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Introduction: An ecoregional assessment of the Wyoming Basins

The Wyoming Basins Ecoregional Assessment (WBEA) area in the western United States contains a number of important land cover types, including nearly one-fourth of the sagebrush ( Artemisia spp.) in North America. Although relatively unappreciated until recent decades, the broad open landscapes dominated by sagebrush communities have received increasing attention for their ecological value and the resources that they contain (Knick and Connelly 2011). As many as 350 wildlife species depend on sagebrush ecosystems for all or part of their life requirements (Wisdom et al. 2005a). Within the WBEA, intact sagebrush landscapes provide an important stronghold for populations of greater sage-grouse ( Centrocercus urophasianus ), recently listed as a candidate species under the Endangered Species Act (U.S. Department of the Interior 2010). Numerous other plant and vertebrate species of state or national concern also occur within the WBEA study area (Ch. 2). Conserving sagebrush ecosystems is a major conservation challenge that will require an understanding not only of current trajectories and scales of habitat change due to natural and anthropogenic disturbances (Leu and Hanser 2011), but also the potential exacerbation of these trends from climate change (Wiens and Bachelet 2010, Miller et al. 2011).

Wyoming

Fish carcass deposition to suppress invasive lake trout through hypoxia causes limited, non-target effects on benthic invertebrates in Yellowstone Lake

Invasive species can have negative effects on native biodiversity and ecosystem function, and suppression is often required to minimize the effects. However, management actions to suppress invasive species may cause negative, unintended effects on non-target taxa. Across the United States, lake trout ( Salvelinus namaycush ) are invasive in many freshwater ecosystems, reducing native fish abundance and diversity through predation and competition. In an integrated pest management approach, lake trout embryos in Yellowstone Lake, Wyoming, are suppressed by depositing lake trout carcasses onto spawning sites; the carcasses reduce dissolved oxygen concentrations as they decay, causing embryo mortality. We conducted a field experiment during one ice-free season at four sites in Yellowstone Lake to investigate the non-target effects of carcass treatment on benthic invertebrates, which could have consequences for native fish diets. While overall invertebrate density and biomass did not respond to carcass treatment, Chironomidae midges and Sphaeriidae fingernail clams decreased in abundance. Carcass treatment altered invertebrate community structure based on density, but not biomass. Carcass treatment to suppress invasive fish embryos has spatially localized, non-target effects on some benthic invertebrate taxa. Given the small spatial extent of carcass treatment within the lake, we conclude it is unlikely that carcass treatment will alter food availability for native fishes.

Wyoming

Challenges and future directions in quantifying terrestrial evapotranspiration

Terrestrial evapotranspiration is the second-largest component of the land water cycle, linking the water, energy, and carbon cycles and influencing the productivity and health of ecosystems. The dynamics of ET across a spectrum of spatiotemporal scales and their controls remain an active focus of research across different science disciplines. Here, we provide an overview of the current state of ET science across in situ measurements, partitioning of ET, and remote sensing, and discuss how different approaches complement one another based on their advantages and shortcomings. We aim to facilitate collaboration among a cross-disciplinary group of ET scientists to overcome the challenges identified in this paper and ultimately advance our integrated understanding of ET.

Water Resources Research

Potential effects of sea-level rise on coastal wetlands in southeastern Louisiana

