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Understanding tidal marsh trajectories: Evaluation of multiple indicators of marsh persistence

Robust assessments of ecosystem stability are critical for informing conservation and management decisions. Tidal marsh ecosystems provide vital services, yet are globally threatened by anthropogenic alterations to physical and biological processes. A variety of monitoring and modeling approaches have been undertaken to determine which tidal marshes are likely to persist into the future. Here, we conduct the most robust comparison of marsh metrics to date, building on two foundational studies that had previously and independently developed metrics for marsh condition. We characterized pairs of marshes with contrasting trajectories (of marsh cover ) across six regions of the United States, using a combination of remote-sensing and field-based metrics. We also quantified decadal trends in marsh conversion to mudflat/open water at these twelve marshes. Our results suggest that metrics quantifying the distribution of vegetation across an elevational gradient represent the best indicators of marsh trajectories. The unvegetated to vegetated ratio and flood-ebb sediment differential also served as valuable indicators. No single metric universally predicted marsh trajectories, and therefore a more robust approach includes a suite of spatially integrated, landscape-scale metrics that are mostly obtainable from remote sensing. Data from surface elevation tables and marker horizons revealed that degrading marshes can have higher rates of vertical accretion and elevation gain than more intact counterparts, likely due to longer inundation times potentially combined with internal recycling of material. A high rate of elevation gain relative to local sea-level rise has been considered critical to marsh persistence, but our results suggest that it also may serve as a signature of degradation in marshes that have already begun to deteriorate. This investigation, with rigorous comparison and integration of metrics initially developed independently, tested at a broad geographic scale, provides a model for collaborative science to develop management tools for improving conservation outcomes.

Environmental Research Letters↗

Comparison of a simple hydrostatic and a data-intensive 3D numerical modeling method of simulating sea-level rise induced groundwater inundation for Honolulu, Hawai'i, USA

Groundwater inundation (GWI) is a particularly challenging consequence of sea-level rise (SLR), as it progressively inundates infrastructure located above and below the ground surface. Paths of flooding by GWI differ from other types of SLR flooding (i.e., wave overwash, storm-drain backflow) such that it is more difficult to mitigate, and thus requires a separate set of highly innovative adaptation strategies to manage. To spur consideration of GWI in planning, data-intensive numerical modeling methods have been developed that produce locally specific visualizations of GWI, though the accessibility of such methods is limited by extensive data requirements. Conversely, the hydrostatic (or 'bathtub') modeling approach is widely used in adaptation planning owing to easily accessed visualizations (i.e., NOAA SLR Viewer), yet its capacity to simulate GWI has never been tested. Given the separate actions necessary to mitigate GWI relative to marine overwash, this is a significant gap. Here we compare a simple hydrostatic modeling method with a more deterministic, dynamic and robust 3D numerical modeling approach to explore the effectiveness of the hydrostatic method in simulating equilibrium aquifer effects of multi-decadal sea-level rise, and in turn GWI for Honolulu, Hawai'i. We find hydrostatic modeling in the Honolulu area and likely other settings may yield similar results to numerical modeling when referencing the local mean higher-high water tide datum (generally typical of flood studies). These findings have the potential to spur preliminary understanding of GWI impacts in municipalities that lack the required data to conduct rigorous groundwater-modeling investigations. We note that the methods explored here for Honolulu do not simulate dynamic coastal processes (i.e., coastal erosion, sediment accretion or changes in land cover) and thus are most appropriately applied to regions that host heavily armored shorelines behind which GWI can develop.

Hawaii↗

A review and synthesis of post-wildfire shifts in hydrologic processes and streamflow generation mechanisms

Critical water supply watersheds in the western United States (WUS) are impacted by wildfires, with potential negative effects on water quality and quantity. Scientific understanding is currently insufficient to deliver estimates of wildfire consequences for water quantity that are regionally accurate. Regional variability in the directionality and magnitude of post-wildfire shifts in streamflow generation fuels uncertainty in estimates of wildfire effects on water supply. In this work we provide a narrative review of wildfire effects on hydrologic processes and the resulting changes in streamflow generation mechanisms with a focus on the WUS, incorporating other global regions when pertinent. A conceptual model summary of wildfire effects on streamflow generation emphasizes: (1) precipitation seasonality, (2) synchrony of precipitation and potential evapotranspiration, (3) net shifts in interception, evaporation, and transpiration relative to total annual precipitation, (4) vegetation changes, including compensatory uptake and type conversion, (5) degree of overlap in rainfall rates and infiltration, (6) fire extent and severity, (7) burn scar positioning (e.g. in headwaters or proximal to watershed outlet), (8) scale-dependent groundwater leakage, (9) near-surface water storage reduction, and (10) soil to groundwater connectivity. Ongoing gaps and challenges include separating the influences of precipitation variability, water withdrawals, and post-fire land management; compound and overlapping disturbances; and lack of pre-fire data. Notable future opportunities include: harnessing ever-improving gridded and remotely sensed precipitation and fire-effects data; linking geophysical, isotopic tracer, and geochemical signatures to diagnose hydrologic changes; leveraging physically based and data-driven model advancements; and analyzing streamflow generation recovery trajectories across diverse watersheds.

