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A statistical model for estimating stream temperatures in the Salmon and Clearwater River basins, central Idaho

A water-quality standard for temperature is critical for the protection of threatened and endangered salmonids, which need cold, clean water to sustain life. The Idaho Department of Environmental Quality has established temperature standards to protect salmonids, yet little is known about the normal range of temperatures of most Idaho streams. A single temperature standard for all streams does not take into account the natural temperature variation of streams or the existence of naturally warm waters. To address these issues and to help the Idaho Department of Environmental Quality revise the existing State temperature standards for aquatic life, temperature data from more than 200 streams and rivers in the salmon and Clearwater River Basins were collected. From these data, a statistical model was developed for estimating stream temperatures on the basis of subbasin and site characteristics and climatic factors. Stream temperatures were monitored hourly for approximately 58 days during July, August, and September 2000 at relatively undisturbed sites in subbasins in the Salmon and Clearwater River Basins in central Idaho. The monitored subbasins vary widely in size, elevation, drainage area, vegetation cover, and other characteristics. The resulting data were analyzed for statistical correlations with subbasin and site characteristics to establish the most important factors affecting stream temperature. Maximum daily average stream temperatures were strongly correlated with elevation and total upstream drainage area; weaker correlations were noted with stream depth and width and aver-age subbasin slope. Stream temperatures also were correlated with certain types of vegetation cover, but these variables were not significant in the final model. The model takes into account seasonal temperature fluctuations, site elevation, total drainage area, average subbasin slope, and the deviation of daily average air temperature from a 30-year normal daily average air temperature. The goodness-of-fit of the model varies with day of the year. Overall, temperatures can be estimated with 95-percent confidence to within approximately plus or minus 4 degrees Celsius. The model performed well when tested on independent stream-temperature data previously collected by the U.S. Geological Survey and other agencies. Although the model provides insight into the natural temperature potential of a wide variety of streams and rivers in the Salmon and Clearwater River Basins, it has limitations. It is based on data collected in only one summer, during which temperatures were higher and streamflows were lower than normal. The effects of changes in streamflow on the effectiveness of the model are not known. Because the model is based on data from minimally disturbed or undisturbed streams, it should not be applied to streams known to be significantly affected by human activities such as disturbance of the streambed, diversion and return of water by irrigation ditches, and removal of riparian vegetation. Finally, because the model is based on data from streams in the Salmon and Clearwater River Basins and reflects climatological and landscape characteristics of those basins, it should not be applied to streams outside this region.

Idaho

Geophysical investigation of the pressure field produced by water guns at a pond site in La Crosse, Wisconsin

Three different geophysical sensor types were used to characterize the underwater pressure waves generated by the underwater firing of a seismic water gun and their suitability for establishing a pressure barrier to potentially direct or prevent the movement of the Asian carps. The sensors used to collect the seismic information were blast rated hydrophones and underwater blast sensors. Specific location information for the water guns and the sensors was obtained using either laser rangefinders or differentially corrected global positioning systems (GPS). Two separate studies are discussed in this report. The two studies were completed during September 2012 and July 2013. Both of these studies took place in an earthen testing pond on the campus of Upper Midwest Environmental Sciences Center (UMESC) in La Crosse, Wisconsin. Previous studies had identified 5 pounds per square inch (lb/in 2 ) as a target value for the successful operation of a water gun barrier. The September 2012 study evaluated the performance of 1-cubic-inch (in 3) and 80-in 3 water guns. Data from the 1-in 3 gun showed that it produces a very planar wave with limited effect on the depths above and below its gun ports. The 1-in 3 gun did not produce the 5-lb/in 2 target pressure at a sufficient distance to be considered effective. The 80-in 3 gun produced a bowl-shaped pressure field with the 5-lb/in 2 target radius at the surface extending to 45 feet. The July 2013 study consisted of three scenarios: fish behavior, single gun assessment, and experimental barrier evaluation. The fish behavior scenario simulated the pond conditions from previous studies. Two 80-in 3 water guns were fired in the south end of the testing pond. Pressures essentially doubled from the testing of the single 80-in 3 water gun. The single gun assessment scenario sought to replicate the setup of the 80-in 3 scenario in September 2012, but with additional sensors to better define the pressure field. The 5-lb/in 2 target pressure field continued to show a radius ranging from 40 to 45 feet, dependent on the pressure of the input air. The final scenario, the experimental barrier evaluation, showed that a two-dimensional continuous plane of 5 lb/in 2 can be created between two 80-in 3 water guns to a separation of 99 feet and a depth of 6.5 feet with 1,500 lb/in 2 of input air.

