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Snake River fall Chinook salmon life history investigations, 1/1/2012 - 12/31/2012: Annual report 2002-032-00

Executive Summary a. Fish Population RM&E This annual report describes the data collected and analyses conducted during calendar years 2012-2013 by staff of project 20023200. The USGS contributed only to the predation research and reservoir invertebrate work described in this report and the presentation of their results is consistent with USGS policy guidelines. The USGS is not responsible for the content provided by other contributing authors. Any use of trade, firm, or product names is for descriptive purposes only and does not imply endorsement by the U.S. Government. The main goal of this project is to better understand juvenile Snake River fall Chinook salmon life history diversity and the factors that influence it. This is called for in RPA 55.4 “Investigate key characteristics of Snake River fall Chinook salmon early life history.” We 3 investigated the importance of estuary entry and rearing to various Snake River fall Chinook salmon life histories. Otoliths were used to examine differences in estuary use between subyearlings and yearlings, and to determine natal habitats, rearing habitats, and overwintering habitat for returning adults. Estuary growth was best explained by estuary residence time and natal location. b. Predation and Invasive Species Management RM&E We investigated the extent of smallmouth bass predation on juvenile fall Chinook salmon in Lower Granite Reservoir as called for in the Fish and Wildlife Program, “The federal action agencies should work cooperatively with NOAA Fisheries, states, tribes, and the Council to review, evaluate, develop, and implement strategies to reduce non-native piscivorous predation on salmon and steelhead, especially by smallmouth bass, channel catfish, and walleye” (Page 52). Smallmouth bass stomach contents were collected and analyzed for the presence of juvenile salmon. Smallmouth bass abundance was estimated with mark-recapture techniques, and salmon consumption by bass was expanded based on bass abundance to determine the annual loss of juvenile fall Chinook salmon for the study period and area. The estimated loss of juvenile fall Chinook salmon to predation in Lower Granite Reservoir exceeded 109,000 fish in 2012. This information could be used to adaptively formulate better hatchery release strategies to reduce the effects of predation. Obtaining better estimates of smallmouth bass abundance and distribution in future years would reduce the uncertainty of estimates. This study will be completed by 2017. We also examined the effects of various field temperature scenarios resulting from summer flow augmentation on juvenile fall Chinook salmon susceptibility to smallmouth bass predation in laboratory trials. Predation susceptibility of juvenile salmon acclimated at cool temperatures (10°C) was highest when exposed to predators at 24°C. These results indicate that predation susceptibility may be higher when a relatively large temperature difference exists between the Clearwater and Snake rivers; that is, when cool water flow augmentation occurs in summer. Finally, we examined the role of different invasive invertebrates in lower Snake River reservoir food webs that are food, or competitors for food, for juvenile fall Chinook salmon. The Siberian prawn, a relatively new invader, is relatively abundant but its role on the food web is largely unexplored. Prawns are successfully reproducing and their diet is 81% Neomysis (an invasive opossum shrimp) which is heavily used at times by juvenile salmon for food. Neomysis has become very abundant in lower Snake River reservoirs in recent years and may be a profitable food item for many fish species.