western United States↗

Occurrence and timing of second clutches in common terns

Eighteen pairs of Common Terns (Sterna hirundo) at three different colonies laid second clutches while still feeding young from their first broods. Seven clutches were laid before the chicks from the first brood fledged, and 11 were laid after the chicks from the first brood fledged. In each case, parents alternately fed chicks from the first brood and incubated the second clutch. Sixteen of the 18 clutches disappeared, were addled, or were deserted. Young hatched from the two other second clutches, but all chicks died or disappeared 2-4 days after hatching. We suggest that a second clutch, laid before chicks from the first brood fledged, probably results from a physiological miscue associated with chick loss from the first brood and stimulated by an unusual surplus of food. Conversely, when laid after chicks from the first brood fledge, a second clutch might function as insurance, permitting a pair to raise young late in the season if chicks from the first brood are lost. In either case, parents must partition care between eggs and chicks from the second clutch and fledged chicks from the first brood. Accordingly, the successful fledging of chicks from two broods in a single season is unlikely unless exceptionally favorable conditions occur.

The Auk↗

Food availability and offspring sex in a monogamous seabird: insights from an experimental approach

Sex allocation theory predicts that parents should favor offspring of the sex that provides the greatest fitness return. Despite growing evidence suggesting that vertebrates are able to overcome the constraint of chromosomal sex determination, the general pattern remains equivocal, indicating a need for experimental investigations. We used an experimental feeding design to study sex allocation during 3 years in black-legged kittiwakes ( Rissa tridactyla ). Intense male–male competition for securing a breeding site is common in this species in which males are heavier and larger than females. Hence, we hypothesized that parents producing fledglings in better than average condition, as supplementarily fed pairs do, would increase their fitness return by producing sons. Conversely, producing daughters would be a better tactic for Unfed parents. Hence, we predicted that Fed parents produce more sons than Unfed parents. This prediction is particularly expected if sexual dimorphism arises as early as during chick rearing, suggesting strong selective pressures for optimal male development. Our results showed that 1) males were heavier and larger than females prior to fledging and that 2) Fed parents produced relatively more male hatchlings than Unfed parents. We interpret this result in terms of a Trivers–Willard-type process. Furthermore, our data revealed that Unfed parents significantly overproduced female hatchlings, whereas offspring sex ratio was balanced among Fed parents. Because the 3 reproductive seasons we considered were particularly poor food years, Unfed parents may have overproduced daughters to avoid the apparent higher reproductive costs of raising sons.

Behavioral Ecology↗

Fatty acid profiles recorded in ocean prey and California salmonine eggs reveal maternal ocean diets linked to thiamine deficiency

Following the principle ‘you are what you eat’, fatty acid signatures (FASs) of adult fish tissues, when compared with those of potential prey, can link diet to nutritional status. In 2020, thiamine (vitamin B 1 ) deficiency was diagnosed for the first time in multiple anadromous salmon populations in California. However, direct information linking ocean diet to thiamine status in marine-feeding salmonines is typically unavailable. This research aimed to link diet composition and egg total thiamine concentration of anadromous Chinook salmon, coho salmon and steelhead using FAS analysis. From 2020 to 2022, unfertilized eggs from these California salmonine species were collected alongside key forage species from the Pacific Ocean. FASs in eggs and prey were quantified using gas chromatography/mass spectrometry and total thiamine concentrations were quantified using high-performance liquid chromatography. Eggs rich in oleic acid (18:1n-9) reflected a diet dominated by Pacific herring and exhibited higher total thiamine concentrations. Conversely, eggs rich in eicosapentaenoic acid (20:5n-3) indicated a diet dominated by northern anchovy or euphausiid krill and were more likely to have low total thiamine concentrations. Polyunsaturated fatty acid proportions and the egg unsaturation index were strongly negatively correlated with egg total thiamine concentration, emphasizing the importance of lipid quality over quantity as a driver of egg thiamine concentration. This study highlights the utility of FASs for tracking the impacts of a changing ocean prey base on diet and underscores how dietary shifts can directly impact egg thiamine status in anadromous salmonines.