Wisconsin

A practical decision tool for marine bird mortality assessments

Given the rise in anthropogenic, environmental, and disease events contributing to marine bird mortality, there is a critical need to improve the rigor of mortality assessments. Deficits in data collection and mortality estimation can hinder a manager’s ability to document the scale of events and assess population level impacts. Therefore, to inform decisions required during activities, such as conservation status assessments or harvest management, organizations may choose to incorporate mortality assessments into response plans. Resources, capacity, and assets to assess mortality vary across jurisdictions (federal, state, Indigenous, local, etc.), and clear guidance to support mortality assessments is often unavailable or not clearly addressed. Here, we present a decision support tool to help managers identify and evaluate survey options to assess bird mortality in a diverse array of scenarios. The objective of the decision tool is to improve data collection and availability, which will increase the ability to estimate mortality robustly, given situation-specific attributes and constraints. This decision tool is designed to guide the response when a mortality event is initially encountered and offers suggestions for assessment and reporting procedures in the absence of other guidance or to complement existing protocols. The decision tool is also meant to inform decision making for response determination and resource allocation. The tool facilitates examination of options for further assessment and monitoring, which users determine by examining questions pertaining to species prioritization, determination of mortality minimum spatial extent, and the potential magnitude of impacts on affected species. Finally, identification of appropriate survey methods that address imperfect detection when a complete census is not possible are determined by exploring location, spatial and temporal extent, and the type of species affected. Ultimately, this decision tool aims to facilitate and improve the standardization of mortality assessments, equipping managers with a practical resource to navigate the decision-making process for marine bird mortality estimation.

Ornithological Applications

Monitoring nesting waterbirds for the South Bay Salt Pond Restoration Project—2022 breeding season

The San Francisco Bay supports thousands of breeding waterbirds annually and hosts large populations of American avocets ( Recurvirostra americana ), black-necked stilts ( Himantopus mexicanus ), and Forster’s terns ( Sterna forsteri ). These three species have relied largely on former commercial salt ponds in South San Francisco Bay, which provide wetland foraging habitat and island nesting habitat. The South Bay Salt Pond Restoration Project is in the process of restoring 50–90 percent of 15,100 acres of these former salt ponds to tidal marsh and tidal mudflats. Although this restoration is expected to have numerous benefits, including providing habitat for tidal wetland-dependent species, improving water quality, buffering against storm surge, and protecting inland areas from sea level rise, the reduction in former salt pond habitat and nesting islands may negatively affect breeding waterbirds. To address the reduction in former salt pond habitat available to waterbirds, the South Bay Salt Pond Restoration Project also includes enhancements to remaining pond habitat, such as the construction of new islands for nesting. Moreover, the South Bay Salt Pond Restoration Project follows an adaptive management plan in which waterbird response to the changing landscape is monitored over time to ensure that existing breeding waterbird populations are maintained. In this report, we provide results of waterbird nest monitoring in South San Francisco Bay during the 2022 breeding season and present these results in the context of annual nest monitoring in South San Francisco Bay since 2005. Overall, nest abundance in 2022 remained at or near 18-year lows for American avocets (176 nests) and black-necked stilts (97 nests), but Forster’s tern nest abundance (1,727 nests) was at an 18-year high, reversing historically low abundance observed during 2015–2017. In 2022, there were only 6 American avocet, 4 black-necked stilt, and 4 Forster’s tern major colony nesting sites, which is down from annual averages of 12.4, 6.6, and 6.6 observed during 2005–2009. Nest success (30 percent for American avocets, 29 percent for black-necked stilt, and 53 percent for Forster’s terns) was below the 2005–2007 baseline values established for the South Bay Salt Pond Restoration Project. Average egg-hatching success (98 percent, 100 percent, and 90 percent), and clutch sizes (3.68, 3.70, and 2.63 eggs) of American avocets, black-necked stilts, and Forster’s terns, respectively, were similar to values observed during 2005–2010. All three species displayed notable shifts in nest initiation dates in 2022, with American avocets and Forster’s terns nesting 10–11 days earlier and black-necked stilts nesting 10 days later than during 2005–2010. Finally, the enhanced, managed ponds with newly constructed islands (Ponds A16 and SF2) supported 86 percent of all the Forster’s tern nests recorded in South San Francisco Bay in 2022, which is the first time these managed ponds have hosted such a substantial number of tern nests.

California

Results of a workshop concerning assessment of the functions of bottomland hardwoods

