Search USGS⌕ Search

SEARCH · Search USGS

Results for “Water Resources Impact”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 847 records · Page 47Linked to original sources

Water quality degradation effects on freshwater availability: Impacts of human activities

The quality of freshwater at any point on the landscape reflects the combined effects of many processes along water pathways. Human activities on all spatial scales affect both water quality and quantity. Alteration of the landscape and associated vegetation has not only changed the water balance, but typically has altered processes that control water quality. Effects of human activities on a small scale are relevant to an entire drainage basin. Furthermore, local, regional, and global differences in climate and water flow are considerable, causing varying effects of human activities on land and water quality and quantity, depending on location within a watershed, geology, biology, physiographic characteristics, and climate. These natural characteristics also greatly control human activities, which will, in turn, modify (or affect) the natural composition of water. One of the most important issues for effective resource management is recognition of cyclical and cascading effects of human activities on the water quality and quantity along hydrologic pathways. The degradation of water quality in one part of a watershed can have negative effects on users downstream. Everyone lives downstream of the effects of some human activity. An extremely important factor is that substances added to the atmosphere, land, and water generally have relatively long time scales for removal or clean up. The nature of the substance, including its affinity for adhering to soil and its ability to be transformed, affects the mobility and the time scale for removal of the substance. Policy alone will not solve many of the degradation issues, but a combination of policy, education, scientific knowledge, planning, and enforcement of applicable laws can provide mechanisms for slowing the rate of degradation and provide human and environmental protection. Such an integrated approach is needed to effectively manage land and water resources.

Water International↗

Analysis of nitrate in near-surface aquifers in the midcontinental United States: An application of the inverse hyperbolic sine Tobit model

A nonnormal and heteroscedastic Tobit model is used to determine the primary factors that affect nitrate concentrations in near-surface aquifers, using data from the U.S. Geological Survey collected in 1991. Both normality and homoscedasticity of errors are rejected, justifying the use of a nonnormal and heteroscedastic model. The following factors are found to have significant impacts on nitrate concentrations in groundwater: well screen interval, depth to top of aquifers, percentages of urban residential, forest land, and pasture within 3.2 km, dissolved oxygen concentration level, and presence of a chemical facility and feedlot. The effects of explanatory variables on nitrate concentration are explored further by calculating elasticities. Dissolved oxygen concentration level has more notable effects on nitrate concentrations in groundwater than other variables.

Water Resources Research↗

Effects of anthropogenic developments on common Raven nesting biology in the west Mojave Desert

Subsidized predators may affect prey abundance, distribution, and demography. Common Ravens (Corvus corax) are anthropogenically subsidized throughout their range and, in the Mojave Desert, have increased in number dramatically over the last 3-4 decades. Human-provided food resources are thought to be important drivers of raven population growth, but human developments add other features as well, such as nesting platforms. From 1996 to 2000, we examined the nesting ecology of ravens in the Mojave Desert, relative to anthropogenic development. Ravens nested disproportionately near point sources of food and water subsidies (such as towns, landfills, and ponds) but not near roads (sources of road-killed carrion), even though both sources of subsidy enhanced fledging success. Initiation of breeding activity was more likely when a nest from the previous year was present at the start of a breeding season but was not affected by access to food. The relative effect of environmental modifications on fledging success varied from year to year, but the effect of access to humanprovided resources was comparatively consistent, suggesting that humans provide consistently high-quality breeding habitat for ravens. Anthropogenic land cover types in the desert are expected to promote raven population growth and to allow ravens to occupy parts of the desert that otherwise would not support them. Predatory impacts of ravens in the Mojave Desert can therefore be considered indirect effects of anthropogenic development.