California↗

Mapping metabolic activity at single cell resolution in intact volcanic fumarole soil

Interactions among microorganisms and their mineralogical substrates govern the structure, function, and emergent properties of microbial communities. These interactions are predicated on spatial relationships, which dictate metabolite exchange and access to key substrates. To quantitatively assess links between spatial relationships and metabolic activity, this study presents a novel approach to map all organisms, the metabolically active subset, and associated mineral grains, all while maintaining spatial integrity of an environmental microbiome. We applied this method at an outgassing fumarole of Vanuatu’s Marum Crater, one of the largest point sources of several environmentally relevant gaseous compounds, including H2O, CO2, and SO2. With increasing distance from the soil-air surface and from mineral grain outer boundaries, organism abundance decreased but the proportion of metabolically active organisms often increased. These protected niches may provide more stable conditions that promote consistent metabolic activity of a streamlined community. Conversely, mineral exteriors accumulate more organisms that may cover a wider range of preferred conditions, implying that only a subset of the community will be active under any particular environmental regime. More broadly, the approach presented here allows investigators to see microbial communities “as they really are” and explore determinants of metabolic activity across a range of microbiomes.

FEMS Microbiology Letters↗

Sustaining Namāēw (Lake Sturgeon): Partner-led climate adaptation for Indigenous fisheries in the Laurentian Great Lakes

Namāēw (Menominee; Lake Sturgeon Acipenser fulvescens ) have long supported Indigenous culture and food sovereignty but have declined by over 80% in the Laurentian Great Lakes, exacerbating their sensitivity to climate change. Following interest from Indigenous leaders, we initiated a partnership-driven effort to (1) assess climate effects and (2) develop potential adaptation options for Namāēw using a participatory, transdisciplinary approach that combines multiple ways of knowing. Through a literature review and nine semistructured conversations with officials from Indigenous Nations and organizations in the Great Lakes, we identified central themes including access, culture, and fish persistence. Other concerns included habitat, food web shifts, and water quality. Prominent adaptation themes involved population assessments, stocking, regulations, habitat restoration, interagency coordination, and cultural advocacy. These findings underscore the importance of partnership-driven research to support Indigenous fisheries through knowledge coproduction and equitable adaptation. Our approach provides a model to inform stewardship planning for fisheries that are facing global change.

Laurentian Great Lakes↗

Advancing climate adaptation for inland fish and fisheries

Climate change was barely a blip on the radar for inland fisheries management 20 years ago. Today, it's a central focus. A 2016 paper helped shift conversations, sparked adaptation efforts across fisheries management. The future is still uncertain, but adaptation is key to sustaining these important resources.

Wisconsin↗

Converted-wave reverse time migration imaging in subduction zone settings

We use a newly developed 2-D elastic reverse time migration (RTM) imaging algorithm based on the Helmholtz decomposition to test approaches for imaging the descending slab in subduction zone regions using local earthquake sources. Our elastic RTM method is designed to reconstruct incident and scattered wavefields at depth, isolate constituent P- and S- wave components via Helmholtz decomposition, and evaluate normalized imaging functions that leverage dominant P and S signals. This method allows us to target particular converted-wave scattering geometries, for example incident S to scattered P , which may be expected to have dominant signals in any given data set. The method is intended to be applied to dense seismic array observations that adequately capture both incident and converted wavefields. We draw a direct connection between our imaging functions and the first-order contrasts in shear wave material properties across seismic discontinuities. Through tests on synthetic data using either S → P or P → S conversions, we find that our technique can successfully recover the structure of a subducting slab using data from a dense wide-angle array of surface stations. We also calculate images with a small-aperture array to test the impact of array geometry on image resolution and interpretability. Our results show that our imaging technique is capable of imaging multiple seismic discontinuities at depth, even with a small number of earthquakes, but that limitations arise when a small aperture array is considered. In this case, the presence of artefacts makes it more difficult to determine the location of seismic discontinuities.

