Teams and the WLCI Coordination Team (CT) with developing conservation priorities and strategies, identifying priority areas for future conservation actions, supporting the evaluation and ranking of conservation projects, and evaluating the ways in which proposed habitat projects relate to WLCI priorities. In 2015, the USGS also assisted the WLCI CT with updating the WLCI Conservation Action Plan.

Wyoming↗

Evaporation from Lake Mead and Lake Mohave, Nevada and Arizona, 2010–2019

Evaporation-rate estimates at Lake Mead and Lake Mohave, Nevada and Arizona, were based on eddy covariance and available energy measurements from March 2010 through April 2019 at Lake Mead and May 2013 through April 2019 at Lake Mohave. The continuous data needed to compute monthly evaporation were collected from floating-platform and land-based measurement stations located at each reservoir. Collected data include latent- and sensible-heat fluxes, net radiation, air temperature, wind speed, humidity, and water-temperature profiles. Data collection, analysis methods, and monthly evaporation results for Lake Mead through February 2012 were documented in a U.S. Geological Survey (USGS) Scientific-Investigations Report, 2013–5229. Monthly evaporation and associated datasets for both reservoirs through April 2015 were published in a USGS Data Release (https://doi.org/10.5066/F79C6VG3). Average annual evaporation at Lake Mead was 1,896 millimeters (mm), which is a 10 percent difference from the 1,718 mm average annual evaporation at Lake Mohave; this was primarily due to differences in available energy. Average annual available energy at Lake Mead was 139 watts per square meter (W/m 2 ), which is an 18 percent difference from the 116 W/m 2 average annual available energy at Lake Mohave. Differences in available energy are driven by differences in advected heat between Lake Mead and Lake Mohave; advected heat at Lake Mohave is lower due to colder inflows and warmer outflows. Lake Mead monthly evaporation estimates for this study compare reasonably well to the Bureau of Reclamation’s 24-Month Study (24MS) evaporation coefficients, which are based on pioneering studies from the 1950s. Temporal trends in this study indicate that the effects of heat storage at Lake Mead were underestimated in the 24MS, particularly during the fall months when energy was released from the lake. Mean monthly evaporation rates at Lake Mead were greater than Lake Mohave from June through November during the study period. The seasonal pattern of evaporation at Lake Mohave in this study indicates that the effects of available energy were underestimated in the 24MS coefficients for this reservoir, and that evaporation was substantially overestimated from spring through summer during the study period of 2013 through 2019.

Arizona, Nevada↗

Influence of evaporation, ground water, and uncertainty in the hydrologic budget of Lake Lucerne, a seepage lake in Polk County, Florida