Oregon, Washington↗

Ground-water resources of Kansas

Introduction: Water is a necessity of life. Accordingly, every person is deeply interested in the subject of water supply. He knows that he must have water to drink. He depends indirectly on water for all his food and clothing. He may want water in which to wash. Civilized man has learned also that water serves admirably for a large and ever enlarging list of uses that depend on its easy convertibility from a liquid to a solid or gaseous state and its adaptability as a chemical solvent, a medium for transfer of matter or energy, and a regulator of temperature. The average consumption of water in towns and cities of the United States amounts to about 100 gallons per person per day. Because of long familiarity with never-failing supplies of water provided by nature, or equally, because of unthinking dependence on others, many individuals are probably unaware of their interest in water, but let water become difficult or impossible to obtain, or let the quality of water be greatly changed, and there is immediate concern. Many Kansas persons — without doubt too many — give little thought to the subject of water when rainfall is normal and when ponds and streams are full, but not too full. Kansas has a smaller natural water supply than many other regions, but we are used to these conditions, and it is strongly marked departures from what we regard as normal that cause anxiety. Periods of excessive heat and drought such as have recurred in Kansas, especially during the last half-dozen years, bring hardships to very many persons, particularly dwellers on the farm. Alarm is felt when field crops and pasture shrivel from lack of moisture and from heat, when there is insufficient water for the stock, when wells go dry, and when even some towns and cities must haul water in tank cars. Everyone is then water-conscious, as is true also under reverse conditions, when overabundance of rainfall produces disastrous floods. It is obvious, however, that the subject of water supply should not be given attention only in times of deficiency or overabundance. All citizens of Kansas should have enduring interest in quests of water control and conservation that will make for equable supply. No individual or government agency can increase or diminish the annual rainfall, nor safeguard wholly against floods. It is possible, on the other hand, largely to avoid the distress due to severe shortage of water in recent years. This statement calls attention to the subject of water in the ground, or as commonly known, ground water. I have been asked to discuss the underground water resources of Kansas. I am asked to give answers to such questions as: In what places and under what conditions may water that is suitable for domestic and stock use be obtained from wells? Why are some water wells in Kansas never-failing large producers of excellent waters, whereas other yield only small amounts of poor water and readily go dry? What improvements are possible in methods of finding and utilizing the ground-water resources that exist in Kansas? What provisions can be made to safeguard best against effects of prolonged drought? These questions call for a discussion of some general principles that apply to accumulation and movement of water beneath the surface of in Kansas, and especially to the various geologic conditions that are fundamental factors in controlling variation in water supply from the below ground. It will be desirable also to consider the characteristics of various districts in Kansas that may be differentiated as natural ground-water provinces, pointing out the distinguishing features of these districts. The basis for these distinctions is a difference in water-supply conditions that depends mainly on variation in underground rock structure. Importance of ground-water resources. — The importance of Kansas' ground-water resources may be emphasized from various viewpoints and in different ways. More than three-fourths of the public water supplies of Kansas are obtained from wells. In 1939, only 60 out of 375 municipal water supplies in Kansas, which is 16 percent, utilized surface waters. If the water wells of the cities and those located on all privately owned land in the state were suddenly destroyed, making it necessary to go to streams, springs, lakes (which are almost all artificial), and ponds for water supply domestic, stock, and industrial use, there would be almost incalculable difficulty and expense. If one could not go to springs, or dig new wells, or use any surface water derived from underground flow, much of Kansas would become uninhabitable. These suggested conditions seem absurd, but they emphasize our dependence on ground-water resources. Fromm a quantitative standpoint, ground-water supplies existent in Kansas far outweigh surface waters that are present in the state at any one time. No exact figures for such comparison can be given, but, taking 384 square miles as the total surface water area of the state and estimating an average water depth of five feet, the computed volume of surface waters is found to be 1/100th of that of the conservatively estimated ground-water storage in Kansas. The latter takes account only of potable fresh water and is based on an assumed mean thickness of ten feet of reservoir having an effective porosity of twenty percent. It is to be remembered, however, that most of the surface water is run-off, which soon leaves the state, stream valleys being replenished from rainfall and flow from ground-water reservoirs. Most of the ground-water supplies, on the other hand, have existed for many years with almost no appreciable movement--in fact, it is reasonably certain that some well water drawn from beneath the surface of Kansas in 1940 represents rainfall in this region at time before the first white man entered Kansas, even before the visit of Coronado in the 16th century. Most ground water is to be regarded as water in storage rather than water in transit.

Kansas↗

Mechanisms controlling Cu, Fe, Mn, and Co profiles in peat of the Filson Creek Fen, northeastern Minnesota

Filson Creek Fen, located in northeastern Minnesota, overlies a Cu-Ni sulfide deposit. A site in the fen was studied to evaluate the hydrogeochemical mechanisms governing the development of Fe, Mn, Co, and Cu profiles in the peat. At the study site, surface peat approximately 1 m thick is separated from the underlying mineralized bedrock by a 6–12 m thickness of lake and glaciofluvial sediments and till. Concentrations of Fe, Mn, Co, and Cu in peat and major elements in pore water delineate a shallow, relatively oxidized, Cu-rich zone overlying a deeper, reduced, Fe-, Mn-, and Co-rich zone within the peat. Sequential metal extractions from peat samples reveal that 40–55% of the Cu in the shallow zone is associated with organic material, whereas the remaining Cu is distributed between iron-oxide, sulfide, and residual fractions. Sixty to seventy percent of the Fe, Mn, and Co concentrated in the deeper zone occur in the residual phase. The metal profiles and associations probably result from non-steady-state input of metals and detritus into the fen during formation of the peat column. The enrichment of organic-associated Cu in the upper, oxidized zone represents a combination of Cu transported into the fen with detrital plant fragments and soluble Cu, derived from weathering of outcrop and subcrop of the mineral deposit, transported into the fen, and fixed onto organic matter in the peat. The variable stratigraphy of the peat indicates that weathering processes and surface vegetation have changed through time in the fen. The Fe, Mn, and Co maxima at the base of the peat are associated with a maximum in detrital matter content of the peat resulting from a transition between the underlying inorganic sedimentary environment to an organic sedimentary environment. The chemistry of sediments and ground water collected beneath the peat indicate that mobilization of metals from sulfide minerals in the buried mineral deposit or glacial deposits is minimal. Therefore, the primary source of Cu to the peat at the study site is outcrops and shallow subcrops of the mineral deposit adjacent to the fen.

