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Occurrence and distribution of pesticides in streams of the Eastern Iowa Basins, 1996-98

The U.S. Geological Survey began collection of water samples in streams of the Eastern Iowa Basins in 1996 for the analysis of pesticides and pesticide degradates as part of the National Water Quality Assessment Program (NAWQA). This study provides some of the first large scale monitoring data on pesticides and pesticide degradates in Eastern Iowa. Three hundred and forty-four samples were collected from 1996-98 to document the occurrence, distribution, and transport of pesticide compounds. Pesticide analysis included 80 pesticide compounds and 10 pesticide degradates. The Eastern Iowa Basins study encompasses about 50,500 square kilometers (19,500 square miles) and is drained by four major rivers--the Wapsipinicon, Cedar, Iowa, and Skunk. Agriculture accounts for approximately 93 percent of the land use in the study area. The most commonly detected pesticides were those most heavily used on crops. The triazine (atrazine and cyanazine) and chloroacetanilide (alachlor, acetochlor, and metolachlor) pesticides are some of the most heavily used (by weight) historically and during the period of data collection 1996-98. Atrazine and metolachlor were detected in all samples. Acetochlor, alachlor, and cyanazine were detected in more than 70 percent of all surface-water samples. Few non-agricultural herbicides were detected. One exception, prometon was detected in more than 80 percent of the samples at very low concentrations (less than 0.1 micrograms per liter). Pesticide degradates were some of the most frequently detected pesticide compounds in the study. Four pesticide degradates--metolachlor ethane sulfonic acid (metolachlor ESA), alachlor ethane sulfonic acid (alachlor ESA), metolachlor oxanilic acid (metolachlor OA), and acetochlor ethane sulfonic acid (acetochlor ESA) were detected in more than 75 percent of the samples. A few insecticides that may pose potential risk to aquatic invertebrates were detected in streams from May through September, the months when most application normally occurs. Carbofuran was the most commonly detected insecticide (16 percent of all samples). Although detected in less than 20 percent of all samples, carbofuran was detected in 68 percent of the samples in June. When present, carbofuran concentrations were generally less than 0.80 micrograms per liter. Chloropyrifos was detected in about seven percent of the samples. As with other insecticides, chlorpyrifos was detected most frequently in June (30 percent). The highest concentration was 0.06 micrograms per liter. Diazinon, a common urban insecticide found in other NAWQA studies throughout the Nation, was detected in only 2 percent of the samples in the Eastern Iowa Basins study. Pesticides were found to occur in mixtures with several compounds rather than individually. Four or more parent pesticide compounds were detected in 91 percent of the water samples and seven or more parent compounds were detected in 46 percent of the water samples. Four or more pesticide degradates were detected in 93 percent of the water samples and seven or more pesticide degradates were detected in 46 percent of the water samples. Commonly applied parent pesticide compounds (acetochlor, alachlor, atrazine, cyanazine, and metolachlor) were generally detected at low concentrations with median concentrations ranging from 0.01 to 0.22 micrograms per liter. The median concentrations for the pesticide degradates were larger than their parent compounds. Median concentrations for the pesticide degradates ranged from 0.07 to 3.7 micrograms per liter. Acetochlor, alachlor, atrazine, cyanazine and metolachlor pesticides compounds were present at least an order of magnitude or higher in the late spring and summer than at other times of the year. The maximum measured concentrations for acetochlor, atrazine, cyanazine and metolachor were approximately 11 to 48 micrograms per liter (the maximum for alachlor was 0.56 micrograms per liter). In contrast, maximum measured concentrations for the total pesticide degradates were lower than their parent compounds and ranged from approximately 0.7 to 12 micrograms per liter. The maximum measured concentration of a single pesticide compound was for atrazine at 48 micrograms per liter. Seasonal patterns of atrazine, acetochlor, alachlor, cyanazine, and metolachlor generally show peak concentrations following application in May and June and decreasing during remainder of the growing season. In addition, a small secondary peak in atrazine, acetochlor, alachlor, cyanazine, and metolachlor concentrations occurred at all sites in late winter. This secondary peak may be attributed to early "winter thaw" that can release pesticide residue from soil, making pesticides available to be transported to surface water by snowmelt and early spring rains. Pesticide degradates account for a significant portion of the total pesticide load at all sites. Eighty-one percent of the total pesticide load in samples from Iowa River near Rowan, Wolf Creek near Dysart, and the Iowa River at Wapello were as pesticide degradates. The pesticide degradates for the triazine compounds tended to follow the load pattern of the parent pesticide compounds closely throughout the year. In general, the degradate loads calculated for the triazine compounds were smaller than loads calculated for their parent pesticides. The loads for the chloroacetanilide degradate compounds were larger than those for the parent pesticides. The loads for alachlor were found to be small or nonexistent. Alachlor has been heavily used in the past, but since 1995 has been largely replaced by acetochlor or other herbicides. The loads for all degradates were higher than the parent compounds during the winter months. Overland flow may be diminished during the winter months, but shallow sub-soil drainage and ground-water flow may be a source of many pesticide degradates during the late fall and winter. Occurrence of pesticide compounds varied by landform region. The triazine herbicides, atrazine and cyanazine and their degradates were present in significantly greater concentrations in the Southern Iowa Drift Plain (predominantly loess soils) than either the Des Moines Lobe or the Iowan Surface (predominantly till soils). Less atrazine and cyanazine are applied to till soils because of pH and organic carbon content. Alachlor, metolachlor, and acetochlor have often been used to offset triazine pesticide reductions in area with till soils.