Evaporation losses and the interaction of ground water with Lake Lucerne were studied to determine the influence of these two processes on the hydrologic budget of a seepage lake. Lake Lucerne is representative of the numerous seepage lakes of sinkhole origin in the karst terrain of central Florida. Because of permeable surficial deposits, ground-water inflow is the only significant contribution from the surrounding watershed. The lake recharges the underlying Upper Floridan aquifer and, as a result, is susceptible to increased leakage induced by pumping from this aquifer. Ground-water fluxes determined in the study were analyzed to define the proportion of the total lake leakage induced by pumping from the Upper Floridan aquifer. A hydrologic budget is analyzed for the 1-year period from October 1985 to September 1986. Ground-water inflow and leakage are significant components of the hydrologic budget. Changes in the quantity of either of these fluxes can substantially alter lake stage. Ground-water inflow contributed from 20 to 37 percent of the total annual inflow to the lake. Leakage from the lake accounted for 18 to 23 percent of the total annual outflow. Water withdrawals from the Upper Floridan aquifer increased annual lake leakage by 22 percent over nonpumping conditions. Most of the increase (92 percent) in leakage occurred during April, May, and June 1986, when local citrus irrigation was highest. For the study year, ground-water inflow and leakage volumes were calculated by flow-net analysis to be equal to 10.5 and 12.6 inches, respectively, of water depth above (or below) the lake surface. These estimates were revised upward on the basis of an analysis of the error in the hydrologic-budget equation. Revised ground water inflow exceeded annual leakage from the lake. Ground-water inflow rates were increased by 120 percent to 23.6 inches, and leakage was increased by 40 percent to 17.5 inches. Differences between the two estimates probably reflect the uncertainty in the hydraulic conductivity estimates of the porous media around the lake and the unaccounted effect of transient ground-water inflow. The geometry of the sinkhole complex beneath Lake Lucerne and pumping in the Upper Floridan aquifer are primary controls on ground water interactions with the lake and, in particular, lake leakage. A numerical ground-water model was used to test the effects of these two factors on ground-water interactions with the lake. Results indicate that the intermediate confining unit below Lake Lucerne has been breached and replaced by materials about two orders of magnitude more conductive. Anisotropy in the surficial aquifer is approximately 100 and controls the depth of the ground-water flow intercepted by the lake. Lake sediments having low permeability may control the distribution of leakage through the lakebed but did not appreciably reduce total leakage rates in these simulations. Evaporation loss was the major outflow component of the hydrologic budget. Annual lake evaporation determined by the energy-budget method was 57.9 inches, about 8 inches greater than long-term estimates for the region. The greater rate was attributed to drier than normal conditions: rainfall totaled 40.9 inches during the study year, about 10 inches less than the long-term average. Similar annual evaporation rates were determined by the energy-budget method, the simpler mass-transfer method, and by corrected pan evaporation from an onsite pan; however, the probable errors associated with these other two methods were greater than for the energy budget. Weekly energy-budget evaporation rates ranged from 0.04 inch per day in early January 1986 to 0.26 inch per day in early May 1986. The largest monthly energy-budget evaporation rates occurred in April and May 1986, 7.16 and 7.12 inches per month, respectively. Monthly evaporation estimated from corrected pan evaporation generally was within 10 percent of the energy-budget estimate but differed by as much as 35 percent. Daily energy-budget evaporation also was computed for 321 days during the year.

Florida↗

Extreme reduction in nutritional value of a key forage fish during the Pacific marine heatwave of 2014–2016

Pacific sand lance Ammodytes personatus are a key forage fish in the North Pacific for many species of salmon, groundfish, seabirds, and marine mammals and have historically been important to predators in relatively warm years. However, extreme declines in the nutritional value of sand lance in Prince William Sound, Alaska, USA, during 2012-2016 indicate that energy transfer from lower trophic levels to predators via sand lance may have been disrupted during the North Pacific marine heatwave in 2015 and 2016. Nutritional value (length, energy density, and whole-body energy) was measured in age-0 and age-1 sand lance collected during July in cool (2012-2013) and increasingly warm (2014-2016) years. The value of age-0 fish was relatively stable, with only minor differences among years for length and whole-body energy. By contrast, the value of age-1 fish significantly declined in 2015, and by 2016 they were 38% shorter and 13% lower in energy density compared to cooler years. This contributed to significant declines in whole-body energy of 44% in 2015 and 89% in 2016 compared to cooler years (2012-2014). The 2015 sand lance cohort experienced little growth or lipid accumulation from July 2015 at age-0 to July 2016 at age-1. This effective disruption of energy flow through pelagic food webs probably contributed to population declines and/or breeding failures observed among several predators in the Gulf of Alaska and suggests that tipping points were reached during the heatwave.

Marine Ecology Progress Series↗

Seasonal influence of nutrients on the physiology and behavior of captive canvasbacks (Aythya valisineria)