Geochimica et Cosmochimica Acta↗

Filling the gaps: A Bayesian mixture model for imputing missing soil water content data

Soil water content (SWC) data are central to evaluating how soil moisture varies over time and space and influences critical plant and ecosystem functions, especially in water-limited drylands. However, sensors that record SWC at high frequencies often malfunction, leading to incomplete timeseries and limiting our understanding of dryland ecosystem dynamics. We developed an analytical approach to impute missing SWC data, which we tested at six eddy flux tower sites along an elevation gradient in the southwestern United States. We impute missing data as a mixture of linearly interpolated SWC between the observed endpoints of a missing data gap and SWC simulated by an ecosystem water balance model (SOILWAT2). Within a Bayesian framework, we allowed the relative utility (mixture weight) of each component (linearly interpolated vs. SOILWAT2) to vary by depth, site and gap characteristics. We explored “fixed” weights versus “dynamic” weights that vary as a function of cumulative precipitation, average temperature, and time since the start of the gap. Both models estimated missing SWC data well (R2 = 0.70–0.88 vs. 0.75–0.91 for fixed vs. dynamic weights, respectively), but the utility of linearly interpolated versus SOILWAT2 values depended on site and depth. SOILWAT2 was more useful for more arid sites, shallower depths, longer and warmer gaps and gaps that received greater precipitation. Overall, the mixture model reliably gap-fills SWC, while lending insight into processes governing SWC dynamics. This approach to impute missing data could be adapted to accommodate more than two mixture components and other types of environmental timeseries.

New Mexico↗

The chemistry of hydrothermal magnetite: a review

Magnetite (Fe 3 O 4 ) is a well-recognized petrogenetic indicator and is a common accessory mineral in many ore deposits and their host rocks. Recent years have seen an increased interest in the use of hydrothermal magnetite for provenance studies and as a pathfinder for mineral exploration. A number of studies have investigated how specific formation conditions are reflected in the composition of the respective magnetite. Two fundamental questions underlie these efforts — (i) How can the composition of igneous and, more importantly, hydrothermal magnetite be used to discriminate mineralized areas from barren host rocks, and (ii) how can this assist exploration geologists to target ore deposits at greater and greater distances from the main mineralization? Similar to igneous magnetite, the most important factors that govern compositional variations in hydrothermal magnetite are (A) temperature, (B) fluid composition — element availability, (C) oxygen and sulfur fugacity, (D) silicate and sulfide activity, (E) host rock buffering, (F) re-equilibration processes, and (G) intrinsic crystallographic controls such as ionic radius and charge balance. We discuss how specific formation conditions are reflected in the composition of magnetite and review studies that investigate the chemistry of hydrothermal and igneous magnetite from various mineral deposits and their host rocks. Furthermore, we discuss the redox-related alteration of magnetite (martitization and mushketovitization) and mineral inclusions in magnetite and their effect on chemical analyses. Our database includes published and previously unpublished magnetite minor and trace element data for magnetite from (1) banded iron formations (BIF) and related high-grade iron ore deposits in Western Australia, India, and Brazil, (2) Ag–Pb–Zn veins of the Coeur d'Alene district, United States, (3) porphyry Cu–(Au)–(Mo) deposits and associated (4) calcic and magnesian skarn deposits in the southwestern United States and Indonesia, and (5) plutonic igneous rocks from the Henderson Climax-type Mo deposit, United States, and the un-mineralized Inner Zone Batholith granodiorite, Japan. These five settings represent a diverse suite of geological settings and cover a wide range of formation conditions. The main discriminator elements for magnetite are Mg, Al, Ti, V, Cr, Mn, Co, Ni, Zn, and Ga. These elements are commonly present at detectable levels (10 to > 1000 ppm) and display systematic variations. We propose a combination of Ni/(Cr + Mn) vs. Ti + V, Al + Mn vs. Ti + V, Ti/V and Sn/Ga discriminant plots and upper threshold concentrations to discriminate hydrothermal from igneous magnetite and to fingerprint different hydrothermal ore deposits. The overall trends in upper threshold values for the different settings can be summarized as follows: (I) BIF (hydrothermal) — low Al, Ti, V, Cr, Mn, Co, Ni, Zn, Ga and Sn; (II) Ag–Pb–Zn veins (hydrothermal) — high Mn and low Ga and Sn; (III) Mg-skarn (hydrothermal) — high Mg and Mn and low Al, Ti, Cr, Co, Ni and Ga; (IV) skarn (hydrothermal) — high Mg, Al, Cr, Mn, Co, Ni and Zn and low Sn; (V) porphyry (hydrothermal) — high Ti and V and low Sn; (VI) porphyry (igneous) — high Ti, V and Cr and low Mg; and (VII) Climax-Mo (igneous) — high Al, Ga and Sn and low Mg and Cr.