Iowa↗

Transport and attenuation of carboxylate-modified latex microspheres in fractured rock laboratory and field tracer tests

Understanding colloid transport in ground water is essential to assessing the migration of colloid‐size contaminants, the facilitation of dissolved contaminant transport by colloids, in situ bioremediation, and the health risks of pathogen contamination in drinking water wells. Much has been learned through laboratory and field‐scale colloid tracer tests, but progress has been hampered by a lack of consistent tracer testing methodology at different scales and fluid velocities. This paper presents laboratory and field tracer tests in fractured rock that use the same type of colloid tracer over an almost three orders‐of‐magnitude range in scale and fluid velocity. Fluorescently‐dyed carboxylate‐modified latex (CML) microspheres (0.19 to 0.98 μm diameter) were used as tracers in (1) a naturally fractured tuff sample, (2) a large block of naturally fractured granite, (3) a fractured granite field site, and (4) another fractured granite/schist field site. In all cases, the mean transport time of the microspheres was shorter than the solutes, regardless of detection limit. In all but the smallest scale test, only a fraction of the injected microsphere mass was recovered, with the smaller microspheres being recovered to a greater extent than the larger microspheres. Using existing theory, we hypothesize that the observed microsphere early arrival was due to volume exclusion and attenuation was due to aggregation and/or settling during transport. In most tests, microspheres were detected using flow cytometry, which proved to be an excellent method of analysis. CML microspheres appear to be useful tracers for fractured rock in forced gradient and short‐term natural gradient tests, but longer residence times may result in small microsphere recoveries.

Ground Water↗

Status and trends of land change in the Midwest–South Central United States—1973 to 2000