Captive canvasbacks (Aythya valisineria) were maintained ad libitum on five diets during the winters of 1978-79 and 1979-80 to evaluate the effects of varying protein and energy levels on feed intake and condition. Diets were formulated to simulate either a natural diet high in invertebrates or one high in vegetation. Two diets low in protein and energy simulated stress diets. Feed intake during the 1979-80 winter, when diets varied the most, was 30% higher for canvasbacks fed the low energy (1543 kcal/kg) diet than for canvasbacks fed the high energy (3638 kcal/kg) diet. Body weight of males and females did not differ between groups fed different diets, but there were seasonal differences (P < 0.05) for both sexes aggregated across diets. Feed intake and body weights were greatest in November and April and least in January and February. Convasbacks lost weight and ate less during the most stressful periods despite ad libitum feed supplies. No differences could be detected in the behavior of captive canvasbacks as a result of the diets they received. Differences due to season and sex were observed for some behaviors. Inactivity increased (P < 0.05) during the winter apparently as a mechanism to conserve energy.Overall, captive canvasbacks were able to maintain themselves during winter on diets with as little as 10% protein and 1543 kcal/kg provided adequate quantities of food were available. Availability of low energy food (e.g. clams) may be the limiting factor in regard to winter survival of wild canvasbacks. The distribution and abundance of canvasbacks in some wintering areas ultimately has been influenced by the quantity and probably the quality of available nutrients.Data from this study indicate that canvasbacks are unable to adjust intake rates to compensate for low energy foods and may subsequently store less fat or modify behavior and microclimate. However, decreased weight, feed intake, and activity of ducks fed ad libitum rations occurred in mid-winter irrespective of diet quality and appeared to be an endogenous component of their annual cycle which persists in captivity. These changes apparently have a selective advantage of increasing the probability of survival in ducks by decreasing energy expenditure during periods of winter stress.

Dissertation Abstracts International↗

Non-lethal estimation of body composition of Yukon River salmon

Because of the importance of Chinook salmon to commercial and subsistence fisheries on the Yukon River, further study of the factors that may affect the success of this species and our ability to manage the fisheries is warranted. Critical to these studies is the determination of the amount of lipids (fat) stored and available to the fish as its primary energy source for migration and spawning. Recent developments of Bioelectrical Impedance Analysis (BIA) promise a simple, non-lethal means of estimating proximate composition (e.g. fat, protein, water content) for field applications with fish. The goal of the project was to develop BIA models for Chinook salmon from the Yukon River watershed that would permit the non-lethal estimation of body proximate composition for use in field studies. Our results clearly demonstrated that BIA can be used to estimate proximate composition and energy density of salmon. While some minor refinements were suggested, the methodology can be used in a wide variety of field applications. For instance, application of the BIA models to predict energy levels of fish during their migration will allow evaluation of management programs, while also yielding data that can be used to evaluate energy use along the migratory path. Correlations of energy level with ongoing tagging, radio-tracking, and genetic studies also have the potential to allow managers and scientists to understand the relationship between fat content and distance to spawning location. These models have the potential for application to this species in other river systems. They also provide tools for a variety of other scientific investigation such as: 1) differences in energy stores in spawning and recruitment success; 2) effects of global warming on migratory salmonid stocks; and 3) differences in annual flow and temperature regiments upon migratory energy costs and resulting recruitment success.

Alaska, Yukon↗

Food consumption and retention time in captive whooping cranes (Grus americana)

Food consumption, digesta retention time, and food preference were measured for captive whooping cranes fed pelleted diets. The basal commercial diet was compared to four mixtures containing 70% basal and 30% of one of four important winter foods for the whooping crane: blue crab ( Callinectes sapidus ), wolfberry fruit ( Lycium carolinianum ), live oak acorn ( Quercus virginiana ), or common Rangia clam ( Rangia cuneata ). Because captive birds would not eat whole foods, we were prevented from direct food preference tests. Food passed through the gut rapidly, with almost complete elimination within 7 hr. There was some indication that retention time was shorter for the low fiber and high ash and calcium clam diet. Cranes ate less wolfberry feed (g/day) than the other feeds, and all birds ate less wolfberry feed on the day it was first fed, compared to basal diet the previous day. Birds ate more low energy feed than high energy feed. Due to combined effects of low energy content, lower metabolizable energy coefficients, and reduced feed consumption, less energy was assimilated for study diets than basal diet. Apparent shorter retention times for some diets containing whooping crane foods may partly explain lower digestibilities and metabolizable energy of winter whooping crane foods compared to commercial crane diet.