The U.S. Environmental Protection Agency (EPA) is authorized under Section 404 of the Clean Water Act (33 U.S.C. 1344) to participate in the regulation of the discharge of dredged or fill material into waters of the United States. This regulatory authority is exercised in partnership with the U.S. Army Corps of Engineers, which has responsibility for permit issuance, and in consultation with the U.S. Fish and Wildlife Service and the National Marine Fisheries Service. Through amendments to the original statute, a series of legal actions and court decisions, and the development of operating guidance among the responsible agencies, Section 404 has evolved into the primary mechanism afforded Federal authorities for the protection of wetlands. EPA recognizes the importance of wetlands in achieving the goals of the Clean Water Act, which are to protect and maintain the chemical, physical, and biological integrity of the Nation’s waters. EPA Administrator Lee Thomas has identified wetlands protection as among the highest of Agency priorities. EPA recognizes that bottomland hardwood (BLH) wetlands have vital and unique attributes that, if lost, would severely impact the physical, chemical, and biological integrity of the Nation's waters. As part of a broad program to better protect the Nation's wetlands, EPA has therefore identified bottomland hardwood wetlands as a priority resource requiring special attention on a national basis. Recognizing the importance of implementing an effective, nationally consistent, and scientifically defensible regulatory program, EPA, in October 1984, issued Interim Operating Guidance to its field personnel for implementing the Section 404 regulatory program in bottomland hardwood wetlands. With the goal of improving and finalizing that guidance, EPA is sponsoring a series of workshops designed to answer key questions concerning BLH wetlands, based on the best scientific and technical information currently available. The first two workshops were directed toward summarizing existing scientific and technical knowledge concerning the functions of BLH ecosystems, the characteristics that are important to each function, and the impact of various development activities on those characteristics. The first workshop, which was held in St. Francisville, Louisiana, in December, 1984, examined a wetland zonation concept as a framework for gaining a greater understanding of BLH structure and function. The workshop set out to determine whether characterization of BLH resources as a series of relatively distinct zones, defined by concomitant variation in hydrologic regime, soils, and vegetation, might provide the basis for a useful and scientifically sound regulatory framework. For examp1e, if certain zones are of particular importance to one or more wetland functions that the Clean Water Act was intended to protect, then the zonation concept might be useful from the perspective of how various activities should be regulated. Discussions during the first workshop, however, indicated that the zonation concept provides, at best, only an incomplete picture of the structure and function of BLH ecosystems. In many cases, BLH functions are not limited to or closely correlated with particular zones and, furthermore, many factors other than zone are important determinants of BLH functions. With these responses in mind, the second workshop, held at Lake Lanier, Georgia, in July, 1985, was designed to elicit information on two questions. First, if zones are not an adequate framework for understanding the functions of BLH systems, what characteristics (predictors) can be used to assess the extent to which a particular site performs these functions? And second, what are the impacts of various development activities that often occur in BLH ecosystems on those characteristics and thus on the functions themselves? At the second workshop, individual workgroups dealing with particular subject areas (e.g., hydrology, water quality, fisheries, wildlife, ecosystem processes, and cultural/recreational/economic resources) were able to identify site characteristics that are important determinants of the performance of various functions. For example, the Hydrology Workgroup identified flood storage as one of three major hydrologic functions that BLH ecosystems perform. The workgroup then identified the most important characteristic (e.g., surface area of the site, soil saturation, and others) that determine flood storage and the likely impact of several common activities (e.g., conversion to soybean production and levee construction) on these characteristics. Some of the workgroups also provided estimates of the aggregate impact of activities, acting through all of the characteristics, on certain functions. The workgroups also identified key characteristics that could be used to identify high-value wetlands for various functions. In addition, the workgroups pointed out a number of topics needing further examination and discussion. First, all of the workgroups identified the need to develop the technical basis and information sources to address the problem of cumulative impacts in the regulatory process. Second, most of the workgroups noted the important of contextual variables in assessing the function of a particular site. For example, the location of a BLH site in relationship to other tracts of habitat is an important variable for many wildlife species. Similarly, the extent to which a site retains or transforms contaminants is depended not only on the characteristics of the site, but also on its position in a watershed relative to contaminant inputs. And finally, several of the workgroups pointed out that assessing the impact of an activity on a function is not as simple as "adding up" the impact on individual characteristics, but may depend instead on complex interactions among characteristics. Addressing these questions, as summarized in the objectives and discussions that follow, was the focus of the third workshop, the results of which are described in this report.

Report

Preliminary geologic map of Black Canyon and surrounding region, Nevada and Arizona