U.S. Geological Survey (USGS) Professional Paper 1794–C is the third in a four-volume series on the status and trends of the Nation’s land use and land cover, providing an assessment of the rates and causes of land-use and land-cover change in the Midwest–South Central United States between 1973 and 2000. Volumes A, B, and D provide similar analyses for the Western United States, the Great Plains of the United States, and the Eastern United States, respectively. The assessments of land-use and land-cover trends are conducted on an ecoregion-by-ecoregion basis, and each ecoregion assessment is guided by a nationally consistent study design that includes mapping, statistical methods, field studies, and analysis. Individual assessments provide a picture of the characteristics of land change occurring in a given ecoregion; in combination, they provide a framework for understanding the complex national mosaic of change and also the causes and consequences of change. Thus, each volume in this series provides a regional assessment of how (and how fast) land use and land cover are changing, and why. The four volumes together form the first comprehensive picture of land change across the Nation. Geographic understanding of land-use and land-cover change is directly relevant to a wide variety of stakeholders, including land and resource managers, policymakers, and scientists. The chapters in this volume present brief summaries of the patterns and rates of land change observed in each ecoregion in the Midwest–South Central United States, together with field photographs, statistics, and comparisons with other assessments. In addition, a synthesis chapter summarizes the scope of land change observed across the entire Midwest–South Central United States. The studies provide a way of integrating information across the landscape, and they form a critical component in the efforts to understand how land use and land cover affect important issues such as the provision of ecological goods and services and also the determination of risks to, and vulnerabilities of, human communities. Results from this project also are published in peer-reviewed journals, and they are further used to produce maps of change and other tools for land management, as well as to provide inputs for carbon-cycle modeling and other climate change research.

Professional Paper↗

Behavior of the Hawaiian Hawaiian Hoary Bat (Lasiurus cinereus semotus) at wind turbines and its distribution across the North Ko'olau Mountains, O'ahu

We studied the landscape distribution of endemic Hawaiian hoary bats (Lasiurus cinereus semotus ) on the north Ko‘olau Mountains of O‘ahu, Hawai‘i, from May 2013 to May 2014, while simultaneously studying their behavior at wind turbines within the broader landscape. This research aimed to assess the risk that wind turbines pose to bats on the island and integrated a variety of methods, including acoustic monitoring, thermal videography, and fatality searches.Our findings indicate that hoary bats were acoustically cryptic and occurred sparsely in the region. Overall site occupancy rate was 55% during the 1-year period of acoustic monitoring at 23 sites, and there was only an 8% chance of acoustically detecting a bat on a given night if it was present. We detected bats less frequently in windward northern parts of the study area and at windy, lower-elevation sites with rough terrain. Bats were detected more frequently in leeward southern parts of the study area and at wind-sheltered, higher-elevation sites with flat ridgetops. Acoustic detections were consistently low from October through February and increased at most sites to peak in April through August. However, meteorological conditions were not found to be associated with the acoustic prevalence of bats on a night-to-night basis. We observed more than three thousand events involving bats during six months of nightly video surveillance at four wind turbines. Video monitoring revealed several links to weather at the local scale, despite acoustic detections not clearly relating to weather in our broader landscape analysis. Video demonstrated bats occurring near turbines more often on nights with little rain, warmer temperatures, moderate wind speeds, low humidity, and the low but rising barometric pressures indicative of fair weather and improved foraging conditions. Video monitoring also demonstrated that the presence of bats near turbines strongly correlates with insect presence. We detected bats on video rather infrequently, averaging only one to two passes per hour. Most detections were brief (median = 4.0 sec) and involved single bats (97%), with the amount of time during which bats were observed totaling to only 0.10% of the video analyzed (about 3.8 hours of 3,847 total hours). Bats frequently foraged in the airspace near turbines. These results differ from a recent similar study on the mainland (continental North America) and may indicate that Hawaiian hoary bats spend less time closely approaching wind turbines and show less interest in them than their more-migratory mainland conspecifics. We speculate that the Hawaiian hoary bats we observed were locally resident and frequenting high-quality habitat near familiar structures. In contrast, hoary bats observed at wind facilities on the mainland appear to approach and investigate unfamiliar landscape structures that they mistake for trees as they migrate long distances. Consequently, Hawaiian hoary bats may be less susceptible to fatality at wind turbines on a per-encounter basis than hoary bats in North America. Only one bat carcass was found at the four turbines searched daily for six months. The relatively high probability of finding carcasses provided strong assurance that few carcasses were likely missed—there was less than a 10% chance that total fatality at the four turbines monitored for half a year exceeded three bats.