Zoo Biology↗

Estimating offsets for avian displacement effects of anthropogenic impacts

Biodiversity offsetting, or compensatory mitigation, is increasingly being used in temperate grassland ecosystems to compensate for unavoidable environmental damage from anthropogenic developments such as transportation infrastructure, urbanization, and energy development. Pursuit of energy independence in the United States will expand domestic energy production. Concurrent with this increased growth is increased disruption to wildlife habitats, including avian displacement from suitable breeding habitat. Recent studies at energy-extraction and -generation facilities have provided evidence for behavioral avoidance and thus reduced use of habitat by breeding waterfowl and grassland birds in the vicinity of energy infrastructure. To quantify and compensate for this loss in value of avian breeding habitat, it is necessary to determine a biologically-based currency so that the sufficiency of offsets in terms of biological equivalent value can be obtained. We describe a method for quantifying the amount of habitat needed to provide equivalent biological value for avifauna displaced by energy and transportation infrastructure, based on the ability to define five metrics: impact distance, impact area, pre-impact density, percent displacement, and offset density. We calculate percent displacement values for breeding waterfowl and grassland birds and demonstrate the applicability of our avian-impact offset method using examples for wind and oil infrastructure. We also apply our method to an example in which the biological value of the offset habitat is similar to the impacted habitat, based on similarity in habitat type (e.g., native prairie), geographical location, land use, and landscape composition, as well as to an example in which the biological value of the offset habitat is dissimilar to the impacted habitat. We provide a worksheet that informs potential users how to apply our method to their specific developments and a framework for developing decision-support tools aimed at achieving landscape-level conservation goals.

Ecological Applications↗

Can oceanic prey effects on growth and time to fledging mediate terrestrial predator limitation of an at‐risk seabird?

Most seabird species nest colonially on cliffs or islands with limited terrestrial predation, so that oceanic effects on the quality or quantity of prey fed to chicks more often determine nest success. However, when predator access increases, impacts can be dramatic, especially when exposure to predators is extended due to slow growth from inadequate food. Kittlitz’s Murrelet ( Brachyramphus brevirostris ), a rare seabird having experienced serious declines, nests solitarily on the ground in barren, often alpine areas where exposure to predators is generally low. Nestling growth rates are exceptionally high and nestling periods very short relative to other Alcidae. This strategy reduces duration of exposure to predators, but demands adequate deliveries of high‐energy prey. In an area where foxes can access nests, we investigated whether varying energy content of prey fed to chicks could alter growth rates and resulting duration of predator exposure, and whether prolonged exposure appreciably reduced nest success. From 2009 to 2016, we monitored 139 nests; 49% were depredated (almost all by foxes) and 25% fledged. Prey fed to nestlings were 80% Pacific sand lance ( Ammodytes personatus ) and 19% capelin ( Mallotus villosus ), with capelin having 2.3× higher energy content per fish. In a year of slow chick growth, increased sand lance energy density of 31% (4.29–5.64 kJ/g, within published values), or increased proportion of capelin in the diet from 5.6% to 27.2%, would have allowed maximum chick growth. Maximum growth rates were attainable by delivering only 1.9 capelin/d versus 5.5 sand lance/d. Slow growth increased time to fledging by up to 5 d, decreasing survival by 7.7% (0.142–0.131). Breeding propensity of Kittlitz’s Murrelet averages only 20%, so even small changes in nest success could affect populations. Although nest success was limited mainly by predation, oceanic effects on prey quantity and quality had overriding impacts in one year (2015 heat wave), and small but substantive effects in other years by mediating exposure to predation. Climate warming that decreases availability of high‐energy forage fish, or increases expansion of predators into nesting habitats, may disproportionately affect this sensitive species and others with predator‐accessible nests and demands for energy‐rich prey.

Alaska↗

Tough places and safe spaces: Can refuges save salmon from a warming climate?