Geophysical Journal International↗

Give and take: Effects of genetic admixture on mutation load in endangered Florida panthers

Genetic admixture is a biological event inherent to genetic rescue programs aimed at the long-term conservation of endangered wildlife. Although the success of such programs can be measured by the increase in genetic diversity and fitness of subsequent admixed individuals, predictions supporting admixture costs to fitness due to the introduction of novel deleterious alleles are necessary. Here, we analyzed nonsynonymous variation from conserved genes to quantify and compare levels of mutation load (i.e. proportion of deleterious alleles and genotypes carrying these alleles) among endangered Florida panthers and non-endangered Texas pumas. Specifically, we used canonical (i.e. non-admixed) Florida panthers, Texas pumas, and F 1 (canonical Florida × Texas) panthers dating from a genetic rescue program and Everglades National Park panthers with Central American ancestry resulting from an earlier admixture event. We found neither genetic drift nor selection significantly reduced overall proportions of deleterious alleles in the severely bottlenecked canonical Florida panthers. Nevertheless, the deleterious alleles identified were distributed into a disproportionately high number of homozygous genotypes due to close inbreeding in this group. Conversely, admixed Florida panthers (either with Texas or Central American ancestry) presented reduced levels of homozygous genotypes carrying deleterious alleles but increased levels of heterozygous genotypes carrying these variants relative to canonical Florida panthers. Although admixture is likely to alleviate the load of standing deleterious variation present in homozygous genotypes, our results suggest that introduced novel deleterious alleles (temporarily present in heterozygous state) in genetically rescued populations could potentially be expressed in subsequent generations if their effective sizes remain small.

Journal of Heredity↗

Reference genome of an iconic lizard in western North America, Blainville’s horned lizard Phrynosoma blainvillii

Genome assemblies are increasingly being used to identify adaptive genetic variation that can help prioritize the population management of protected species. This approach may be particularly relevant to species like Blainville’s horned lizard, Phrynosoma blainvillii , due to its specialized diet on noxious harvester ants, numerous adaptative traits for avoiding predation (e.g. cranial horns, dorsoventrally compressed body, cryptic coloration, and blood squirting from the orbital sinuses), and status as Species of Special Concern in California. Rangewide decline since the early 20th century, the basis of its conservation status, has been driven mainly by habitat conversion, over-collecting, and invasion of a non-native ant that displaces its native ant prey base. Here, we report on a scaffold-level genome assembly for P. blainvillii as part of the California Conservation Genomics Project (CCGP), produced using Pacific Biosciences HiFi long reads and Hi-C chromatin-proximity sequencing technology. The de novo assembly has 78 scaffolds, a total length of ~2.21 Gb, a scaffold N50 length of ~352 Mb, and BUSCO score of 97.4%. This is the second species of Phrynosoma for which a reference genome has been assembled and represents a considerable improvement in terms of contiguity and completeness. Combined with the landscape genomics data being compiled by the CCGP, this assembly will help strategize efforts to maintain and/or restore local genetic diversity, where interventions like genetic rescue, translocation, and strategic land preservation may be the only means by which P. blainvillii and other low-vagility species can survive in the fragmented habitats of California.

California↗

Context matters: Intrinsic and extrinsic factors modulate habitat choices in an endangered forest bat

Effective management of declining species depends upon fundamental understanding of habitat preferences during key life stages such as reproduction. Peripheral populations of wildlife are often poorly understood and rarely the focus of study, despite their contribution to genetic diversity and their potential to aid in recolonization if a species becomes endangered. We assessed the maternal roost-site preferences of the endangered northern long-eared bat ( Myotis septentrionalis ) within a managed forest near the western edge of their range in the Black Hills region of Wyoming, USA. We further examined whether habitat preferences and roost-switching varied by reproductive state (pregnant or lactating) or proximate weather conditions. Bats were more likely to roost in quaking aspens during pregnancy, and when weather was cooler and wetter. Conversely, bats roosted more in ponderosa pines ( Pinus ponderosa) post-parturition, and when temperatures were warmer. Bats also were more likely to switch to a new roost after periods of warmer temperature and reduced solar radiation. Our results support growing evidence that habitat choices can be modulated proximately by intrinsic and extrinsic factors. Northern long-eared bats in the Black Hills relied on a variety of roost types, from healthy live trees to snags at different decay stages depending on reproductive stage and ambient weather. Our study highlights the importance of considering diverse contexts when characterizing habitat preferences, particularly for endangered species in a rapidly changing world.