Hawaii↗

A method for physically based model analysis of conjunctive use in response to potential climate changes

Potential climate change effects on aspects of conjunctive management of water resources can be evaluated by linking climate models with fully integrated groundwater-surface water models. The objective of this study is to develop a modeling system that links global climate models with regional hydrologic models, using the California Central Valley as a case study. The new method is a supply and demand modeling framework that can be used to simulate and analyze potential climate change and conjunctive use. Supply-constrained and demand-driven linkages in the water system in the Central Valley are represented with the linked climate models, precipitation-runoff models, agricultural and native vegetation water use, and hydrologic flow models to demonstrate the feasibility of this method. Simulated precipitation and temperature were used from the GFDL-A2 climate change scenario through the 21st century to drive a regional water balance mountain hydrologic watershed model (MHWM) for the surrounding watersheds in combination with a regional integrated hydrologic model of the Central Valley (CVHM). Application of this method demonstrates the potential transition from predominantly surface water to groundwater supply for agriculture with secondary effects that may limit this transition of conjunctive use. The particular scenario considered includes intermittent climatic droughts in the first half of the 21st century followed by severe persistent droughts in the second half of the 21st century. These climatic droughts do not yield a valley-wide operational drought but do cause reduced surface water deliveries and increased groundwater abstractions that may cause additional land subsidence, reduced water for riparian habitat, or changes in flows at the Sacramento-San Joaquin River Delta. The method developed here can be used to explore conjunctive use adaptation options and hydrologic risk assessments in regional hydrologic systems throughout the world.

Water Resources Research↗

Abundance and productivity of marbled murrelets ( Brachyramphus marmoratus ) off central California during the 2019 breeding season

Marbled murrelets ( Brachyramphus marmoratus ) have been listed as “endangered” by the State of California and “threatened” by the U.S. Fish and Wildlife Service since 1992 in California, Oregon, and Washington. Information regarding marbled murrelet abundance, distribution, population trends, and habitat associations is critical for risk assessment, effective management, evaluation of conservation efficacy, and ultimately, to meet Federal and State recovery efforts for this species. During June–August 2019, the U.S. Geological Survey Western Ecological Research Center continued previously established, long-term (1996–2019), at-sea surveys to estimate abundance and productivity of marbled murrelets in U.S. Fish and Wildlife Service Conservation Zone 6 (San Francisco Bay to Point Sur in central California). Using conventional distance sampling methods, we estimated marbled murrelet abundance using 125 detections of 216 murrelets (mean group size, 1.72) observed on 8 surveys. The abundance estimated for the entire study area using all surveys in 2019 was 404 birds (95-percent confidence interval, 272–601 birds). Estimated abundance from 2019 is comparable to most prior years of study. In 2019, we estimated reproductive productivity (calculated as the hatch-year [HY] to after-hatch-year [AHY] ratio) using three detections of three HY murrelets observed on six surveys. After date-correcting HY and AHY counts to account for birds expected to be absent from the water while inland at nests, the date-corrected juvenile ratio was 0.025±0.020 standard error. We discuss changes in methodologies during 1996–2019 that could be addressed in re-analysis of this long-term dataset. We updated a synthesized database of all Zone 6 marbled murrelet survey data since 1999 with 2019 data to allow scientists and managers to evaluate established survey methods and assess trends in abundance and productivity estimates.