The importance of thermal refuges in a rapidly warming world is particularly evident for migratory species, where individuals encounter a wide range of conditions throughout their lives. In this study, we used a spatially explicit, individual-based simulation model to evaluate the buffering potential of cold-water thermal refuges for anadromous salmon and trout ( Oncorhynchus spp.) migrating upstream through a warm river corridor that can expose individuals to physiologically stressful temperatures. We considered upstream migration in relation to migratory phenotypes that were defined in terms of migration timing, spawn timing, swim speed, and use of cold-water thermal refuges. Individuals with different migratory phenotypes migrated upstream through riverine corridors with variable availability of cold-water thermal refuges and mainstem temperatures. Use of cold-water refuges (CWRs) decreased accumulated sublethal exposures to physiologically stressful temperatures when measured in degree-days above 20, 21, and 22°C. The availability of CWRs was an order of magnitude more effective in lowering accumulated sublethal exposures under current and future mainstem temperatures for summer steelhead than fall Chinook Salmon. We considered two emergent model outcomes, survival and percent of available energy used, in relation to thermal heterogeneity and migratory phenotype. Mean percent energy loss attributed to future warmer mainstem temperatures was at least two times larger than the difference in energy used in simulations without CWRs for steelhead and salmon. We also found that loss of CWRs reduced the diversity of energy-conserving migratory phenotypes when we examined the variability in entry timing and travel time outside of CWRs in relation to energy loss. Energy-conserving phenotypic space contracted by 7%–23% when CWRs were unavailable under the current thermal regime. Our simulations suggest that, while CWRs do not entirely mitigate for stressful thermal exposures in mainstem rivers, these features are important for maintaining a diversity of migration phenotypes. Our study suggests that the maintenance of diverse portfolios of migratory phenotypes and cool- and cold-water refuges might be added to the suite of policies and management actions presently being deployed to improve the likelihood of Pacific salmonid persistence into a future characterized by climate change.

Idaho, Oregon, Washington↗

Effects of pre- and postnatal polychlorinated biphenyl exposure on metabolic rate and thyroid hormones of white-footed mice

Energy budgets have proven to be a valuable tool for predicting life history from physiological data in terrestrial vertebrates, yet these concepts have not been applied to the physiological effects of contaminants. Contaminants might affect energy budgets by imposing an additional metabolic cost or by reducing the overall amount of energy taken in; either process will reduce the energy available for production (i.e., growth or reproduction). This study examined whole animal energetic effects of polychlorinated biphenyl (PCB) exposure in white-footed mice ( Peromyscus leucopus ). Exposure to PCBs is known to reduce concentrations of plasma thyroid hormones, and thyroid hormones exert strong control over the rate of energy metabolism in mammals. Peromyscus leucopus that were proven breeders were fed PCBs in their food at 0, 10, and 25 ppm. Through lactation, offspring were exposed to PCB from conception and were maintained on the maternal diet to adulthood. No effects were seen on energy metabolism (O 2 consumption, measured in adulthood) or on growth, but there were large dose-dependent decreases in thyroid hormone concentrations, particularly T 4 . The apparent disparity in our data between unchanged metabolic rates and 50% reductions in T 4 concentrations can be rationalized by noting that free T 3 (the fraction not bound to plasma protein) in treated mice was not significantly different from controls and that metabolism is most strongly influenced by free T 3 . Overall, this study did not demonstrate any energetic consequences of PCB exposure in P. leucopus at dietary concentrations up to 25 ppm.

Environmental Toxicology and Chemistry↗

Mammalian mesocarnivore visitation at tortoise burrows in a wind farm

There is little information on predator–prey interactions in wind energy landscapes in North America, especially among terrestrial vertebrates. Here, we evaluated how proximity to roads and wind turbines affect mesocarnivore visitation with desert tortoises ( Gopherus agassizii ) and their burrows in a wind energy landscape. In 2013, we placed motion-sensor cameras facing the entrances of 46 active desert tortoise burrows in a 5.2-km 2 wind energy facility near Palm Springs, California, USA. Cameras recorded images of 35 species of reptiles, mammals, and birds. Counts for 4 species of mesocarnivores at desert tortoise burrows increased closer to dirt roads, and decreased closer to wind turbines. Our results suggest that anthropogenic infrastructure associated with wind energy facilities could influence the general behavior of mammalian predators and their prey. Further investigation of proximate mechanisms that underlie road and wind turbine effects (i.e., ground vibrations, sound emission, and traffic volume) and on wind energy facility spatial designs (i.e., road and wind turbine configuration) could prove useful for better understanding wildlife responses to wind energy development. © 2017 The Wildlife Society.