Ore Geology Reviews↗

Review of the USA National Phenology Network

In January 2014, leadership from the U.S. Geological Survey (USGS) Ecosystems Mission Area commissioned a review of the USA National Phenology Network (USA–NPN) Program. The Ecosystems Mission Area has a key stake in the USA–NPN, providing both supervision of its Director and most of the appropriated funds. The products and objectives of the program are relevant to six of the seven USGS Mission Areas as well as to at least four Department of the Interior (DOI) bureaus. A nine-person panel of reviewers, with representatives from the USGS, other Federal agencies, and academia, was convened to provide advice and recommendations to USGS leadership. Specifically, the panel was asked to assess the science utility of having a National Phenology Network; to consider USGS science mission and DOI management needs served by the USA–NPN; and to consider the utility of the USA–NPN to other Federal agency science missions or management needs (including the National Science Foundation [NSF] and university research funded by the NSF and other government agencies). This report summarizes the panel’s findings and offers five recommendations for USGS leadership: 1. Commit to stable USA–NPN funding and increase accountability. 2. Establish a Federal Steering Committee, led by the USGS, and a separate Scientific Phenology User Group. 3. Emphasize continental-scale phenology data and information. 4. Formalize volunteer engagement in phenology data collection. 5. Integrate phenology information into USGS science. The panel generally affirms the value of the USA–NPN program and finds that the program is successfully meeting the needs of its stakeholders, including the USGS. However, the USGS needs to be more engaged in the program, providing leadership and setting priorities for the future. The USA–NPN, in turn, needs to deliver more clearly defined, DOI-relevant, USGS-integrated, data product lines that have the broadest possible spatial and temporal scope to meet user needs across the United States. The panel recommends that the USA–NPN National Coordinating Office (NCO) establish an implementation plan that addresses all of the panel recommendations, with priorities, timelines, and assumptions to move the program forward successfully.

Circular↗

Water Availability--The Connection Between Water Use and Quality

Water availability has become a high priority in the United States, in large part because competition for water is becoming more intense across the Nation. Population growth in many areas competes with demands for water to support irrigation and power production. Cities, farms, and power plants compete for water needed by aquatic ecosystems to support their minimum flow requirements. At the same time, naturally occurring and human-related contaminants from chemical use, land use, and wastewater and industrial discharge are introduced into our waters and diminish its quality. The fact that degraded quality limits the availability and suitability of water for critical uses is a well-known reality in many communities. What may be less understood, but equally true, is that our everyday use of water can significantly affect water quality, and thus its availability. Landscape features (such as geology, soils, and vegetation) along with water-use practices (such as ground-water withdrawals and irrigation) govern water availability because, together, they affect the movement of chemical compounds over the land and in the subsurface. Understanding the interactions of human activities with natural sources and the landscape is critical to effectively managing water and sustaining water availability in the future.