Thermal springs in Black Canyon of the Colorado River, downstream of Hoover Dam, are important recreational, ecological, and scenic features of the Lake Mead National Recreation Area. This report presents the results from a U.S. Geological Survey study of the geologic framework of the springs. The study was conducted in cooperation with the National Park Service and funded by both the National Park Service and National Cooperative Geologic Mapping Program of the U.S. Geological Survey. The report has two parts: A, a 1:48,000-scale geologic map created from existing geologic maps and augmented by new geologic mapping and geochronology; and B, an interpretive report that presents results based on a collection of fault kinematic data near springs within Black Canyon and construction of 1:100,000-scale geologic cross sections that extend across the western Lake Mead region. Exposures in Black Canyon are mostly of Miocene volcanic rocks, underlain by crystalline basement composed of Miocene plutonic rocks or Proterozoic metamorphic rocks. The rocks are variably tilted and highly faulted. Faults strike northwest to northeast and include normal and strike-slip faults. Spring discharge occurs along faults intruded by dacite dikes and plugs; weeping walls and seeps extend away from the faults in highly fractured rock or relatively porous volcanic breccias, or both. Results of kinematic analysis of fault data collected along tributaries to the Colorado River indicate two episodes of deformation, consistent with earlier studies. The earlier episode formed during east-northeast-directed extension, and the later during east-southeast-directed extension. At the northern end of the study area, pre-existing fault blocks that formed during the first episode were rotated counterclockwise along the left-lateral Lake Mead Fault System. The resulting fault pattern forms a complex arrangement that provides both barriers and pathways for groundwater movement within and around Black Canyon. Regional cross sections in this report show that thick Paleozoic carbonate aquifer rocks of east-central Nevada do not extend into the Black Canyon area and generally are terminated to the south at a major tectonic boundary defined by the northeast-striking Lake Mead Fault System and the northwest-striking Las Vegas Valley shear zone. Faults to the west of Black Canyon strike dominantly north-south and form a complicated pattern that may inhibit easterly groundwater movement from Eldorado Valley. To the east of Black Canyon, crystalline Proterozoic rocks locally overlain by Tertiary volcanic rocks in the Black Mountains are bounded by steep north-south normal faults. These faults may also inhibit westerly groundwater movement from Detrital Valley toward Black Canyon. Finally, the cross sections show clearly that Proterozoic basement rocks and (or) Tertiary plutonic rocks are shallow in the Black Canyon area (at the surface to a few hundred meters depth) and are cut by several major faults that discharge most of the springs in the Black Canyon. Therefore, the faults most likely provide groundwater pathways to sufficient depths that the groundwater is heated to the observed temperatures of up to 55 °C.

Arizona, Nevada

Geochronology of Cenozoic rocks in the Bodie Hills, California and Nevada

The purpose of this report is to present geochronologic data for unaltered volcanic rocks, hydrothermally altered volcanic rocks, and mineral deposits of the Miocene Bodie Hills and Pliocene to Pleistocene Aurora volcanic fields of east-central California and west-central Nevada. Most of the data presented here were derived from samples collected between 2000–13, but some of the geochronologic data, compiled from a variety of sources, pertain to samples collected during prior investigations. New data presented here (tables 1 and 2; Appendixes 1–3) were acquired in three U.S. Geological Survey (USGS) 40 Ar/ 39 Ar labs by three different geochronologists: Robert J. Fleck (Menlo Park, CA), Lawrence W. Snee (Denver, CO), and Michael A. Cosca (Denver, CO). Analytical methods and data derived from each of these labs are presented separately. The middle to late Miocene Bodie Hills volcanic field (BHVF) is a large (>700 km 2 ), long-lived (~9 million years [m.y.]), episodic eruptive complex (John and others, 2012) in the southern segment of the ancestral Cascades arc (du Bray and others, written commun., 2015) north of Mono Lake and east of Bridgeport, California (fig. 1). The field is near the west edge of the Walker Lane and the northwest edge of the Mina deflection where structures related to these shear zones may have localized magmatism. The Walker Lane (fig. 1) is a broad, northwest-striking zone of right-lateral shear that accommodates right-lateral motion between the Pacific and North America plates; the Mina deflection constitutes a 60-km-long right step in the Walker Lane (Faulds and Henry, 2008; Oldow, 1992, 2003; Stewart, 1988). The Bodie Hills volcanic field includes at least 31 volcanic rock units erupted from 21 significant volcanic eruptive centers. Four trachyandesite stratovolcanoes developed along the margins of the volcanic field and numerous silicic trachyandesite to rhyolite flow dome complexes erupted more centrally. Volcanism in the Bodie Hills volcanic field peaked at two periods, ~15.0 to 12.6 million years before present (Ma) and ~9.9 to 8.0 Ma, which were dominated by emplacement of large stratovolcanoes and large silicic trachyandesite-dacite lava domes, respectively. A final period of small-volume silicic dome emplacement began in the western part of the volcanic field at ~6 Ma and culminated at ~5.5 Ma (John and others, 2012).

California, Nevada

Long-term trajectories of fractional component change in the Northern Great Basin, USA