Coastal Louisiana wetlands contain about 37% of the estuarine herbaceous marshes in the conterminous United States. The long-term stability of coastal wetlands is often a function of a wetland's ability to maintain elevation equilibrium with mean sea level through processes such as primary production and sediment accretion. However, Louisiana has sustained more coastal wetland loss than all other states in the continental United States combined due to a combination of natural and anthropogenic factors, including sea-level rise. This study investigates the potential impact of current and accelerating sea-level rise rates on key coastal wetland habitats in southeastern Louisiana using the Sea Level Affecting Marshes Model (SLAMM). Model calibration was conducted using a 1956–2007 observation period and hindcasting results predicted 35% versus observed 39% total marsh loss. Multiple sea-level-rise scenarios were then simulated for the period of 2007–2100. Results indicate a range of potential wetland losses by 2100, from an additional 2,188.97 km 2 (218,897 ha, 9% of the 2007 wetland area) under the lowest sea-level-rise scenario (0.34 m), to a potential loss of 5,875.27 km 2 (587,527 ha, 24% of the 2007 wetland area) in the highest sea-level-rise scenario (1.9 m). Model results suggest that one area of particular concern is the potential vulnerability of the region's baldcypress-water tupelo ( Taxodium distichum-Nyssa aquatica ) swamp habitat, much of which is projected to become permanently flooded (affecting regeneration) under all modeled scenarios for sea-level rise. These findings will aid in the development of ecosystem management plans that support the processes and conditions that result in sustainable coastal ecosystems.

Louisiana

Wind sheltering impacts on land-atmosphere fluxes over fens

Wetlands and their ability to mitigate climate change motivates restorative and protective action; however, scientific understanding of land-atmosphere interactions is restricted by our limited continuous observations of gaseous fluxes. Many wetlands are small in spatial scale and embedded in forested landscapes. Yet, little is known about how the relative sheltering of forests affects net carbon (C) and energy balance. Here, we analyze coterminous USGS and Ameriflux eddy covariance flux tower observations over three years in two shrub fens in Northern Wisconsin, one more sheltered (US-ALQ) than the other (US-Los). Unsurprisingly, the open site showed higher overall wind speeds. This should have implications for atmospheric fluxes in wetlands as wind-forced processes are essential in promoting gas exchange over water. While both sites had similar half-hourly net ecosystem exchange of CO2 (NEE) during daytime, there were significant differences in nighttime NEE, as well as in net radiation partitioning in early spring and late summer. Sensible heat (H) fluxes were smaller at the sheltered fen except for the months of July-September. In contrast, latent heat (LE) fluxes were higher in every month except July. Additionally, sheltered fen ecosystem respiration had a weaker linear correlation with air temperature (R: 0.08 versus 0.57 for the open fen). Our work suggests that canopy sheltering does not cause significant differences in half-hourly NEE during the day, but rather the largest differences such as lower CO2 emissions occur at nighttime due to higher variance at very low wind speeds. Sheltering also influenced direction of air flow, mean wind speeds in day versus night, energy balance, and sensible and latent heat fluxes. We discuss implications of these findings for wetland restoration.

Wisconsin

Fifty-eighth Christmas Bird Count. 166. Ocean City, Md

Gauging the impact of manipulative activities, such as rehabilitation or management, on wetlands requires having a notion of the unmanipulated condition as a reference. An understanding of the reference condition requires knowledge of dominant factors influencing ecosystem processes and biological communities. In this paper, we focus on natural physical factors (conditions and processes) that drive coastal wetland ecosystems of the Laurentian Great Lakes. Great Lakes coastal wetlands develop under conditions of large-lake hydrology and disturbance imposed at a hierarchy of spatial and temporal scales and contain biotic communities adapted to unstable and unpredictable conditions. Coastal wetlands are configured along a continuum of hydrogeomorphic types: open coastal wetlands, drowned river mouth and flooded delta wetlands, and protected wetlands, each developing distinct ecosystem properties and biotic communities. Hydrogeomorphic factors associated with the lake and watershed operate at a hierarchy of scales: a) local and short-term (seiches and ice action), b) watershed / lakewide / annual (seasonal water- level change), and c) larger or year-to-year and longer ( regional and/or greater than one-year). Other physical factors include the unique water quality features of each lake. The aim of this paper is to provide scientists and managers with a framework for considering regional and site-specific geomorphometry and a hierarchy of physical processes in planning management and conservation projects.