California↗

National assessment of shoreline change: Historical shoreline change in the Hawaiian Islands

Sandy beaches of the United States are some of the most popular tourist and recreational destinations. Coastal property constitutes some of the most valuable real estate in the country. Beaches are an ephemeral environment between water and land with unique and fragile natural ecosystems that have evolved in equilibrium with the ever-changing winds, waves, and water levels. Beachfront lands are the site of intense residential and commercial development even though they are highly vulnerable to several natural hazards, including marine inundation, flooding and drainage problems, effects of storms, sea-level rise, and coastal erosion. Because the U.S. population continues to shift toward the coast where valuable coastal property is vulnerable to erosion, the U.S. Geological Survey (USGS) is conducting a national assessment of coastal change. One aspect of this effort, the National Assessment of Shoreline Change, uses shoreline position as a proxy for coastal change because shoreline position is one of the most commonly monitored indicators of environmental change (for example, Fletcher, 1992; Dolan and others, 1991; Douglas and others, 1998; Galgano and others, 1998). Additionally, the National Research Council (1990) recommended the use of historical shoreline analysis in the absence of a widely accepted model of shoreline change. A principal purpose of the USGS shoreline change research is to develop a common methodology so that shoreline change analyses for the continental U.S., portions of Hawaii, and Alaska can be updated periodically in a consistent and systematic manner. The primary objectives of this study were to (1) develop and implement improved methods of assessing and monitoring shoreline movement, and (2) improve current understanding of the processes controlling shoreline movement. Achieving these ongoing long-term objectives requires research that (1) examines the original sources of shoreline data (for example, maps, air photos, global positioning system (GPS), Light Detection and Ranging (lidar)); (2) evaluates the utility of different shoreline proxies (for example, geomorphic feature, water mark, tidal datum, elevation), including the errors associated with each; (3) investigates bias and potential errors associated with integrating different shoreline proxies from different sources; (4) develops standard, uniform methods of shoreline change analysis; (5) examines the effects of human activities on shoreline movement and rates of change; and (6) investigates alternative mathematical methods for calculating historical rates of change and uncertainties associated with them. This report summarizes historical shoreline changes on the three most densely populated islands of the eight main Hawaiian Islands: Kauai, Oahu, and Maui. The report emphasizes the hazard from “chronic” (decades to centuries) erosion at regional scales and strives to relate this hazard to the body of knowledge regarding coastal geology of Hawaii because of its potential impact on natural resources, the economy, and society. Results are organized by coastal regions (island side) and sub-regions (common littoral characteristics). This report of Hawaii coasts is part of a series of reports that include text summarizing methods, results, and implications of the results. In addition, geographic information system (GIS) data used in the analyses are made available for download (Romine and others, 2012). The rates of shoreline change and products presented in this report are not intended for site-specific analysis of shoreline movement, nor are they intended to replace any official source of shoreline change information identified by local or State government agencies, or other Federal entities that are used for regulatory purposes. Rates of shoreline change presented herein may differ from other published rates, and differences do not necessarily indicate that the other rates are inaccurate. Some discrepancies are to be expected, considering the many possible ways of determining shoreline positions and rates of change, and the inherent uncertainty in calculating these rates. Rates of shoreline change presented in this report represent shoreline movement under past conditions and are not intended for use in predicting future shoreline positions or future rates of shoreline change.

Hawai'i↗

Global climate change implications for coastal and offshore oil and gas development

The discussion and debate about climate change and oil and gas resource development has generally focused on how fossil fuel use affects the Earth's climate. This paper explores how the changing climate is likely to affect oil and gas operations in low-lying coastal areas and the outer continental shelf. Oil and gas production in these regions comprises a large sector of the economies of many energy producing nations. Six key climate change drivers in coastal and marine regions are characterized with respect to oil and gas development: changes in carbon dioxide levels and ocean acidity, air and water temperature, precipitation patterns, the rate of sea level rise, storm intensity, and wave regime. These key drivers have the potential to independently and cumulatively affect coastal and offshore oil and gas exploration, production, and transportation, and several impacts of climate change have already been observed in North America.

Energy Policy↗

Estuarine salinity extremes: Using the Coastal Salinity Index to quantify the role of droughts, floods, hurricanes, and freshwater flow alteration