Fact Sheet↗

Operation of hydrologic data collection stations by the U.S. Geological Survey in 1987

The U.S. Geological Survey operates hydrologic data collection stations nationwide which serve the needs of all levels of government, the private sector, and the general public, for water resources information. During fiscal year 1987, surface water discharge was determined at 10,624 stations; stage data on streams, reservoirs, and lakes were recorded at 1,806 stations; and various surface water quality characteristics were determined at 2,901 stations. In addition, groundwater levels were measured at 32,588 stations, and the quality of groundwater was determined at 9,120 stations. Data on sediment were collected daily at 174 stations and on a periodic basis at 878 stations. Information on precipitation quantity was collected at 909 stations, and the quality of precipitation was analyzed at 78 stations. Data collection platforms for satellite telemetry of hydrologic information were used at 2,292 Geological Survey stations. Funding for the hydrologic stations was derived, either solely or from a combination, from three major sources - the Geological Survey 's Federal Program appropriation, the Federal-State Cooperative Program, and reimbursements from other Federal agencies. The number of hydrologic stations operated by the Geological Survey declined from fiscal year 1983 to 1987. The number of surface water discharge stations were reduced by 452 stations; surface water quality stations declined by 925 stations; groundwater level stations declined by 1,051 stations; while groundwater quality stations increased by 1,472 stations. (Author 's abstract)

Open-File Report↗

Projecting community changes in hazard exposure to support long-term risk reduction: A case study of tsunami hazards in the U.S. Pacific Northwest

Tsunamis have the potential to cause considerable damage to communities along the U.S. Pacific Northwest coastline. As coastal communities expand over time, the potential societal impact of tsunami inundation changes. To understand how community exposure to tsunami hazards may change in coming decades, we projected future development (i.e. urban, residential, and rural), households, and residents over a 50-year period (2011–2061) along the Washington, Oregon, and northern California coasts. We created a spatially explicit, land use/land cover, state-and-transition simulation model to project future developed land use based on historical development trends. We then compared our development projection results to tsunami-hazard zones associated with a Cascadia subduction zone (CSZ) earthquake. Changes in tsunami-hazard exposure by 2061 were estimated for 50 incorporated cities, 7 tribal reservations, and 17 counties relative to current (2011) estimates. Across the region, 2061 population exposure in tsunami-hazard zones was projected to increase by 3880 households and 6940 residents. The top ten communities with highest population exposure to CSZ-related tsunamis in 2011 are projected to remain the areas with the highest population exposure by 2061. The largest net population increases in tsunami-hazard zones were projected in the unincorporated portions of several counties, including Skagit, Coos, and Humboldt. Land-change simulation modeling of projected future development serves as an exploratory tool aimed at helping local governments understand the hazard-exposure implications of community growth and to include this knowledge in risk-reduction planning.

International Journal of Disaster Risk Reduction↗

A role for analytical chemistry in advancing our understanding of the occurrence, fate, and effects of Corexit Oil Dispersants

On April 24, 2010, the sinking of the Deepwater Horizon oil rig resulted in the release of oil into the Gulf of Mexico. As of July 19, 2010, the federal government's Deepwater Horizon Incident Joint Information Center estimates the cumulative range of oil released is 3,067,000 to 5,258,000 barrels, with a relief well to be completed in early August. By comparison, the Exxon Valdez oil spill released a total of 260,000 barrels of crude oil into the environment. As of June 9, BP has used over 1 million gallons of Corexit oil dispersants to solubilize oil and help prevent the development of a surface oil slick. Oil dispersants are mixtures containing solvents and surfactants that can exhibit toxicity toward aquatic life and may enhance the toxicity of components of weathered crude oil. Detailed knowledge of the composition of both Corexit formulations and other dispersants applied in the Gulf will facilitate comprehensive monitoring programs for determining the occurrence, fate, and biological effects of the dispersant chemicals. The lack of information on the potential impacts of oil dispersants has caught industry, federal, and state officials off guard. Until compositions of Corexit 9500 and 9527 were released by the U.S. Environmental Protection Agency online, the only information available consisted of Material Safety Data Sheets (MSDS), patent documentation, and a National Research Council report on oil dispersants. Several trade and common names are used for the components of the Corexits. For example, Tween 80 and Tween 85 are oligomeric mixtures.