Wetlands

Restoration of contaminated ecosystems: adaptive management in a changing climate

Three case studies illustrate how adaptive management (AM) has been used in ecological restorations that involve contaminants. Contaminants addressed include mercury, selenium, and contaminants and physical disturbances delivered to streams by urban stormwater runoff. All three cases emphasize the importance of broad stakeholder input early and consistently throughout decision analysis for AM. Risk of contaminant exposure provided input to the decision analyses (e.g. selenium exposure to endangered razorback suckers, Stewart Lake; multiple contaminants in urban stormwater runoff, Melbourne) and was balanced with the protection of resources critical for a desired future state (e.g. preservation old growth trees, South River). Monitoring also played a critical role in the ability to conduct the decision analyses necessary for AM plans. For example, newer technologies in the Melbourne case provided a testable situation where contaminant concentrations and flow disturbance were reduced to support a return to good ecological condition. In at least one case (Stewart Lake), long-term monitoring data are being used to document the potential effects of climate change on a restoration trajectory. Decision analysis formalized the process by which stakeholders arrived at the priorities for the sites, which together constituted the desired future condition towards which each restoration is aimed. Alternative models were developed that described in mechanistic terms how restoration can influence the system towards the desired future condition. Including known and anticipated effects of future climate scenarios in these models will make them robust to the long-term exposure and effects of contaminants in restored ecosystems.

Restoration Ecology

Results of a workshop concerning ecological zonation in bottomland hardwoods

Under Section 404 of the Clean Water Act, the U.S. Environmental Protection Agency (EPA) has regulatory responsibilities concerning the discharge of dredged or fill material into the Nation's waters. In addition to its advisory role in the U.S. Army Corps of Engineers' permit program, EPA has a number of specific authorities, including formulation of the Section 404(b)(1) Guidelines, use of Section 404(c) to prohibit disposal at particular sites, and enforcement actions for unauthorized discharges. A number of recent court cases focus on the geographic scope of Section 404 jurisdiction in potential bottomland hardwood (BLH) wetlands and the nature of landclearing activities in these areas that require a permit under Section 404. Accordingly, EPA needs to establish the scientific basis for implementing its responsibilities under Section 404 in bottomland hardwoods. EPA is approaching this task through a series of workshops designed to provide current scientific information on bottomland hardwoods and to organize that information in a manner pertinent to key questions, including the following. What are the characteristics of bottomland hardwoods (in terms of hydrology, soils, vegetation, fish, wildlife, agricultural potential, and the like) and how can the functions (e.g., flood storage, water quality maintenance, detrital export) that they perform best be quantified? How do perturbations like landclearing, levee construction, and drainage impact the functions that bottomland hardwoods perform and how can these effects best be quantified? And finally, how significant are the impacts and how is their significance likely to change under various management scenarios? The first workshop in this series was held December 3-7, 1984, in St. Francisville, Louisiana. The workshop was attended by over 40 scientists and regulators (see ACKNOWLEDGMENTS section) and facilitated by the editors of this report under an Interagency Agreement between EPA and the U.S. Fish and Wildlife Service. The general objective of the workshop was to examine ways in which the structure and function of BLH ecosystems can be characterized and, in particular, to investigate the utility of a conceptual framework developed at a workshop held in Lake Lanier, Georgia, in 1980. In this framework, the transition from aquatic habitats to upland habitats through a BLH ecosystem is divided into six zones based on concomitant variation in the soil moisture regime and associated vegetation (Table 1). The zonation concept is of particular interest to EPA from at least two perspectives. The first is simply as a framework for organizing information. If the zones are discernible in the field, have recognizable characteristics, and perform identifiable functions, they might form a useful basis for tasks such as assessing the impacts of a particular site-specific activity. The second is the potential utility of the zonation concept in identifying the wetland portions of BLH communities. If the zones can be recognized in the field, and if one or more of them can be shown consistently to have wetland characteristics (i.e., perform functions, such as detrital export, often attributed to wetlands), while others do not, then the zones might have utility in identifying areas that fall under the jurisdiction of Section 404. The workshop itself was divided into two parts. The first was a series of papers in which authors described current research and data-synthesis activities in the context of the zonation concept. The second was a series of six workgroups in which participants discussed the zonation concept from the perspective of hydrology, soils, vegetation, fish, wildlife, and ecosystem processes. This report is a compilation of the written material from those workgroups, much of which was produced at the workshop. The formal papers presented in the first part of the workshop have been distributed to participants under separate cover, but are referenced in this report by citations such as: (Jones, workshop presentation).