In the face of accelerating climate change, advancing understanding of how extreme climatic events influence estuarine salinities can help to inform resource management. Extreme salinities driven by droughts, hurricanes, floods, and freshwater flow alterations can lead to ecological transformations in estuarine ecosystems. Here, we applied the Coastal Salinity Index (CSI; Conrads and Darby 2017) to 22 years (1998–2020) of salinity data in a Louisiana estuary (Barataria Estuary, USA) to elucidate the impacts of extreme events on estuarine salinities. The CSI is an index to quantify salinity patterns at a specific location through long-term averages and deviations from historical average conditions. We calculated and compared CSI values for four stations distributed along an estuarine salinity gradient. We identified 10 events between 1998 and 2020 that produced extreme salinities, including two droughts, four hurricanes, three floods, and one freshwater diversion. The droughts of 2000 and 2006 caused surface water salinities to increase substantially throughout the estuary. The effects of hurricanes were highly variable, with some storms leading to elevated salinities throughout the entire estuary (e.g., Hurricanes Katrina and Rita in 2005), whereas other storms led to elevated salinities for some but not all stations (e.g., Hurricanes Gustav and Ike in 2008 or Hurricane Isaac in 2012). The opening of a freshwater river diversion in 2010 contributed to fresher conditions throughout the estuary and appeared to reduce or eliminate the increases in salinity that normally occur during the summer, although these effects were short-lived. Mississippi River floods in 2008, 2011, and 2019 reduced salinities throughout the estuary, but the effects were most pronounced in the lower estuary compared to the upper estuary. Collectively, our results advance understanding of the influence of extreme events on estuarine salinity regimes. Our analyses also highlight the value of the CSI for identifying periods with extreme salinities (i.e., extreme high or low salinities) via calculations that place salinity levels within and across estuaries within a historical context.

Louisiana↗

Water-resources investigations of the U.S. Geological Survey in New Mexico; fiscal year 1981

The Water Resources Division of the U.S. Geological Survey investigates the occurrence, quantity, quality, distribution, and movement of the Nation 's surface and underground waters, and coordinates Federal water data acquisition activities. During fiscal year 1981, the New Mexico District had 40 active projects, released 19 reports, and answered hundreds of requests of water-related information. Investigations included the following: (1) chemical quality of surface water in New Mexico; (2) chemical quality of groundwater in New Mexico; (3) sediment transport in New Mexico streams; (4) surface water supply; (5) surface water diversions for irrigation; (6) streamflow characteristics; (7) effect of urban development on storm runoff; (8) inundation from floods; (9) effects of groundwater pumping; (10) long-term monitoring of groundwater levels; (11) groundwater and surface water relationships; (12) consumptive use by phreatophytes; (13) hydrologic impacts of energy development; and (14) groundwater supplies. (Lantz-PTT)

Open-File Report↗

Potential hydrologic impacts of a tar-sand industry in 11 special tar sand areas in eastern Utah

About 93 percent of the Nation 's estimated 30 billion barrels of crude oil in tar sand deposits is in 11 tar-sand deposits in eastern Utah that were chosen for leasing by the Federal government. The Tar Sand Triangle area, which contains about 15 billion barrels of oil, is the largest. This area and the Sunnyside and P R Springs areas contain more than three-fourths of the Utah reserves. About 88,000 acre-feet of water per year would be required for a commercial tar-sand industry producing about 365,000 barrels per day. At this rate, most of the recoverable oil would be mined within 30 years. About 22,000 acre-feet of water per year would be required for a commercial tar-sand industry producing about 83,000 barrels per day. Impacts on local hydrology would be greatest in the Tar Sand Triangle, Sunnyside, and P R Springs areas. Impacts could be minimized with proper construction of surface facilities to decrease erosion, sediment transport, and impoundment of mining and retort water. Increases in salinity of the Colorado River at Imperial Dam, Ariz.-Calif., could be about 3 milligrams per liter, with a peak of 9 milligrams per liter, for a 365 ,000-barrel-per-day industry and less than 1 milligram per liter , with a peak of 2 milligrams per liter, for an 83 ,000-barrel-per-day industry. (USGS)

Water-Resources Investigations Report↗

ARkStorm@Tahoe: Stakeholder perspectives on vulnerabilities and preparedness for an extreme storm event in the greater Lake Tahoe, Reno, and Carson City region