California↗

Economic impacts of the SAFRR tsunami scenario in California: Chapter H in The SAFRR (Science Application for Risk Reduction) Tsunami Scenario

This study evaluates the hypothetical economic impacts of the SAFRR (Science Application for Risk Reduction) tsunami scenario to the California economy. The SAFRR scenario simulates a tsunami generated by a hypothetical magnitude 9.1 earthquake that occurs offshore of the Alaska Peninsula (Kirby and others, 2013). Economic impacts are measured by the estimated reduction in California’s gross domestic product (GDP), the standard economic measure of the total value of goods and services produced. Economic impacts are derived from the physical damages from the tsunami as described by Porter and others (2013). The principal physical damages that result in disruption of the California economy are (1) about $100 million in damages to the twin Ports of Los Angeles (POLA) and Long Beach (POLB), (2) about $700 million in damages to marinas, and (3) about $2.5 billion in damages to buildings and contents (properties) in the tsunami inundation zone on the California coast. The study of economic impacts does not include the impacts from damages to roads, bridges, railroads, and agricultural production or fires in fuel storage facilities because these damages will be minimal with respect to the California economy. The economic impacts of damage to other California ports are not included in this study because detailed evaluation of the physical damage to these ports was not available in time for this report. The analysis of economic impacts is accomplished in several steps. First, estimates are made for the direct economic impacts that result in immediate business interruption losses in individual sectors of the economy due to physical damage to facilities or to disruption of the flow of production units (commodities necessary for production). Second, the total economic impacts (consisting of both direct and indirect effects) are measured by including the general equilibrium (essentially quantity and price multiplier effects) of lost production in other sectors by ripple effects upstream and downstream along the supply chain. An appropriate measure of the economic impacts on the California economy for the SAFRR tsunami scenario is the reduction in GDP. The economic impacts are first calculated without resilience, the ability of the economy to adjust to disruptions in ways that mute potential negative impacts. There are many types of resilience, including using existing inventories of materials, using unused capacity, conserving inputs, substituting for disrupted supplies, recapturing production after the disruption is restored, and many others. A method for estimating resilience, identified in the port system and sectors affected by property damages, is applied to indicate potential reductions of direct and total economic impacts. In this SAFRR tsunami scenario analysis of economic impacts to California, we implement established techniques used to model the economic impacts for two previous U.S. Geological Survey (USGS) scenarios: the southern California Shakeout earthquake (Rose and others, 2011) and the California ARkStorm severe winter storm (Sue Wing and others, written commun., 2013). For the SAFRR tsunami scenario, we reviewed the relevant studies that assess economic impacts from previous tsunami events affecting California and elsewhere and estimate the economic impacts of potential tsunami and other threats to POLA and POLB. To our knowledge, assessment of impacts to the California economy from distant source tsunamis does not exist. Previous tsunamis, including those from the 1960 Chile earthquake, the 1964 Alaska earthquake, the 2008 Chile earthquake and the 2011 Japan earthquake, had only relatively minor or very localized severe damage (such as that in Crescent City in 1964), and no studies of the economic impacts were completed. A rare study of the economic impacts of a tsunami event has recently been produced for the Tohoku earthquake and tsunami (Kajitani and others, 2013). Quarterly declines in Japan’s GDP are observed to peak at ‒1.63 percent in the second quarter after the event and stagnate for the rest of the year. The majority of the economic impacts are attributed to the tsunami rather than the earthquake. The hardest hit sectors are identified as agriculture, fisheries, manufacturing, retail, and tourism. Other relevant studies have focused on the economic impacts of threats that close POLA and POLB. We find one analysis of a potential tsunami scenario affecting the California economy through disruption of port operations. Borrero and others (2005) estimated economic impacts to the southern California economy of $7 to $40 billion from a locally generated tsunami that closes POLA and POLB for as much as 1 year. There have also been several studies of the economic impacts of non-tsunami events affecting POLA and POLB. Analyses of an 11-day labor lockout produced a range of estimated national impacts of as much as $1.94 billion/day (Park and others 2008, Martin Associates 2001). Examination of a potential terrorist attack that closes the San Pedro port for 1 month yielded a $29 billion impact to the California economy (Park, 2008). These studies have reinforced the importance of recognizing economic resilience in economic impact analyses. Hall (2004) criticized the upper-end estimate of national economic impacts from the labor lockout based on model shortcomings that neglected short-run substitution behavior and fixed the long-run economic behaviors. Following the 2011 Japanese tsunami, resilience was observed in the forms of rapid recovery of manufacturing sectors, energy conservation, and insurance (Kajitani and others, 2013).