Report

Improving spatio-temporal benefit transfers for pest control by generalist predators in cotton in the southwestern U.S.

Given rapid changes in agricultural practice, it is critical to understand how alterations in ecological, technological, and economic conditions over time and space impact ecosystem services in agroecosystems. Here, we present a benefit transfer approach to quantify cotton pest-control services provided by a generalist predator, the Mexican free-tailed bat ( Tadarida brasiliensis mexicana ), in the southwestern United States. We show that pest-control estimates derived using (1) a compound spatial – temporal model – which incorporates spatial and temporal variability in crop pest-control service values – are likely to exhibit less error than those derived using (2) a simple-spatial model (i.e., a model that extrapolates values derived for one area directly, without adjustment, to other areas) or (3) a simple-temporal model (i.e., a model that extrapolates data from a few points in time over longer time periods). Using our compound spatial–temporal approach, the annualized pest-control value was \$12.2 million, in contrast to an estimate of \$70.1 million (5.7 times greater), obtained from the simple-spatial approach. Using estimates from one year (simple-temporal approach) revealed large value differences (0.4 times smaller to 2 times greater). Finally, we present a detailed protocol for valuing pest-control services, which can be used to develop robust pest-control transfer functions for generalist predators in agroecosystems.

Arizona, California, Kansas, New Mexico, Oklahoma,

Prioritizing river basins for intensive monitoring and assessment by the US Geological Survey

The US Geological Survey (USGS) is currently (2020) integrating its water science programs to better address the nation’s greatest water resource challenges now and into the future. This integration will rely, in part, on data from 10 or more intensively monitored river basins from across the USA. A team of USGS scientists was convened to develop a systematic, quantitative approach to prioritize candidate basins for this monitoring investment to ensure that, as a group, the 10 basins will support the assessment and forecasting objectives of the major USGS water science programs. Candidate basins were the level-4 hydrologic units (HUC04) with some of the smaller HUC04s being combined; median candidate-basin area is 46,600 km 2 . Candidate basins for the contiguous United States (CONUS) were grouped into 18 hydrologic regions. Ten geospatial variables representing land use, climate change, water use, water-balance components, streamflow alteration, fire risk, and ecosystem sensitivity were selected to rank candidate basins within each of the 18 hydrologic regions. The two highest ranking candidate basins in each of the 18 regions were identified as finalists for selection as “Integrated Water Science Basins”; final selection will consider input from a variety of stakeholders. The regional framework, with only one basin selected per region, ensures that as a group, the basins represent the range in major drivers of the hydrologic cycle. Ranking within each region, primarily based on anthropogenic stressors of water resources, ensures that settings representing important water-resource challenges for the nation will be studied.

contiguous United States

Prescribed fire and other fuel-reduction treatments alter ground spider assemblages in a Southern Appalachian hardwood forest