Atmospheric rivers (ARs) are strongly linked to extreme winter precipitation events in the Western U.S., accounting for 80 percent of extreme floods in the Sierra Nevada and surrounding lowlands. In 2010, the U.S. Geological Survey developed the ARkStorm extreme storm scenario for California to quantify risks from extreme winter storms and to allow stakeholders to better explore and mitigate potential impacts. To explore impacts on natural resources and communities in montane and adjacent environments, we downscaled the scenario to the greater Lake Tahoe, Reno and Carson City region of northern Nevada and California. This ArkStorm@Tahoe scenario was presented at six stakeholder meetings, each with a different geographic and subject matter focus. Discussions were facilitated by the ARkStorm@Tahoe team to identify social and ecological vulnerabilities to extreme winter storms, science and information needs, and proactive measures that might minimize impacts from this type of event. Information collected in these meetings was used to develop a tabletop emergency response exercise and set of recommendations for increasing resilience to extreme winter storm events in both Tahoe and the downstream communities of Northern Nevada. Over 300 individuals participated in ARkStorm@Tahoe stakeholder meetings and the emergency response exercise, including representatives from emergency response, natural resource and ecosystem management, health and human services, public utilities, and businesses. Interruption of transportation, communications, and lack of power and backup fuel supplies were identified as the most likely and primary points of failure across multiple sectors and geographies, as these interruptions have cascading effects on natural and human systems by impeding emergency response efforts. Other key issues that arose in discussions included contamination risks to water supplies and aquatic ecosystems, especially in the Tahoe Basin and Pyramid Lake, interagency coordination, credentialing, flood management, and coordination of health and human services during such an event. Mitigation options were identified for each of the key issues. Several science needs were identified, particularly the need for improved flood inundation maps. Finally, key lessons learned were identified and may help to increase preparedness, response and recovery from extreme storms in the future.

Report↗

Western water and climate change

The western United States is a region long defined by water challenges. Climate change adds to those historical challenges, but does not, for the most part, introduce entirely new challenges; rather climate change is likely to stress water supplies and resources already in many cases stretched to, or beyond, natural limits. Projections are for continued and, likely, increased warming trends across the region, with a near certainty of continuing changes in seasonality of snowmelt and streamflows, and a strong potential for attendant increases in evaporative demands. Projections of future precipitation are less conclusive, although likely the northernmost West will see precipitation increases while the southernmost West sees declines. However, most of the region lies in a broad area where some climate models project precipitation increases while others project declines, so that only increases in precipitation uncertainties can be projected with any confidence. Changes in annual and seasonal hydrographs are likely to challenge water managers, users, and attempts to protect or restore environmental flows, even where annual volumes change little. Other impacts from climate change (e.g., floods and water-quality changes) are poorly understood and will likely be location dependent. In this context, four iconic river basins offer glimpses into specific challenges that climate change may bring to the West. The Colorado River is a system in which overuse and growing demands are projected to be even more challenging than climate-change-induced flow reductions. The Rio Grande offers the best example of how climate-change-induced flow declines might sink a major system into permanent drought. The Klamath is currently projected to face the more benign precipitation future, but fisheries and irrigation management may face dire straits due to warming air temperatures, rising irrigation demands, and warming waters in a basin already hobbled by tensions between endangered fisheries and agricultural demands. Finally, California's Bay-Delta system is a remarkably localized and severe weakness at the heart of the region's trillion-dollar economy. It is threatened by the full range of potential climate-change impacts expected across the West, along with major vulnerabilities to increased flooding and rising sea levels.

Ecological Applications↗

Using structured decision making to evaluate potential management responses to detection of dreissenid mussel (Dreissena spp.) environmental DNA

Environmental (e)DNA tools are sensitive and cost-effective for early detection of invasive species. However, the uncertainty associated with the interpretation of positive eDNA detections makes it challenging to determine appropriate natural resource management responses. Multiple sources of error can give rise to positive detections of eDNA in a sample when individuals of that species are not present at the site or a widespread infestation is not imminent. Acting on an erroneous eDNA inference could result in needless costs or reductions in desirable resources. Alternatively, failure to rapidly act on eDNA results that truly indicate invader presence could compound negative impacts and lead to high, long-term costs to manage infestations. We used a structured decision making (SDM) process, which incorporates tradeoffs and uncertainties, to evaluate appropriate response actions following hypothetical eDNA detections of invasive dreissenid mussel ( Dreissena spp.) eDNA in Jordanelle Reservoir, Utah (USA). We worked with decision-makers and stakeholders to identify objectives and discrete management action alternatives to assess consequences and tradeoffs. Alternatives ranged from no action to intensive and expensive control efforts. The best performing alternative was delayed containment described by immediate attempts to confirm the eDNA detections using non-molecular sampling techniques followed by mandatory watercraft exit inspections to prevent dreissenid mussel spread to regional water bodies. Non-molecular sampling increased public support for management by demonstrating a commitment to monitor the invasion state before action, whereas containment decreased likelihood of regional spread to other waters. Delayed containment had the lowest downside risk, and the highest upside gains relative to other alternative actions. Sensitivity analyses showed our results to be robust to parameter and outcome uncertainty.