California↗

The importance of building construction materials relative to other factors affecting structure survival during wildfire

Structure loss to wildfire is a serious problem in wildland-urban interface areas across the world. Laboratory experiments suggest that fire-resistant building construction and design could be important for reducing structure destruction, but these need to be evaluated under real wildfire conditions, especially relative to other factors. Using empirical data from destroyed and surviving structures from large wildfires in southern California, we evaluated the relative importance of building construction and structure age compared to other local and landscape-scale variables associated with structure survival. The local-scale analysis showed that window preparation was especially important but, in general, creating defensible space adjacent to the home was as important as building construction. At the landscape scale, structure density and structure age were the two most important factors affecting structure survival, but there was a significant interaction between them. That is, young structure age was most important in higher-density areas where structure survival overall was more likely. On the other hand, newer-construction structures were less likely to survive wildfires at lower density. Here, appropriate defensible space near the structure and accessibility to major roads were important factors. In conclusion, community safety is a multivariate problem that will require a comprehensive solution involving land use planning, fire-safe construction, and property maintenance.

International Journal of Disaster Risk Reduction↗

Water-quality assessment of the Albemarle-Pamlico drainage basin, North Carolina and Virginia; trace elements in Asiatic clam (Corbicula fluminea) soft tissues and redbreast sunfish (Lepomis auritus) livers, 1992-93

The analysis of potential contaminants in biological tissues is an important part of many water-quality assessment programs, including the National Water-Quality Assessment (NAWQA) Program. Tissue analyses often are used to provide information about (1) direct threats to ecosystem integrity, and (2) the occurrence and distribution of potential contaminants in the environment. During 1992-93, trace elements in Asiatic clam (Corbicula fluminea) soft tissues and redbreast sunfish (Lepomis auritus) livers were analyzed to obtain information about the occurrence and distribution of trace element contaminants in the Albemarle-Pamlico Drainage Basin of North Carolina and Virginia. The investigation was conducted as part of the NAWQA Program. All but 3 of the 22 trace elements that were analyzed were detected. Although all 10 of the U.S. Environmental Protection Agency (U.S. EPA) priority pollutants were detected in the tissues sampled, they were present in relatively low concentrations. Concentrations of U.S. EPA priority pollutants in Asiatic clams collected in the Albemarle-Pamlico Drainage Basin are similar to concentrations observed in other NAWQA study units in the southeastern United States. Mercury (a U.S. EPA priority pollutant) was widely detected, being present in 29 of 30 tissue samples, but concentrations did not exceed the FDA action level for mercury of a risk-based screening value for the general public. Mercury concentrations in Asiatic clams were similar to concentrations in other NAWQA study areas in the Southeast.

North Carolina, Virginia↗

Status and trends of land change in the Great Plains of the United States--1973 to 2000