Prescribed burns and understory thinnings are forest management practices aimed at reducing fuel loads to lessen wildfire threat in the Southern Appalachians, USA. Spiders play a critical role in forest ecosystems by controlling insect populations and providing an important food source for vertebrates. We used pitfall and colored pan traps to investigate how abundance, species richness, and diversity of spiders differed among three fuel reduction treatments administered repeatedly over a 15-year period and untreated controls. Additionally, we examined how spiders responded to one round (before and after) of fuel reduction treatments. We established treatments within the 15-year period as follows: mechanical understory removal (twice; M), prescribed burning (four times; B), mechanical understory removal followed one year later by high-severity prescribed burns and three subsequent burns (MB), and untreated controls (C). Our study period (2014–2016) occurred after multiple prescribed burns and two rounds of mechanical understory removal had occurred. Salticidae and Lycosidae were the two most commonly collected spider families in Southern Appalachian hardwood forests. Generally, we found increased spider abundances within all fuel-reduction treatments compared to controls. Individual spider families and species showed variable responses to treatments, but abundance of several spider families was greater in one or more fuel-reduction treatments than in controls. Additionally, abundance of several spider families and hunting/web building guilds (webs built for hunting purposes or defense) exhibited yearly differences to the last round of fuel-reduction treatments. Overall, our results suggest that changes in the overstory and understory of a forest are important drivers of regional spider abundance and assemblages, and forest management practices that modify forest structure can dramatically alter spider abundance and richness, usually in a positive manner.

North Carolina

The California Seafloor and Coastal Mapping Program – Providing science and geospatial data for California's State Waters

The California Seafloor and Coastal Mapping Program (CSCMP) is a collaborative effort to develop comprehensive bathymetric, geologic, and habitat maps and data for California's State Waters. CSCMP began in 2007 when the California Ocean Protection Council (OPC) and the National Oceanic and Atmospheric Administration (NOAA) allocated funding for high-resolution bathymetric mapping, largely to support the California Marine Life Protection Act and to update nautical charts. Collaboration and support from the U.S. Geological Survey and other partners has led to development and dissemination of one of the world's largest seafloor-mapping datasets. CSCMP provides essential science and data for ocean and coastal management, stimulates and enables research, and raises public education and awareness of coastal and ocean issues. Specific applications include: •Delineation and designation of marine protected areas •Characterization and modeling of benthic habitats and ecosystems •Updating nautical charts •Earthquake hazard assessments •Tsunami hazard assessments •Planning offshore infrastructure •Providing baselines for monitoring change •Input to models of sediment transport, coastal erosion, and coastal flooding •Regional sediment management •Understanding coastal aquifers •Providing geospatial data for emergency response

California

Linking fire and the United Nations Sustainable Development Goals

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

Science of the Total Environment

Structured decision making and optimal bird monitoring in the northern Gulf of Mexico

The avian conservation community struggles to design and implement large scale, long-term coordinated bird monitoring programs within the northern Gulf of Mexico due to the complexity of the conservation enterprise in the region; this complexity arises from the diverse stakeholders, multiple jurisdictions, complex ecological processes, myriad habitats, and over 500 species of birds using the region for at least some part of their annual cycle. In addition, long-term monitoring over large spatial scales is difficult because of the need for monitoring data to both (1) evaluate management and restoration outcomes, and (2) provide reliable information about the status and trends of bird populations over time. To address these challenges, the Gulf of Mexico Avian Monitoring Network developed a problem statement: “How can a cost-effective monitoring strategy for the Gulf Coast bird community and ecosystem be developed that evaluates ongoing conservation activities and chronic and acute threats; maximizes learning; and is flexible and holistic enough to detect novel ecological threats and evaluate new and emerging conservation activities?” A structured decision-making framework was then used to articulate and quantify stakeholder values related to the problem statement. One use of the stakeholder values was to develop a regional, strategic plan for bird monitoring, which is presented elsewhere. A formal and complete decision support tool for conservation investments in monitoring and research guided by the stakeholder values is presented in this report. The technical aspects of the stakeholder value model and a portfolio analysis that could be used to guide decision making when allocating resources for monitoring activities is described. Whereas the decision analysis presented here could be useful to any decision maker faced with difficult choices about resource allocation, it is designed for decision makers who request monitoring study proposals and then determine which combination of proposals to fund. The portfolio decision support tool is designed to help funding agencies and organizations identify resource allocation strategies to maximize stated objectives. To begin the decision analysis, an objectives hierarchy and quantitative performance metrics from the values of the Gulf of Mexico bird conservation community were created by a panel of regional stakeholders. Each fundamental objective and sub-objective in the hierarchy is composed of several performance metrics. To test the decision support tool, the authors evaluated a combination of monitoring study proposals written for the region and simulated proposals. Each proposal was scored against the performance metrics and used multi-attribute utility theory to combine the multiple objectives into a measure of total monitoring benefit. The total monitoring benefit and costs of each proposal were then used in a constrained optimization routine to identify optimal monitoring portfolios, that is, a combination of activities that maximizes monitoring benefits while meeting cost and other constraints of interest to stakeholders. A graphical solution based on the concept of Pareto efficiency, which is useful in situations when cost constraints and exact budgets are not known, is also provided. Finally, an evaluation of the sensitivity of the decision-making framework to the weights assigned to objectives by stakeholders is included. This decision support tool allows decision makers to identify an optimal suite of monitoring proposals with a transparent portfolio analysis that includes user-defined constraints (such as costs).