Management of Biological Invasions↗

Estimating actual evapotranspiration over croplands using vegetation index methods and dynamic harvested area

Advances in estimating actual evapotranspiration (ETa) with remote sensing (RS) have contributed to improving hydrological, agricultural, and climatological studies. In this study, we evaluated the applicability of Vegetation-Index (VI) -based ETa (ET-VI) for mapping and monitoring drought in arid agricultural systems in a region where a lack of ground data hampers ETa work. To map ETa (2000–2019), ET-VIs were translated and localized using Landsat-derived 3- and 2-band Enhanced Vegetation Indices (EVI and EVI2) over croplands in the Zayandehrud River Basin (ZRB) in Iran. Since EVI and EVI2 were optimized for the MODerate Imaging Spectroradiometer (MODIS), using these VIs with Landsat sensors required a cross-sensor transformation to allow for their use in the ET-VI algorithm. The before- and after- impact of applying these empirical translation methods on the ETa estimations was examined. We also compared the effect of cropping patterns’ interannual change on the annual ETa rate using the maximum Normalized Difference Vegetation Index (NDVI) time series. The performance of the different ET-VIs products was then evaluated. Our results show that ETa estimates agreed well with each other and are all suitable to monitor ETa in the ZRB. Compared to ETc values, ETa estimations from MODIS-based continuity corrected Landsat-EVI (EVI2) (EVI MccL and EVI2 MccL ) performed slightly better across croplands than those of Landsat-EVI (EVI2) without transformation. The analysis of harvested areas and ET-VIs anomalies revealed a decline in the extent of cultivated areas and a loss of corresponding water resources downstream. The findings show the importance of continuity correction across sensors when using empirical algorithms designed and optimized for specific sensors. Our comprehensive ETa estimation of agricultural water use at 30 m spatial resolution provides an inexpensive monitoring tool for cropping areas and their water consumption.

Remote Sensing↗

Comprehensive water quality of the Boulder Creek Watershed, Colorado, during high-flow and low-flow conditions, 2000