The need to monitor change in sagebrush steppe is urgent due to the increasing impacts of climate change, shifting fire regimes, and management practices on ecosystem health. Remote sensing provides a cost effective and reliable method for monitoring change through time and attributing changes to drivers. We report an automated method of mapping rangeland fractional component cover over a large portion of the northern Great Basin from 1986 to 2016 using a dense Landsat imagery time-series. Our method improved upon the traditional change vector method by considering the legacy of change at each pixel. We evaluate cover trends stratified by climate bin and assess spatial and temporal relationships with climate variables. Finally, we statistically evaluate the minimum time density needed to accurately characterize temporal patterns and relationships with climate drivers. Over the 30-year period shrub cover declined and bare ground increased. While few pixels had > 10% cover change, a large majority had at least some change. All fractional components had significant spatial relationships with water year precipitation (WYPRCP), maximum temperature (WYTMAX), and minimum temperature (WYTMIN) in all years. Shrub and sagebrush cover in particular respond positively to warming WYTMIN, resulting from the largest increases in WYTMIN being in the coolest and wettest areas, and negatively to warming WYTMAX since the largest increases in WYTMAX are in the warmest and driest areas. The trade-off of lowering temporal density against removing cloud-contaminated years is justified as temporal density appears to have only a modest impact on trends and climate relationships until n ≤ 6, but multi-year gaps are proportionally more influential. Gradual change analysis is likely to be less sensitive to n than abrupt change. These data can be used to answer critical questions regarding the influence of climate change and the suitability of management practices.

California, Idaho, Nevada, Oregon, Utah

Volcanic activity in Alaska and the Northern Mariana Islands in 2024—Summary of events and response of the Alaska Volcano Observatory

In 2024, the Alaska Volcano Observatory responded to eruptions, volcanic unrest or suspected unrest, increased seismicity, and other significant activity at 10 volcanic centers in Alaska and the Northern Mariana Islands. Eruptive activity in Alaska consisted of the eruption of a thick lava flow within the summit crater at Great Sitkin Volcano throughout the entire year and a small explosion at Atka volcano in March. Uplift, elevated seismicity, and the redevelopment of a summit meltwater lake was detected at Mount Spurr. A brief seismic swarm occurred at Mount Gareloi, while at Trident Volcano, Shishaldin Volcano, and Kanaga Volcano, seismicity declined to background levels, marking the end of unrest and volcanic activity for those volcanoes. Other activity that the Alaska Volcano Observatory responded to in 2024 included ash resuspension events at Mount Katmai, and a period of unrest at Mount Cleveland. Finally, at Ahyi seamount, in the Commonwealth of the Northern Marianas Islands, a plume of discolored ocean water observed in satellite data indicated underwater eruptive activity there.

Alaska

Simultaneous Speciation of Arsenic, Selenium, and Chromium by HPLC-ICP-MS

An adaptation of an analytical method developed for chromium speciation has been utilized for the simultaneous determination of As(III), As(V), Se(IV), Se(VI), Cr(III), and Cr(VI) species using high performance liquid chromatography (HPLC) separation with ICP-MS detection. Reduction of interferences for the determination of As, Se, and Cr by ICP-MS is a major consideration for this method. Toward this end, a Dynamic Reaction Cell (DRC) ICP-MS system was used to detect the species eluted from the chromatographic column. A variety of reaction cell gases and conditions may be utilized, and the advantages and limitations of the gases tested to date will be presented and discussed. The separation and detection of the As, Se, and Cr species of interest can be achieved using the same chromatographic conditions in less than 2 minutes by complexing the Cr(III) with EDTA prior to injection on the HPLC column. Practical aspects of simultaneous speciation analysis will be presented and discussed, including issues with HPLC sample vial contamination, standard and sample contamination, species stability, and considerations regarding sample collection and preservation methods. The results of testing to determine the method's robustness to common concomitant element and anion effects will also be discussed. Finally, results will be presented using the method for the analysis of a variety of environmental and geological samples including waters, soil leachates and simulated bio-fluid leachates.

Open-File Report

Southern Rockies Landscape Conservation Cooperative unit watershed erosion potential prioritization for check-dam installation

Changes in land-use practices and the extirpation (local extinction) of beaver populations in the early 20th century during European settlement are believed to have resulted in many changes in how streams in the Western United States function. Some of the negative changes that have resulted include stream channelization, soil erosion, changing vegetation, water turbidity, and a loss of overland flow. Efforts to restore streams and reduce soil erosion by water have included reintroductions of beaver, incorporating Native American traditional knowledge of dry-land farming techniques, and the installation of rigid check-dams. Many of these efforts have been successful in improving both intermittent and perennial stream function. Therefore, stakeholders in the Southern Rockies Landscape Conservation Cooperative (SRLCC) have identified a need to prioritize streams within their region of interest for the installation of check-dams to continue restoration and conservation efforts and to improve sediment catchment. Using Natural Resource Conservation Service soil databases, topographic features derived from digital elevation models, stream networks, and regional climatic patterns, I developed a ranking system for watershed potential erosion rates and suitability for check-dam placement across the SRLCC. This ranking system serves as a first step for land managers to prioritize areas for check-dam installation based on relatively static factors (soil properties, topography, and hydrology) that can contribute to rates of soil erosion by water and the stability of check-dams. Many other relatively dynamic factors over time can contribute to rates of soil erosion by water, such as recent wildfire events, changes in weather patterns and extreme climate events, and changing land-use such as grazing, logging, mining, development, and cultivation. These factors that influence vegetative and biological soil crusts cover are also important elements to the potential erosion of soil by water. Because of this, SRLCC stakeholders might consider further evaluation of the watersheds identified here as high ranking. Final watershed prioritization among the high-ranking watersheds identified here should include current knowledge of land-use and land-cover estimates to identify areas at risk for soil erosion or degree of existing erosion problems.