Environmental Science & Technology↗

U.S. federal policies, legislation, and responsibilities related to importation of exotic fishes and other aquatic organisms

Within the Federal government, the U. S. Fish and Wildlife Service (Service) has primary responsibility for legal and policy responsibility for introduced exotic species. The Lacey Act of 1900 authorizes the Service to prohibit the importation of species that are potentially injurious to native fish and wildlife. However, regulations under authority of the Lacey Act cover only a few species. The Nonindigenous Aquatic Nuisance Prevention and Control Act of 1990 established a Task Force co-chaired by the Director of the Service and Under Secretary of Commerce for Oceans and Atmosphere. The Task Force consults with the Secretary of Transportation to develop regulations to prevent the importation and spread of aquatic nuisance species into the Great Lakes through exchange of ballast water. Federal agencies must comply with Presidential Executive Order 1198, Exotic Organisms, that prohibits Federal agencies or activities they fund or authorize from introducing exotic species. The Service conducts research and evaluation of exotic species to support Federal, State, and local efforts to prevent further importation of harmful species. Effective regulation will also depend on the full cooperation with Canada.

Canadian Journal of Fisheries and Aquatic Sciences↗

Multimodeling: new approaches for linking ecological models

The Everglades region of South Florida presents one of the major natural system management challenges facing the United States. With its assortment of alligators, crocodiles, manatees, panthers, large mixed flocks of wading birds, highly diverse subtropical flora, and sea of sawgrass, the ecosystem is unique in this country (Davis and Ogden 1994). The region is also perhaps the largest human-controlled system on the planet in that the major environmental factor influencing the region is water, and water flows are managed on a daily basis--subject to the vagaries of rainfall--by a massive system of locks, pumps, canals, and levees constructed over the past century. The changes brought about by such control have led to extensive modifications of historical patterns and magnitudes of flow, causing large declines in many native species, extensive changes in nutrient cycling and vegetation across south Florida, and great increases in pollutants such as mercury. Constrained by the conflicting demands of agriculture, urban human populations, and wildlife for control of water resources, and the varying agendas of hosts of government agencies and nongovernmental organizations, there is now an ongoing effort to plan for major changes to the system with expenditure estimates of eight billion dollars or more over the next several decades (USACOE 1999). Carrying out such planning, particularly as it impacts the natural systems of the region, provides one of the major challenges to the new field of computational ecology.

Florida↗

Using a distribution and conservation status weighted hotspot approach to identify areas in need of conservation action to benefit Idaho bird species

Identification of biodiversity hotspots (hereafter, hotspots) has become a common strategy to delineate important areas for wildlife conservation. However, the use of hotspots has not often incorporated important habitat types, ecosystem services, anthropogenic activity, or consistency in identifying important conservation areas. The purpose of this study was to identify hotspots to improve avian conservation efforts for Species of Greatest Conservation Need (SGCN) in the state of Idaho, United States. We evaluated multiple approaches to define hotspots and used a unique approach based on weighting species by their distribution size and conservation status to identify hotspot areas. All hotspot approaches identified bodies of water (Bear Lake, Grays Lake, and American Falls Reservoir) as important hotspots for Idaho avian SGCN, but we found that the weighted approach produced more congruent hotspot areas when compared to other hotspot approaches. To incorporate anthropogenic activity into hotspot analysis, we grouped species based on their sensitivity to specific human threats (i.e., urban development, agriculture, fire suppression, grazing, roads, and logging) and identified ecological sections within Idaho that may require specific conservation actions to address these human threats using the weighted approach. The Snake River Basalts and Overthrust Mountains ecological sections were important areas for potential implementation of conservation actions to conserve biodiversity. Our approach to identifying hotspots may be useful as part of a larger conservation strategy to aid land managers or local governments in applying conservation actions on the ground.

Idaho↗

2013 National Park visitor spending effects: economic contributions to local communities, states, and the nation

The National Park Service (NPS) manages the nation's most iconic destinations that attract millions of visitors form across the nation and around the world. Trip-related spending by NPS visitors generates and supports a considerable amount of economic activity within park gateway communities. This economic effects analysis measures how NPS visitor spending cycles through local economies, generating business sales and supporting jobs and income. In 2013, the National Park System received over 273 million recreation visits. NPS visitors spent $14.6 billion in local gateway regions (defined as communities within 60 miles of a park). The contribution of this spending to the national economy was 238 thousand jobs, $9.2 billion in labor income, $15.6 billion in value added, and $26.5 billion in output. The lodging sector saw the highest direct contributions with 38 thousand jobs and $4.4 billion in output directly contributed to local gateway economies nationally. The sector with the next greatest direct contributions was restaurants and bats, with 50 thousand jobs and $2.0 billion in output directly contributed to local gateway economies nationally. While it is typical for visitation levels to fluctuate across the park units each year, system-wide visitation estimates in 2013 declines by 3.2% (or 9.1 million visits) compared ro 2012 (Street, 2014). Although many factors can influence park visitsation, two events signficiantly contrubuterd to this decline: the Government shutdown in October 2013, and lonf-term park closures related to the lasting effects of Hurrican Sandt from October 2012 through July 2013.