Executive Summary The Boulder Creek Watershed, Colorado, is 1160 square kilometers in area and ranges in elevation from 1480 to 4120 meters above sea level. Streamflow originates primarily as snowmelt near the Continental Divide, and thus discharge varies seasonally and annually (Chapter 1). Most of the water in Boulder Creek is diverted for domestic, agricultural, and industrial use. Some diverted water is returned to the creek as wastewater effluent and by ditch returns, and additional water enters as groundwater and by transbasin diversions. These diversions and returns lead to complex temporal and spatial variations in discharge. The variations in discharge, along with natural factors such as geology and climate, and anthropogenic factors such as wastewater treatment, agriculture, mining, and urbanization, can affect water chemistry. As with many watersheds in the American West, dependable water quality and sufficient water supply are issues facing local water managers and users. Detailed water-quality and sediment sampling allows the identification of sources and sinks of chemical constituents and an understanding of the processes at work in a river system. This study, the most comprehensive water-quality analysis performed for Boulder Creek to date, was a cooperative effort of the U.S. Geological Survey (USGS) and the city of Boulder. Geographic information systems and modeling programs were used to delineate watershed boundaries, land cover, and geology (Chapter 2). During high-flow (June 2000) and low-flow (October 2000) conditions, researchers evaluated 226 water-quality variables, including basic water-quality indicators (Chapter 3), major ions and trace elements (Chapter 4), wastewater-derived organic compounds (Chapter 5), and pesticides (Chapter 6). Discharge (Chapter 1) and bed-sediment particle size and mineralogy (Chapter 7) were also evaluated. This cooperative study was facilitated by the Boulder Area Sustainability Information Network (BASIN), which provides public access to environmental information about the Boulder Creek Watershed on a website, www.basin.org. In addition to the USGS and city of Boulder data, researchers at the Institute of Arctic and Alpine Research at the University of Colorado provided water chemistry data for the headwaters of North Boulder Creek, upstream of the reach of the USGS/city of Boulder sampling sites (Chapter 8). Snowmelt produces high flows in Boulder Creek in late spring to early summer (Chapter 1). Because precipitation falling in the headwaters is very dilute (specific conductance about 5 microsiemens per centimeter), most chemical constituents are present in lower concentrations during high flows (Chapters 3, 4, 5, 6, and 8). However, concentrations of some constituents, such as total suspended solids (Chapter 3) and organic carbon (Chapter 5), increase during the spring snowmelt flush. The upper basin, which consists of alpine, subalpine, montane, and foothills regions west of the mouth of Boulder Canyon, is underlain by Precambrian igneous and metamorphic rocks (Chapter 1). Major dissolved inorganic constituents in headwater sites were found to be enriched by factors of 10 to 20 relative to precipitation; this is consistent with minor weathering of the local crystalline bedrock (Chapter 4). Some anthropogenic input is observed in the headwaters; precipitation introduces nitrogen derived from fossil fuel combustion and agricultural activities (Chapter 8). The lower basin, which consists of the plains region east of the mouth of Boulder Canyon, is underlain by Mesozoic sedimentary rock and Quaternary alluvium, and has substantially more anthropogenic sources. Concentrations of most dissolved inorganic constituents increased in the lower basin. Differentiation between natural and anthropogenic sources of some dissolved constituents is difficult because both sources contribute to the water composition in this region. The increase of most major constituents (bicarbonate, calcium, chloride, magnesium, sodium, and sulfate) is consistent with weathering of the underlying sedimentary bedrock (Chapter 4). It is likely that anthropogenic loading of constituents in this reach occurs during storm events. Fecal coliform concentrations were variable and in some cases exceeded state standards, primarily during low-flow conditions (Chapter 3). Effluent from Boulder’s 75th Street Wastewater Treatment Plant (WWTP) has a substantial impact on the water chemistry of lower Boulder Creek. The WWTP increases the concentrations of nutrients such as nitrogen and phosphorus (Chapter 3), major ions and trace metals (Chapter 4), and organic carbon (Chapter 5) in Boulder Creek. The effluent contained a spike in gadolinium, a rare earth element that is ingested for magnetic resonance imaging as a contrasting agent and then excreted to the urban wastewater system. The effluent also contained trace organic compounds such as surfactants, pharmaceuticals, hormones (Chapter 5), and pesticides (Chapter 6), which also were detected at downstream Boulder Creek sites. Water chemistry of Boulder Creek downstream of the WWTP is largely controlled by the degree of dilution of the wastewater effluent, which varies depending on the baseflow of Boulder Creek, the volume of wastewater effluent, and depletion by agricultural diversions. Coal Creek, a tributary of Boulder Creek, contains wastewater effluent from four additional WWTPs, and increases the load of many constituents in Boulder Creek. In addition to the impact from wastewater effluent, lower Boulder Creek is affected by agricultural land use. Eleven of 84 analyzed pesticides were detected in Boulder Creek or its inflows, primarily in the eastern section of the watershed (Chapter 6). This collaborative study provides an in-depth evaluation of the hydrology, water chemistry, and sediment mineralogy of North Boulder Creek, Middle Boulder Creek, Boulder Creek, and major inflows. The detailed sampling and analysis in this report provide a baseline for future reference, as well as information on the effect of land use and geology on water chemistry.