Open-File Report

National strategy for landslide loss reduction

Executive Summary Landslide hazards are present in all 50 States and most U.S. territories, and they affect lives, property, infrastructure, and the environment. Landslides are the downslope move­ment of earth materials under the force of gravity. They can occur without any obvious trigger. Widespread or severe land­slide events are often driven by such hazards as hurricanes, earthquakes, volcanic eruptions, heavy rain events, flooding, and wildfires. Landslides can also cause their own cascading consequences, such as the spread of hazardous materials or the creation of devastating local tsunamis. This strategy document describes goals and strategic actions of a comprehensive strategy to meet key challenges to reducing the Nation’s risk from landslide hazards equitably and effectively. The document follows the direction of the National Landslide Preparedness Act (Public Law 116–323) by presenting a strategy for addressing landslide hazards, including risk reduction and response. The act directs the Department of the Interior to establish a program that will work with State, Tribal, and local governments as well as with academia, the private sector, community-based groups, and nonprofit organizations to identify landslide hazards and risk and improve communication, coordination, and emergency preparedness, with the objective of reducing landslide losses. As the only Federal program dedicated to landslide hazard science, the U.S. Geological Survey’s Landslide Hazards Program will lead and coordinate many of the efforts described in this strategy document. Landslide hazard risk reduction must be undertaken collectively and collaboratively across the Federal Government. This strategy document will provide a framework for the creation of an interagency management plan that describes the programs, projects, workforce, and budgets required to carry out the national strategy. The strategy outlined in this document presents a vision of how to equitably produce, communicate, and apply landslide data and science to support a broad range of land management, infrastructure, planning, and emergency response decisions. These decisions are made by a variety of actors, including private and nonprofit landholders; State, Tribal, territorial, city, and county planners; emergency managers; engineers; infrastructure managers; Federal agencies and their partners; and community leaders and individuals. Supporting those decisions and reducing the Nation’s vulnerability to landslides requires overcoming three main challenges: (1) gaps in basic information needed to describe and understand landslide occurrence and societal risk, (2) difficulty in accurately mapping and forecasting landslide hazards, and (3) communication and coordination among the many jurisdictions and sectors that have responsi­bility for and interest in reducing landslide losses. To address those challenges, this strategy document puts forward a series of strategic actions to achieve four goals: Assess: Decision makers have access to detailed, nationwide, and contextually relevant information on land­slide hazard and risk. Coordinate: Landslide hazard mitigation, preparedness, response, and recovery efforts are coordinated across Federal, State, Tribal, territorial, and local levels. Plan: Communities and land managers are prepared and able to plan for landslide hazards. Respond: Landslide surveillance, warnings, and responses to events are effective, efficient, equitable, coopera­tive, and data-driven to protect lives, property, infrastructure, and the environment. These strategic actions focus on expanding the knowl­edge of societal risk posed by landslides as well as better understanding of where, when, and why they occur. They focus on applying that knowledge to support landslide risk reduction efforts and decisions, including the establishment of new advisory, coordination, and working groups focused on landslide hazard and risk. They take into account that supporting landslide loss reduction decisions also requires new guidance, tools, and training codeveloped with the entities, organizations, and individuals faced with making those decisions. Finally, they address actions needed to support and expand landslide warning information and improve the technical response to landslide emergencies.

Open-File Report

Reconnaissance geochemical survey of the At Taif-Al Bahah region, southern Hijaz, Kingdom of Saudi Arabia

Pan concentrates were prepared from 265 wadi sediment samples collected during a geochemical reconnaissance conducted between At Taif and Al Bahah to further assess previously identified tungsten anomalies and to locate additional mineralized rock. The samples were analyzed by semiquantitative spectrographic methods for 30 elements, and tungsten was determined by colorimetry. All determinations in excess of two standard deviations greater than the population mean are considered anomalous, although any detectable amount of tin or tungsten (detection limits 10 and 50 parts per million, respectively) is defined as anomalous. An area south of At Taif containing significant tungsten was confirmed and found to be larger than initially determined. A possible porphyry copper pluton was discovered 50 km south-southeast of At Taif. Thirty kilometers south of At Taif, a low-grade tin anomaly associated with an S-type granite was identified. In addition, the sampling identified seven anomalous areas attributable to rock geochemically atypical of the study region. Finally, although samples from the A1 Lith-Hajrah area collected for an earlier study were found to contain anomalous concentrations of tungsten, samples collected there during this study do not support those findings.