Natural Resource Report↗

Status report for the 3D Elevation Program, 2013-2014

The 3D Elevation Program (3DEP) goal is to acquire, manage, and distribute enhanced three-dimensional elevation data for the Nation and U.S. territories by 2023. This status report covers implementation activities during 2013–2014 to include meeting funding objectives, developing a management structure, modernizing systems, and collecting and producing initial 3DEP data and products. The Nation will not have complete coverage of 3DEP quality data until 2023 assuming that sufficient funding is available. In spite of the overall condition of government budgets, the 3DEP initiative has gained widespread support and had incremental budget success to include supplemental funding resulting from natural disasters. The 3DEP Executive Forum and a wide range of professional organizations are actively working to maintain support for the program. The systems that have been developed to support increasing acquisition and processing levels are largely in place. The first 3DEP quality datasets were released to the public in late 2014. In addition, light detection and ranging (lidar), interferometric synthetic aperture radar (ifsar), and digital elevation models (DEMs) acquired before 2014 are all supported within the new infrastructure and available for download. Research is ongoing to expand the suite of products and services, and to increase overall throughput and data management efficiency. Emerging technologies may result in lower acquisition costs in the future. Elevation data acquired by 3DEP partnerships will be available through The National Map representing one of the largest and most comprehensive databases publicly available for the United States.

Open-File Report↗

Causes of mortality in eagles submitted to the National Wildlife Health Center 1975-2013

We summarized the cause of death for 2,980 bald eagles ( Haliaeetus leucocephalus ) and 1,427 golden eagles ( Aquila chrysaetos ) submitted to the National Wildlife Health Center in Madison, Wisconsin, USA, for diagnosis between 1975 and the beginning of 2013. We compared the proportion of eagles with a primary diagnosis as electrocuted, emaciated, traumatized, shot or trapped, diseased, poisoned, other, and undetermined among the 4 migratory bird flyways of the United States (Atlantic, Mississippi, Central, and Pacific). Additionally, we compared the proportion of lead-poisoned bald eagles submitted before and after the autumn 1991 ban on lead shot for waterfowl hunting. Trauma and poisonings (including lead poisoning) were the leading causes of death for bald eagles throughout the study period, and a greater proportion of bald eagles versus golden eagles were diagnosed as poisoned. For golden eagles, the major causes of mortality were trauma and electrocution. The proportion of lead poisoning diagnoses for bald eagles submitted to the National Wildlife Health Center displayed a statistically significant increase in all flyways after the autumn 1991 ban on the use of lead shot for waterfowl hunting. Thus, lead poisoning was a significant cause of mortality in our necropsied eagles, suggesting a continued need to evaluate the trade-offs of lead ammunition for use on game other than waterfowl versus the impacts of lead on wildlife populations. Published 2014. This article is a U.S. Government work and is in the public domain in the USA.

Wildlife Society Bulletin↗

Geologic map of the northeast flank of Mauna Loa volcano, Island of Hawai'i, Hawaii