Alabama, Florida, Louisiana, Mississippi, Texas

Identification of Global Priorities for New Mountain Protected and Conserved Areas

Mountain ecosystems are extremely diverse and fragile. They include astonishing biodiversity in terms of number of taxa and endemicity, and globally provide the most diverse range of ecosystem services. The world’s system of protected and conserved areas includes many outstanding areas within the earth’s mountainous landscape: about 19% of mountain areas are protected or conserved, globally. Furthermore, approximately 90% of the most-strongly-protected conservation estate occurs in mountains. Nevertheless, significant mountain areas are not adequately protected, and many mountain ranges are completely unprotected. Of over 6000 Key Biodiversity Areas (KBAs) in mountains worldwide, 40.4% are entirely unprotected. As the world conservation movement advocates to expand the global coverage of terrestrial protected areas over the next decade toward 30%, identifying priorities for new mountain protected and conserved areas will be most efficacious if it takes a strategic approach to ensure areas of highest value and most in need of protection are identified. This paper introduces an iterative six-step decision support tool for identifying and prioritizing candidate areas for conserving inadequately protected mountain ecosystems, species, and habitats. The tool begins with quantitative analyses of the adequacy of protection of mountain KBAs, world terrestrial ecosystems, biodiversity hotspots, and red-listed species. It then guides regional teams through qualitative assessments of other values to develop lists of priority areas to give heightened consideration for protection or conservation. The tool is framed on the notion that any of the more than 6000 mountain KBAs can be allocated into one of nine categories: four that identify inadequately protected areas prioritised for heightened consideration, two for which no further action is required unless circumstances change, and three not requiring further action due to being deemed adequately protected.

Final Report

2nd interface between ecology and land development in California

The 2nd Interface Between Ecology and Land Development Conference was held in association with Earth Day 1997, five years after the first Interface Conference. Rapid population growth in California has intensified the inevitable conflict between land development and preservation of natural ecosystems. Sustainable development requires wise use of diminishing natural resources and, where possible, restoration of damaged landscapes. These Earth Week Celebrations brought together resource managers, scientists, politicians, environmental consultants, and concerned citizens in an effort to improve the communication necessary to maintain our natural biodiversity, ecosystem processes and general quality of life. As discussed by our keynote speaker, Michael Soule, the best predictor of habitat loss is population growth and nowhere is this better illustrated than in California. As urban perimeters expand, the interface between wildlands and urban areas increases. Few problems are more vexing than how to manage the fire prone ecosystems indigenous to California at this urban interface. Today resource managers face increasing challenges of dealing with this problem and the lead-off section of the proceedings considers both the theoretical basis for making decisions related to prescribed burning and the practical application. Habitat fragmentation is an inevitable consequence of development patterns with significant impacts on animal and plant populations. Managers must be increasingly resourceful in dealing with problems of fragmentation and the often inevitable consequences, including susceptibility to invasive oganisms. One approach to dealing with fragmentation problems is through careful landplanning. California is the national leader in the integration of conservation and economics. On Earth Day 1991, Governor Pete Wilson presented an environmental agenda that promised to create between land owners and environmentalists, agreements that would guarantee the protection of -endangered species and out of this grew the pioneering initiative, known as the Natural Communities Conservation Planning (NCCP) program. California's vast expanse of seemingly endless resources has traditionally been viewed as justification for abusive land use practices. The modem day recognition that resources are finite has led to greater concern, not only for conserving what is left, but for restoring abused landscapes. Ecological restoration is a new science devoted to returning disturbed environments to a semblance of their 'pristine' state. Based on principles of 'revegetation,' restoration goes far beyond simple replanting, rather the ambition of ecological restoration is to return landscapes to functioning ecosystems and is the focus of the last section.