Open-File Report

Water quality and mass transport in four watersheds in eastern Puerto Rico: Chapter E in Water quality and landscape processes of four watersheds in eastern Puerto Rico

Water quality of four small watersheds in eastern Puerto Rico has been monitored since 1991 as part of the U.S. Geological Survey's Water, Energy, and Biogeochemical Budgets program. These watersheds represent a montane, humid-tropical environment and differ in geology and land cover. Two watersheds are located on granitic rocks, and two are located on volcaniclastic rock. For each bedrock type, one watershed is covered with mature rainforest in the Luquillo Mountains, and the other watershed is undergoing reforestation after being affected by agricultural practices typical of eastern Puerto Rico. A subwatershed of the Icacos watershed, the Guabá, was also monitored to examine scaling effects. The water quality of the rivers draining forest, in the Icacos and Guabá (granitic watersheds) and Mameyes (a volcaniclastic watershed), show little contamination by human activities. The water is well oxygenated and has a nearly neutral pH, and nutrient concentrations are low. Concentrations of nutrients in the disturbed watersheds, the Cayaguás (granitic rock) and Canóvanas (volcaniclastic rock), are greater than in the forested watersheds, indicating some inputs from human activities. High in-stream productivity in the Canóvanas watershed leads to occasional oxygen and calcite supersaturation and carbon dioxide undersaturation. Suspended sediment concentrations in all watersheds are low, except during major storms. Most dissolved constituents derived from bedrock weathering or atmospheric deposition (including sodium, magnesium, calcium, silica, alkalinity, and chloride) decrease in concentration with increasing runoff, reflecting dilution from increased proportions of overland or near-surface flow. Strongly bioactive constituents (dissolved organic carbon, potassium, nitrate, ammonium ion, and phosphate) commonly display increasing concentration with increasing runoff, regardless of their ultimate origin (bedrock or atmosphere). The concentrations of many of the bioactive constituents eventually decrease at runoff rates greater than 3 to 10 millimeters per hour, presumably reflecting an increased relative contribution from overland flow. Sulfate behaves like the nonbioactive constituents in the Canóvanas, Cayaguás, and Mameyes watersheds but like a bioactive constituent in the Icacos and Guabá watersheds. Storms resulted in several anomalous sample compositions. Runoff waters from a number of storms - mostly hurricanes, but also other storms - have exceptionally high chloride concentrations, presumably resulting from windborne seasalt from the ocean, and low nitrate concentrations, reflecting a dominance of maritime air masses contributing moisture to the storms. High-potassium samples, without high chloride, are also associated with some smaller storms that followed Hurricane Georges in 1998; they are likely related to the breakdown of fallen vegetation. Finally, occasional low-silica events are observed in the Icacos and Guabá watersheds in the years prior to Hurricane Georges, but not after; this difference may be related to a change in hydrologic flow paths.

Professional Paper

Species of conservation concern and environmental stressors: Local regional and global effects

Species conservation has traditionally been based on individual species within the context of their requisite habitat, which is generally defined as the communities and ecosystems deemed necessary for their presence. Conservation decisions are hampered by the fact that environmental stressors that poetically threaten the persistence of species can operate at organizational levels larger than the habitat or home range of a focal species. Resource managers must therefore simultaneously consider local, regional, and/or global scale stressors for effective conservation and management of species of concern. The wide ranging effects associated with global stressors such as climate change may exceed or exacerbate the effects of local or regional stressors, they still need to understand the direct and interactive effects of global stressors and ultimately how they affect the lands they manage. Conservation of species in southern Nevada is further complication by the fact that the region includes one of the largest and fastest growing urban centers in North America. To accomplish the goal of species conservation, resource managers must identify actionable management options that mitigate the effects of local and regional stressor in the context of the effects of global stressors that are beyond their control. Species conservation is typically focused on a subset often referred to as species of conservation concern that have either demonstrated considerable decline or are naturally rare or have limited distributions. Stressors can directly and indirectly impact species in a variety of ways and through a diversity of mechanisms. Some stressors have been more intense in the past (e.g., livestock grazing) whereas other are now only emerging as new stressors (e.g., solar energy development, climate change). The primary stressors affecting southern Nevada ecosystems are listed in table 2.1 and reviewed in detail in Chapter 2. This chapter addresses Dub-goal 1.4 in the SNAP Science Research Strategy which is to sustain and enhance southern Nevada's biotic communities to preserve biodiversity wand maintain viable populations (table 1.3; Turner and others 2009). We provide numerous examples of how stressors affect the range and/or habitat of select species of conservation concern. It is important to note that the species or groups discussed in this chapter by no means represent a comprehensive treatment of all species of conservation concern listed in Table 1.2 (Chapter 1). Rather, several species were chosen as examples for each southern Nevada ecosystem type to illustrate how stressors and linkages among them can affect species of conservation concern, keeping in mind that many of the species considered here are found in more than one ecosystem type. In addition, the stressors that may impact a species in one ecosystem may not be those that affect it in another ecosystem and different species in the same ecosystem may not be affected by the same suite of stressors. Finally, at the start of each ecosystem section we summarize key resource concerns, species used as examples, key stressors, and potential synergistic effects of those stressors relative to the species example.