Summary Mauna Loa, the largest volcano on Earth, has erupted 33 times since written descriptions became available in 1832. Some eruptions were preceded by only brief seismic unrest, while others followed several months to a year of increased seismicity. The majority of the eruptions of Mauna Loa began in the summit area (>12,000-ft elevation; Lockwood and Lipman, 1987); yet the Northeast Rift Zone (NERZ) was the source of eight flank eruptions since 1843 (table 1). This zone extends from the 13,680-ft-high summit towards Hilo (population ~60,000), the second largest city in the State of Hawaii. Although most of the source vents are farther than 30 km away, the 1880 flow from one of the vents extends into Hilo, nearly reaching Hilo Bay. The city is built entirely on flows erupted from the NERZ, most older than that erupted in 1843. Once underway, Mauna Loa's eruptions can produce lava flows that reach the sea in less than 24 hours, severing roads and utilities in their path. For example, lava flows erupted from the Southwest Rift Zone (SWRZ) in 1950 advanced at an average rate of 9.3 km per hour, and all three lobes reached the ocean within approximately 24 hours (Finch and Macdonald, 1953). The flows near the eruptive vents must have traveled even faster. In terms of eruption frequency, pre-eruption warning, and rapid flow emplacement, Mauna Loa poses an enormous volcanic-hazard threat to the Island of Hawai‘i. By documenting past activity and by alerting the public and local government officials of our findings, we can anticipate the volcanic hazards and substantially mitigate the risks associated with an eruption of this massive edifice. From the geologic record, we can deduce several generalized facts about the geologic history of the NERZ. The middle to the uppermost section of the rift zone were more active in the past 4,000 years than the lower part, perhaps due to buttressing of the lower east rift zone by Mauna Kea and Kīlauea volcanoes. The historical flows that erupted on the north flank of the rift zone, which is more vulnerable to inundation, advanced toward Hilo. Lockwood (1990) noted that the vents of historical activity are migrating to the south. The volcano appears to have a self-regulating mechanism that evenly distributes long-term activity across its flanks. The geologic record also supports this notion; the time prior to the historical period (Age Group 1, orange units, pre-A.D. 1843–1,000 yr B.P.; see map sheet 2) is dominated by activity on the south side of the NERZ. The NERZ trends N. 65° E. and is about 40 km long and 2–4 km wide, narrowing at the summit caldera. It becomes diffuse (6–7 km wide) at its down-rift terminus, at the approximately 3,400-ft elevation. Its constructional crest is marked by low spatter ramparts and by spatter cones as high as 60 m. Subparallel eruptive fissures and ground cracks cut vent deposits and flows in and near the rift crest. Lava typically flows to the north, east, or south, depending on vent location relative to the rift crest. Encompassing 1,140 km 2 of the northeast flank of Mauna Loa from the 10,880-ft elevation to sea level, the map covers the area from Hilo to Volcano on the east and includes the rift zone from Puu Ulaula quadrangle in the southwest to Hilo in the northeast. The distribution of 105 eruptive units (flows)—separated into 15 age groups ranging from more than 30,000 years B.P. to A.D. 1984—are shown, as well as the relations of volcanic and surficial sedimentary deposits. This map incorporates previously reported work published in generalized small-scale maps (Lockwood and Lipman, 1987; Buchanan-Banks, 1993; Lockwood, 1995; and Wolfe and Morris, 1996).

Hawaii↗

Coast salish and U.S. Geological Survey: Tribal journey water quality project

The ancestral waters of the Coast Salish People, the Salish Sea, comprise a large inland sea contained within both United States (Puget Sound) and Canadian (Georgia Strait) territory. The Salish Sea is home to more than 220 species of fish, 29 species of marine mammals, more than 40 species of commercial and recreationally harvested invertebrates, and numerous resident and migratory bird species (Washington Sea Grant Program, 2000). Unfortunately, at least 60 of these marine based species are listed as threatened, endangered or of concern (Fraser and others, 2006), many of which sustained Coast Salish for millennia and are of essential cultural importance. The cumulative impacts of human activities and climate change are deteriorating coastal ecosystems and accelerating the loss of ecologically and culturally important marine resources. Watershed modifications, coastal development and industrial activities are altering river and tidal flow, sediment transport, and nutrient delivery all across the region, leading to the break down of ecosystem functions and decreasing biodiversity, thus changing the face of the Salish Sea. A cooperative trans-boundary partnership between the U.S. Environmental Protection Agency (USEPA) and the Government of Canada has identified Salish Sea indicators of health. Several of these indicators have been noted as having degrading quality including urbanization and forest change, river, stream, and lake quality, marine species at risk, toxics in harbor seals, and marine water quality conditions (USEPA, 2008). The functioning of the Salish Sea ecosystem is increasingly threatened by ever more frequent observations and expanding zones of anoxia. The complexities of monitoring, protecting, and restoring such a large and diverse geographical area are exacerbated by a political border. The Coast Salish Peoples and U.S. Geological Survey (USGS) have commenced on a partnership to examine water quality throughout the Georgia Straits and Puget Sound, blending tradition and science, in response to this deterioration of coastal environments and loss of essential habitats and marine resources of cultural and ecological importance throughout the ancestral waters of the Salish Sea. This report describes the Coast Salish Tribal Journey Water Quality Project, its inception, the results of the 2008 Tribal Journey project, lessons learned, and recommendations for future directions.

Report↗