Colorado↗

Gulf of Mexico summary report 2, August 1981: A revision of Outer Continental Shelf oil and gas activities in the Gulf of Mexico and their onshore impacts: A summary report, September 1980

The Gulf of Mexico Outer Continental Shelf (OCS) continues to be the most intensively developed offshore oil- and gas-producing region in the world. With the development of technology, exploration, development, and production are being extended to include areas off the coast of southwest Florida and deep-water areas near the Mississippi River Delta. Development in both areas requires careful analyses of local considerations. The hydrocarbon potential of the region, while not well established in the frontier portions, generally remains favorable. A total of 482 fields have been discovered to date in the federally regulated part of the Gulf of Mexico. Reserve estimates have been made for the 435 producing fields in the region. Through December 31, 1980, those fields have produced 5.0 billion barrels of oil and condensate, and 48.7 trillion cubic feet of gas. Remaining recoverable reserves are 3.1 billion barrels of oil and 40.2 trillion cubic feet of gas. Estimates of undiscovered recoverable resources for the Gulf of Mexico are 6.6 billion barrels of oil and 71.9 trillion cubic feet of gas. Since enactment of the Outer Continental Shelf Lands Act in 1953, there have been 42 oil and gas lease sales in the Gulf of Mexico. An average of three lease sales per year are scheduled through 1986. Since 1953, the Bureau of Land Management (BLM) has leased 3,119 tracts in the Gulf of Mexico; 1,825 leases are currently active. The distribution of leased tracts exhibits a regionwide pattern as shown by Lease Sales A62, 62, A66, and 66. Proposed Lease Sales 67, 69, 72, and 74 will probably continue that pattern. Tracts off the coast of southwest Florida in the Charlotte Harbor, Howell Hook, and Pulley Ridge Areas will be offered in upcoming sales. Operations on tracts in deepwater areas slated for future sales may require additional technology. Exploration, development, and production in the Gulf of Mexico Region are continuing at a rapid pace throughout the Gulf of Mexico. Between January 1, 1980, and April 15, 1981, 197 initial plans of exploration and 165 supplemental plans of exploration were submitted to the U.S. Geological Survey (USGS). During the same period, 107 initial and 131 supplemental plans of development/production were submitted to the USGS. As of May 1981, there were 121 offshore mobile drilling units operating in the Gulf of Mexico. Pipelines continue to be the preferred mode of transport for Gulf of Mexico OCS oil and gas production. Pipeline additions to the existing network average 69 miles (111 km) per month. At any given time, numerous pipeline projects are under way in the Gulf of Mexico. To supplement OCS oil and gas production several deepwater port projects, designed to handle imported crude oil, are being planned or constructed in the region. The process of transportation planning in the Gulf of Mexico is done by industry and government through BLM's Intergovernmental Planning Program and its Regional Technical Working Group (RTWG). The RTWG has completed the First Edition Gulf of Mexico Regional Transportation Management Plan. The nearshore and onshore facilities in the Gulf of Mexico service both the domestic onshore and offshore oil and gas industry as well as the global market. Most of the major centers along the Gulf Coast, including Houston, Corpus Christi, Galveston, Beaumont, Port Arthur, and Freeport, Texas; New Orleans, Lake Charles, Lafayette, Baton Rouge, Morgan City, and Houma, Louisiana; Pascagoula, Mississippi; Mobile, Alabama; and Port Manatee, Florida, have ties to the offshore industry. A wide array of services and support industries, ranging from small independent vendors to major international manufacturing contractors, can be found within the region. Profiles of selected centers reveal typical industries and patterns of activity that are characteristic throughout the Gulf Coast region.

Alabama, Florida, Louisiana, Mississippi, Texas↗

Evaluation of the surface-water data network, Suwannee River basin, Florida, 1982

In the 9,950 square mile area of the Suwannee River basin in Florida and Georgia, a network of 33 surface-water gaging stations operated for different periods of time from 1927 to 1982 was evaluated for its capability to provide program information for floodplain mapping, floodplain management, forecasting of flow extremes, and defining the impact of changes in land use on surface-water quantity and quality. Gaging stations are classified based on the type of data and number of years record as current use, long-term trend, and planning and design. Goals are established for each classification. Suggestions for program revisions include establishing crest-stage gages for high-flow and flood-profile data, defining and establishing a low-flow network, and establishing two and discontinuing one daily discharge station. (USGS)

Water-Resources Investigations Report↗

Ammonia and aquatic ecosystems – A review of global sources, biogeochemical cycling, and effects on fish