California↗

On the exchange of sensible and latent heat between the atmosphere and melting snow

The snow energy balance is difficult to measure during the snowmelt period, yet critical for predictions of water yield in regions characterized by snow cover. Robust simplifications of the snowmelt energy balance can aid our understanding of water resources in a changing climate. Research to date has demonstrated that the net turbulent flux ( F T ) between a melting snowpack and the atmosphere is negligible if the sum of atmospheric vapor pressure ( e a ) and temperature ( T a ) equals a constant, but it is unclear how frequently this situation holds across different sites. Here, we quantified the contribution of F T to the snowpack energy balance during 59 snowmelt periods across 11 sites in the FLUXNET2015 database with a detailed analysis of snowmelt in subarctic tundra near Abisko, Sweden. At the Abisko site we investigated the frequency of occurrences during which sensible heat flux ( H ) and latent heat flux ( λE ) are of (approximately) equal but opposite sign, and if the sum of these terms, F T , is therefore negligible during the snowmelt period. H approximately equaled - λE for less than 50% of the melt period and F T was infrequently a trivial term in the snowmelt energy balance at Abisko. The reason is that the relationship between observed e a and T a is roughly orthogonal to the “line of equality” at which H equals - λE as warmer T a during the melt period usually resulted in greater e a . This relationship holds both within melt periods at individual sites and across different sites in the FLUXNET2015 database, where F T comprised less than 20% of the energy available to melt snow, Q m , in 44% of the snowmelt periods studied here. F T / Q m was significantly related to the mean e a during the melt period, but not mean T a , and F T tended to be near 0 W m −2 when e a averaged ca . 0.5 kPa. F T may become an increasingly important term in the snowmelt energy balance across many global regions as warmer temperatures are projected to cause snow to melt more slowly and earlier in the year under conditions of lower net radiation ( R n ). Eddy covariance research networks such as Ameriflux must improve their ability to observe cold-season processes to enhance our understanding of water resources and surface-atmosphere exchange in a changing climate.

Agricultural and Forest Meteorology↗

Widespread kelp-derived carbon in pelagic and benthic nearshore fishes

Kelp forests provide habitat for diverse and abundant fish assemblages, but the extent to which kelp provides a source of energy to fish and other predators is unclear. To examine the use of kelp-derived energy by fishes we estimated the contribution of kelp- and phytoplankton-derived carbon using carbon (δ 13 C) and nitrogen (δ 15 N) isotopes measured in muscle tissue. Benthic-foraging kelp greenling (Hexagrammos decagrammus) and pelagic-foraging black rockfish (Sebastes melanops) were collected at eight sites spanning ∼35 to 60°N from the California Current (upwelling) to Alaska Coastal Current (downwelling) in the northeast Pacific Ocean. Muscle δ 13 C values were expected to be higher for fish tissue primarily derived from kelp, a benthic macroalgae, and lower for tissue primarily derived from phytoplankton, pelagic microalgae. Muscle δ 13 C values were higher in benthic-feeding kelp greenling than in pelagic-feeding black rockfish at seven of eight sites, indicating more kelp-derived carbon in greenling as expected. Estimates of kelp carbon contributions ranged from 36 to 89% in kelp greenling and 32 to 65% in black rockfish using carbon isotope mixing models. Isotopic evidence suggests that these two nearshore fishes routinely derive energy from kelp and phytoplankton, across coastal upwelling and downwelling systems. Thus, the foraging mode of nearshore predators has a small influence on their ultimate energy source as energy produced by benthic macroalgae and pelagic microalgae were incorporated in fish tissue regardless of feeding mode and suggest strong and widespread benthic-pelagic coupling. Widespread kelp contributions to benthic- and pelagic-feeding fishes suggests that kelp energy provides a benefit to nearshore fishes and highlights the potential for kelp and fish production to be linked.