Nevada

Riparian groundwater and baseflow studies in the Upper Colorado River Basin

Executive summary As part of an ongoing effort to understand baseflow in the Upper Colorado River Basin (UCRB) and implications for stream-dependent ecosystems, we conducted a brief review of literature related to groundwater and baseflow in the UCRB. We included primary literature, federal and state resources, databases and gray literature studies on groundwater, baseflow, and springs in the UCRB region. This review provides examples of the types of groundwater and baseflow studies published for the UCRB with sections on whole-basin studies, catchment and reach studies and their locations, water quality studies, studies adjacent to the UCRB, state and federal groundwater resources, and finally a discussion of potential further directions. Despite the limited nature of the review, we summarize numerous studies related to groundwater in the UCRB which will be valuable to researchers interested in groundwater and baseflow dynamics in the region.

Arizona, Colorado, New Mexico, Utah, Wyoming

A comprehensive plan for in-water sea turtle data collection in the US Gulf of Mexico

The Deepwater Horizon Open Ocean Trustee Implementation Group (OO TIG) released a Final Open Ocean Restoration Plan 2 in 2019, which included a project titled Developing a Gulf-wide Comprehensive Plan for In-water Sea Turtle Data Collection. This document, A Comprehensive Plan for In-water Sea Turtle Data Collection in the US Gulf of Mexico (Plan), is the culmination of that OO TIG project. This Plan serves as the OO TIG project’s technical report as well as a framework for a biologically and statistically-sound plan to support coordinated in-water sea turtle data collection in the United States (US) Gulf of Mexico (GoM) to determine sea turtle abundance and population trends. The purpose of this Plan is to act as a guide for collecting biologically and statistically robust, in-water sea turtle data in a comprehensive, coordinated, and standardized fashion in the US GoM. Several sea turtle in-water monitoring efforts are underway in the GoM; however, additional coordination and standardization of these efforts will benefit current restoration and recovery objectives. These efforts will aid in restoration project design, assess long-term effectiveness of restoration activities, and create abundance and distribution baselines across the GoM. This Plan provides guidance for researchers investigating sea turtle abundance and demographic questions, as well as for management agencies and restoration planners. A Steering Committee (SC) was assembled to develop this Plan and to recommend a coordinated approach to the formulation of an improved understanding of sea turtle population baselines in the GoM, from which determination of large-scale population changes, effects of specific threats (e.g., oil spills, anthropogenic hazards), and effects of changes in ocean conditions (e.g., climate change) can later be evaluated. In crafting this guidance, the SC considered species distribution and life history characteristics, spatial and logistical considerations, level of effort required to detect trends, methods available and the pros and cons of each, associated assumptions and biases with suggested monitoring methods, and standardization of data collection. Given the current level of data available, the SC has recommended species monitoring in two main phases in neritic and oceanic waters, with additional recommended sampling for surface pelagic drift communities. The two phases in this Plan focus on 1) monitoring a limited number of sites in the first 5 to 8 years, followed by 2) a refined monitoring design. To support implementation of this Plan, the SC also considered broader programmatic needs, including supplemental data collection, program and data management, potential international partnerships, program expansion, and applications including future technology.

Alabama, Florida, Louisiana, Mississippi, Texas

Grassland bird use of Conservation Reserve Program fields in the Great Plains

An enormous area in the Great Plains is currently enrolled in the Conservation Reserve Program (CRP): 19.5 million acres (nearly 8 million ha) in Montana, North Dakota, South Dakota, Wyoming, Nebraska, Colorado, Kansas, Oklahoma, and Texas. This change in land use from cropland to grassland since 1985 has markedly influenced grassland bird populations. Many, but certainly not all, grassland species do well in CRP fields. The responses by birds to the program differ not only by species but also by region, year, the vegetation composition in a field, and whether or not a field has been hayed or grazed. The large scale and extent of the program has allowed researchers to address important conservation questions, such as the effect of the size of habitat patch and the influence of landscape features on bird use. However, most studies on nongame bird use of CRP in or near the Great Plains have been short-lived; 83% lasted only 1-3 years. Further, attention to the topic seems to have waned in recent years; the number of active studies peaked in the early 1990s and dramatically declined after 1995. Because breeding-bird use of CRP fields varies dramatically in response both to vegetational succession and to climatic variation, long-term studies are important. What was learned about CRP in its early stages may no longer be applicable. Finally, although the CRP provisions of the Farm Bill have been beneficial to many grassland birds, it is critical that gains in grassland habitat produced by the program not be off set by losses of native prairie.

Wildlife Society Technical Review