The purpose of this review is to better understand the full life cycle and influence of ammonia from an aquatic biology perspective. While ammonia has toxic properties in water and air, it also plays a central role in the biogeochemical nitrogen (N) cycle and regulates mechanisms of normal and abnormal fish physiology. Additionally, as the second most synthesized chemical on Earth, ammonia contributes economic value to many sectors, particularly fertilizers, energy storage, explosives, refrigerants, and plastics. But, with so many uses, industrial N 2 -fixation effectively doubles natural reactive N concentrations in the environment. The consequence is global, with excess fixed nitrogen driving degradation of soils, water, and air; intensifying eutrophication, biodiversity loss, and climate change; and creating health risks for humans, wildlife, and fisheries. Thus, the need for ammonia research in aquatic systems is growing. In response, we prepared this review to better understand the complexities and connectedness of environmental ammonia. Even the term “ammonia” has multiple meanings. So, we have clarified the nomenclature, identified units of measurement, and summarized methods to measure ammonia in water. We then discuss ammonia in the context of the N-cycle, review its role in fish physiology and mechanisms of toxicity, and integrate the effects of human N-fixation, which continuously expands ammonia's sources and uses. Ammonia is being developed as a carbon-free energy carrier with potential to increase reactive nitrogen in the environment. With this in mind, we review the global impacts of excess reactive nitrogen and consider the current monitoring and regulatory frameworks for ammonia. The presented synthesis illustrates the complex and interactive dynamics of ammonia as a plant nutrient, energy molecule, feedstock, waste product, contaminant, N-cycle participant, regulator of animal physiology, toxicant, and agent of environmental change. Few molecules are as influential as ammonia in the management and resilience of Earth's resources.

Science of the Total Environment↗

Toward a total water level forecast of the Great Lakes

The combined effect of storm surge and large waves is the main driving mechanism that erodes beaches, inundates low-lying areas, leading to millions of dollars in property damage, loss of natural resources, and lives. The U.S. Geological Survey (USGS) aims to expand the real-time total water level (TWL) forecast provided in the Operational Total Water Level and Coastal Change Forecasts (TWL&CC) to the Great Lakes short- (0 – 36 hours) to medium-term (3 – 5 days) coastal-hazard forecasts to inform planners and emergency responders. This study assesses the skill of forecast water levels and wave characteristics required as input to the TWL forecasts. It finds that, while skill generally decreases as forecast period increases, these data are suitable as input to the TWL forecast system. As the TWL predictions depend on the water level and wave forecasts, validation against field observations allow evaluation of their suitability for the Great Lakes. These results have implications on the prediction of water levels and their potential impacts on coastal resiliency in North America.

Great Lakes↗

Simulation of hydrodynamics, temperature, and dissolved oxygen in Bull Shoals Lake, Arkansas, 1994-1995

Outflow from Bull Shoals Lake and other White River reservoirs supports a cold-water trout fishery of substantial economic yield in north-central Arkansas and south-central Missouri. The Arkansas Game and Fish Commission has requested an increase in existing minimum flows through the Bull Shoals Lake dam to increase the amount of fishable waters downstream. Information is needed to assess the impact of increased minimum flows on temperature and dissolved-oxygen concentrations of reservoir water and the outflow.A two-dimensional, laterally averaged, hydrodynamic, temperature, and dissolved-oxygen model was developed and calibrated for Bull Shoals Lake, located on the Arkansas-Missouri State line. The model simulates water-surface elevation, heat transport, and dissolved- oxygen dynamics. The model was developed to assess the impacts of proposed increases in minimum flow from 4.6 cubic meters per second (the existing minimum flow) to 22.6 cubic meters per second (the increased minimum flow). Simulations included assessing the impact of (1) increased minimum flows and (2) increased minimum flows with increased initial water-surface elevation of 1.5 meters in Bull Shoals Lake on outflow temperatures and dissolved-oxygen concentrations.The increased minimum flow simulation (without increasing initial water-surface elevation) increased the water temperature and dissolved-oxygen concentration in the outflow. Conversely, the increased minimum flow and increased initial water-surface elevation (1.5 meters) simulation decreased outflow water temperature and dissolved-oxygen concentration through time. However, results from both scenarios for water temperature and dissolved-oxygen concentration were within the boundaries of the error between measured and simulated water column profile values.

Water-Resources Investigations Report↗