Wyoming↗

Pika ( Ochotona princeps ) losses from two isolated regions reflect temperature and water balance, but reflect habitat area in a mainland region

Although biotic responses to contemporary climate change are spatially pervasive and often reflect synergies between climate and other ecological disturbances, the relative importance of climatic factors versus habitat extent for species persistence remains poorly understood. To address this shortcoming, we performed surveys for American pikas ( Ochotona princeps ) at > 910 locations in 3 geographic regions of western North America during 2014 and 2015, complementing earlier modern (1994–2013) and historical (1898–1990) surveys. We sought to compare extirpation rates and the relative importance of climatic factors versus habitat area for pikas in a mainland-versus-islands framework. In each region, we found widespread evidence of distributional loss—local extirpations, upslope retractions, and encounter of only old sign. Locally comprehensive surveys suggest extirpation of O. princeps from 5 of 9 new sites from the hydrographic Great Basin and from 11 of 29 sites in northeastern California. Although American pikas were recorded as recently as 2011 in Zion National Park and in 2012 from Cedar Breaks National Monument in Utah, O. princeps now appears extirpated from all reported localities in both park units. Multiple logistic regressions for each region suggested that both temperature-related and water-balance-related variables estimated from DAYMET strongly explained pika persistence at sites in the Great Basin and in Utah but not in the Sierra-Cascade “mainland” portion of northeastern California. Conversely, talus-habitat area did not predict American pika persistence in the Great Basin or Utah but strongly predicted persistence in the Sierra-Cascade mainland. These results not only add new areas to our understanding of long-term trend of the American pika’s distribution, but also can inform decisions regarding allocation of conservation effort and management actions. Burgeoning research on species such as O. princeps has collectively demonstrated the heterogeneity and nuance with which climate can act on the distribution of mountain-dwelling mammals.

Journal of Mammalogy↗

Walrus haul-out and in water activity levels relative to sea ice availability in the Chukchi Sea

An animal’s energetic costs are dependent on the amount of time it allocates to various behavioral activities. For Arctic pinnipeds, the time allocated to active and resting behaviors could change with future reductions in sea ice cover and longer periods of open water. The Pacific walrus ( Odobenus rosmarus divergens ) is a large Arctic pinniped that rests on sea ice or land between foraging trips to feed on the seafloor. We used behavioral data collected from radiotagged walruses in the Chukchi Sea (2008–2014) in a Bayesian generalized linear mixed effects model to estimate the probability a walrus was in water foraging, in water not foraging, or hauled out, as a function of environmental covariates. The probability of a walrus being in water increased with wind speed and decreased with air temperature, and the probability a walrus was foraging, given it was in water, increased with available benthic macrofaunal biomass. The probability of each behavior was also related to the nature and availability of haul-out substrates. The amount of time walruses spent in water foraging and hauled out was greatest when only sea ice was available, which typically occurs when walruses occupy feeding areas during summer and early autumn. This situation may be most energy efficient for walruses because it allows the highest proportion of in water energy expenditure to be allocated to foraging. Conversely, the amount of time walruses spent in water foraging and hauled out was lowest when only land was available, which typically occurs in late autumn, in years when walruses were constrained to land haul-outs because sea ice was absent over the continental shelf.

Chukchi Sea↗

Effects of landscape cover and yard features on feral and free-roaming cat (Felis catus) distribution, abundance and activity patterns in a suburban area

Feral and free-roaming domestic cats ( Felis catus ) are invasive predators throughout the world. In some areas, cats occur in higher densities than native mammalian predators and can have severe effects upon prey populations. We set 48 wildlife game cameras in residential yards in Arkansas, USA, to evaluate which landscape and yard features influenced cat abundance occurring in yards. In addition, we quantified the daily activity patterns of free-roaming cats and explored how habitat features or predator activity influenced the timing of cat activity. We found that cats were present in 70.8% of yards with an average of three recognizable individuals per yard. Abundance of cats was higher than all native mesopredators except for raccoon ( Procyon lotor ) and Virginia opossum ( Didelphis virginiana ). Cat abundance and minimum population decreased when forest cover was high within 400 m of the camera. Cats were active at all times of the day but tended to be more diurnal in areas closer to city centers or in agricultural settings. Conversely, cats were more nocturnal later in the summer and in areas that had high levels of predator activity. Our results indicate that cats are widespread in this region and their relative abundance is driven more by landscape features than by yard features, possibly due to their large home ranges. Cats may alter their activity to better coexist with predators. Alteration in yard features is unlikely to be an effective deterrent for cats and more direct control measures may be necessary.