Open-File Report

Geomorphic responses to dam removal in the United States – a two-decade perspective

Recent decades have seen a marked increase in the number of dams removed in the United States. Investigations following a number of removals are beginning to inform how, and how fast, rivers and their ecosystems respond to released sediment. Though only a few tens of studies detail physical responses to removals, common findings have begun to emerge. They include: (1) Rivers are resilient and respond quickly to dam removals, especially when removals are sudden rather than prolonged. Rivers can swiftly evacuate large fractions of reservoir sediment (≥50% within one year), especially when sediment is coarse grained (sand and gravel). The channel downstream typically takes months to years—not decades—to achieve a degree of stability within its range of natural variability. (2) Modest streamflows (<2-year return interval flows) can erode and transport large amounts of reservoir sediment. Greater streamflows commonly are needed to access remnant reservoir sediment and transport it downstream. (3) Dam height, sediment volume, and sediment caliber strongly influence downstream response to dam removal. Removals of large dams (≥10 m tall) have had longer-lasting and more widespread downstream effects than more common removals of small dams. (4) Downstream valley morphology and position of a dam within a watershed influence the distribution of released sediment. Valley confinement, downstream channel gradient, locations and depths of channel pools, locations and geometries of extant channel bars, and locations of other reservoirs all influence the downstream fate of released sediment.

Book chapter

Relative effectiveness of a radionuclide (210Pb), surface elevation table (SET), and LiDAR at monitoring mangrove forest surface elevation change

Sea-level rise (SLR) is one of the greatest future threats to mangrove forests. Mangroves have kept up with or paced past SLR by maintaining their forest floor elevation relative to sea level through root growth, sedimentation, and peat development. Monitoring surface elevation change (SEC) or accretion rates allows us to understand mangrove response to SLR and prioritizes resilient ecosystems for conservation or vulnerable ecosystems for restoration. We compared three methods to measure SEC and accretion in mangrove forests: 210 Pb, surface elevation tables (SETs), and a terrestrial light detection and ranging system (compact biomass LiDAR—CBL). Lead-210 accretion rates were not significantly different than SET SEC rates and differences between the two methods (− 2 to 2 mm/year) were within the error of our measurements. Lead-210 only measures accretion in the upper meter of sediment and cannot capture deeper subsurface processes (e.g., subsidence, compaction) that SETs can. The lack of differences suggests the following: (1) surface processes in the active root zone are influencing forest floor elevation more than subsurface processes, (2) subsurface processes were not large enough to effect elevation, or (3) the SETs were not installed deep enough to capture subsurface processes. CBL SEC rates did not differ significantly from SET SEC rates. The larger spatial scale of the CBL scans resulted in significantly different SEC rates from some of the plots. This was due to the CBL measuring areas missed by the SET. The greater number of points measured by CBL (~ 30,000 vs 36) increased precision and lowered standard error. The traditional SET/rSET method is currently 3–10 × cheaper than the 210 Pb or CBL method, respectively, and can accurately track changes in forest floor elevation. Costs of the use of LiDAR are likely to decrease in the future with the advent of newer and more cost-effective technology.

Estuaries and Coasts