Estuarine, Coastal and Shelf Science↗

Developing bare-earth digital elevation models from structure-from-motion data on barrier islands

Unoccupied aerial systems can collect aerial imagery that can be used to develop structure-from-motion products with a temporal resolution well-suited to monitoring dynamic barrier island environments. However, topographic data created using photogrammetric techniques such as structure-from-motion represent the surface elevation including the vegetation canopy . Additional processing is required for estimating bare-earth elevation, which is critical for understanding the underlying geomorphology of these islands. In this study, we used a vegetation and elevation survey to produce bare-earth digital elevation models from structure-from-motion-derived elevation products for two sites on Dauphin Island, Alabama (USA). One site was exposed to high wave energy and included a mix of beach, dune, and barrier flat habitats that were dominated by supratidal/upland herbaceous vegetation. The second site was exposed to low wave energy and was dominated by intertidal marsh. Aerial imagery was collected in late fall of 2018 and spring of 2019. We tested several machine learning algorithms for predicting and removing elevation bias for vegetated areas using predictors that included spectral indices from unoccupied aerial systems-based multispectral imagery and landscape position information (e.g., relative topography and distance from shore). Models were developed for each site and season. We also explored how well the model from one season generalized to data from a different season for the same site. For developing initial digital surface models, we found that utilizing a minimum bin algorithm, as opposed to interpolation, led to lower elevation bias. For bias removal, Gaussian process regression performed the best and led to a root mean square error for the bare-earth digital elevation models of around 0.10 m for the high energy site and 0.15 m for the low energy site. Compared to the digital surface models, the root mean square error for the bare-earth digital elevation models was reduced by at least 29 percent for the high energy site and 69 percent for the low energy site. For all models, common predictors included surface elevation, vegetation greenness, and distance from the shoreline. The models produced comparable results when trained using data from a different season. The error estimates for all analyses were within published elevation standards for lidar data for vegetated areas. With calibration, this approach could be portable to other areas or data, such as aerial lidar (conventional or unoccupied), to provide an efficient and repeatable framework for monitoring geomorphology or provide baseline elevations for predicting changes to these environments under future conditions.

Alabama↗

Near-fault velocity spectra from laboratory failures and their relation to natural ground motion

We compared near-fault velocity spectra recorded during laboratory experiments to that of natural earthquakes. We fractured crystalline rock samples at room temperature and intermediate confining pressure (50 MPa). Subsequent slip events were generated on the fracture surfaces under higher confinement (300 MPa). Velocity spectra from rock fracture resemble the inverse frequency (1/ f ) decay of natural earthquake velocity. This spectrum can be attributed to fault creation via seismic fracturing over a wide range of spatial scales. In contrast, subsequent slips on the rough fracture surfaces are depleted in high frequency energy and falloff approximately as 1/ f 2 . The 1/ f 2 spectrum is more consistent with a slider-block model obeying static-kinetic friction than a natural earthquake. The depleted high frequency content precludes the rough fault experiments from being directly analogous to natural sources. The suppression of high frequencies may have resulted from two possible factors: (1) the presence of a well-developed shear zone and coseismic damping of the fault motion by dissipation within it or, in our favored interpretation, (2) a smaller amount of energy dissipated by shearing relative to the total energy release at elevated confining pressure. In context of the latter explanation, a unifying concept that applies to these experiments, earthquakes, ground motion, and models of complex radiated motion is that high frequency radiated energy is relatively enhanced when total energy release is nearly balanced within the source region by dissipative processes. This near-critical energy release condition can be accessed at low normal stress in laboratory experiments.

Journal of Geophysical Research↗