Arkansas↗

Revised length categories and standard weight equation for Northern Pikeminnow

Objective Length and weight indices (e.g., proportional size distribution, relative weight) provide standardized benchmarks that are useful for comparing groups of fish, identifying ecological interactions, and evaluating the effect of management actions. However, the current length categories and standard weight ( W s ) equation for Northern Pikeminnow Ptychocheilus oregonensis , a species of important management focus in the Pacific Northwest, were developed using limited data, unclear methods, and no validation. As such, we sought to revise the length categories and W s equation for Northern Pikeminnow. Methods We used the all-tackle world record to develop length categories for Northern Pikeminnow. We compiled data from 100,663 Northern Pikeminnow from 114 populations in Idaho, Montana, Oregon, Washington, and British Columbia to develop a revised W s equation. Most fish were measured in fork length (FL), so we converted total lengths (TLs) to FLs using the equation TL = −2.301 + 0.916(FL); r 2 = 0.998. We used the regression line percentile, linear empirical percentile (EmP), and quadratic EmP methods to develop 50th percentile and 75th percentile W s equations. We then assessed length-related biases in our W s equations and the previously published equation. Results We propose minimum FLs of 17 cm (7 inches; stock), 26 cm (10 inches; quality), 35 cm (14 inches; preferred), 41 cm (16 inches; memorable), and 51 cm (20 inches; trophy) for proportional size distribution calculations. The previously published W s equation exhibited substantial length-related biases according to the Willis and weighted empirical quartile method tests. The EmP 50th-percentile W s equation was the only equation that we evaluated that did not exhibit length-related bias. The EmP 50th-percentile W s equation was the best performing equation (i.e., no length-related bias detected). The equation is log 10 ( W s ) = −5.258 + 3.135(FL), where W s is in grams and FL is in millimeters. The equation is valid for Northern Pikeminnow 90–580 mm FL. Conclusion The length categories, length conversion, and W s equation presented here will aid fisheries professionals in the study and management of Northern Pikeminnow populations.

British Columbia, Idaho, Montana, Oregon Washingto↗

Case studies in groundwater contaminant fate and transport

A case study of groundwater contamination is a detailed study of a single site contaminated with a chemical or mixture that is known to be a problem at many sites. The goal of case studies is to provide insights into the physical, chemical, and biological processes controlling migration, natural attenuation, or remediation of common groundwater contaminants. Ideally, processes occurring at a case study site are representative of other sites so that knowledge gained from these intensive studies can be applied at thousands of sites where fewer data are available. Several characteristics of case studies contribute to their value. First, they may have tens to hundreds of monitoring wells, compared to fewer than ten wells at some contaminated sites. Second, some case studies continue for many years or even decades, providing insights into temporal progression of slow processes. Third, analytical methods prohibitively expensive for routine use or under development may be tested at case study sites. Finally, the ongoing characterization typical of case study sites builds a foundation of knowledge that facilitates sophisticated experimental design and testing of new methods. This article is divided into sections based on the contaminant type because the chemical and biological processes required for remediation vary for each contaminant. Most importantly, some contaminants can be biodegraded whereas metals and radionuclides cannot be destroyed but can be immobilized or rendered less toxic. The emphasis is on case studies of natural processes that control the fate and transport of contaminants in groundwater rather than on active remediation methods. The principles learned from these studies may form the basis for design of remedial strategies. The organic contaminants are divided into: petroleum hydrocarbons, fuel oxygenates, coal tar and wastes from manufactured gas plants, and chlorinated solvents. The inorganic contaminants covered are metals and radionuclides, arsenic, and nitrate. Case studies of mixed waste plumes from landfills are also described. Experimental sites where contaminants have been introduced into an aquifer as an emplaced source or a controlled release may not meet the above definition of case studies, but some are included because the overall goal is to impart lessons learned from detailed field studies. It is impossible to cover all case studies in this short format. Conversely, focusing on one or two does not convey the breadth of research results in entire range of case studies. Instead, the strategy is to describe the evolution of knowledge for each contaminant class while providing citations of relevant case studies. Much of the progress in understanding of the fate of contaminants in groundwater is based on laboratory studies; thus whenever possible, papers that included both field and laboratory results have been included among the citations. Two topics of growing importance have not been covered. These are the fate of pharmaceuticals in groundwater and discharge of contaminant plumes to surface water. These topics merit coverage in the future as knowledge grows and case studies increase in number.

Environmental Science↗