Preface U.S. Geological Survey (USGS) Professional Paper 1794–B is the second in a four-volume series on the status and trends of the Nation’s land use and land cover, providing an assessment of the rates and causes of land-use and land-cover change in the Great Plains of the United States between 1973 and 2000. Volumes A, C, and D provide similar analyses for the Western United States, the Midwest–South Central United States, and the Eastern United States, respectively. The assessments of land-use and land-cover trends are conducted on an ecoregion-by-ecoregion basis, and each ecoregion assessment is guided by a nationally consistent study design that includes mapping, statistical methods, field studies, and analysis. Individual assessments provide a picture of the characteristics of land change occurring in a given ecoregion; in combination, they provide a framework for understanding the complex national mosaic of change and also the causes and consequences of change. Thus, each volume in this series provides a regional assessment of how (and how fast) land use and land cover are changing, and why. The four volumes together form the first comprehensive picture of land change across the Nation. Geographic understanding of land-use and land-cover change is directly relevant to a wide variety of stakeholders, including land and resource managers, policymakers, and scientists. The chapters in this volume present brief summaries of the patterns and rates of land change observed in each ecoregion in the Great Plains of the United States, together with field photographs, statistics, and comparisons with other assessments. In addition, a synthesis chapter summarizes the scope of land change observed across the entire Great Plains of the United States. The studies provide a way of integrating information across the landscape, and they form a critical component in the efforts to understand how land use and land cover affect important issues such as the provision of ecological goods and services and also the determination of risks to, and vulnerabilities of, human communities. Results from this project also are published in peer-reviewed journals, and they are further used to produce maps of change and other tools for land management, as well as to provide inputs for carbon-cycle modeling and other climate change research. This report is only one of the products produced by USGS on land-use and land-cover change in the United States. Other reports and land-cover statistics are available online at http://landcovertrends.usgs.gov .

Great Plains↗

Surface-water-quality conditions and relation to taste-and-odor occurrences in the Lake Olathe Watershed, Northeast Kansas, 2000-02

Surface water in the Lake Olathe watershed, located in northeast Kansas, was sampled from June 2000 through December 2002 to characterize water-quality conditions in relation to physical properties, major ions, sediment, nutrients, selected trace elements, selected pesticides, fecal indicator bacteria, phytoplankton, and taste-and-odor compounds. In addition, two continuous real-time water-quality monitors were operated?one in Cedar Creek at Highway 56, the main tributary to Lake Olathe, and one in Lake Olathe, a supplemental domestic water supply and recreational resource for the city of Olathe. Median concentrations of dissolved and total forms of nitrogen and phosphorus in samples from Cedar Creek were larger than in samples from Lake Olathe, indicating that nutrients in the watershed were transported to Lake Olathe by Cedar Creek from June 2000 through December 2002. Increased concentrations of total phosphorus in samples from the hypolimnion of Lake Olathe compared to the epilimnion indicated that release of total phosphorus from bottom sediments occurred in the lake. Of the 50 pesticides analyzed in water samples from Cedar Creek and Lake Olathe, 10 pesticides were detected at concentrations greater than 0.01 microgram per liter in samples from Cedar Creek, and 9 pesticides were detected at concentrations greater than 0.01 microgram per liter in Lake Olathe, including four herbicides with concentrations exceeding 1.0 microgram per liter. Atrazine was detected at larger concentrations than any other pesticide in samples from both Cedar Creek and Lake Olathe during 2001 and 2002. Concentrations did not exceed the U.S. Environmental Protection Agency drinking-water annual average criterion of 3.0 micrograms per liter; however, concentrations in single samples were larger than 3.0 micrograms per liter. Regression analysis was used to assist in the estimation of sediment and chemical loads and yields. The estimated mean orthophosphate load for 2001 and 2002 represented 29 percent of the total phosphorus load to Lake Olathe. Estimated yields to Lake Olathe of both total nitrogen and total phosphorus, 13.0 and 1.1 pounds per acre per year, respectively, were consistent with mixed agricultural land use occurring in the watershed. Concentrations of fecal coliform bacteria samples from Lake Olathe were less than both primary and secondary single-sample criteria for recreational water in Kansas in place at the time of sampling. Sufficient samples were not collected to compare to the December 2003 Kansas Department of Health and Environment criteria, but single-sample Escherichia coli samples collected from Cedar Creek during storm runoff exceeded 2,000 colonies per 100 milliliters of water (former secondary recreation water-quality criterion for fecal coliform bacteria) in four of the seven samples collected. Water from Cedar Creek and Lake Olathe was analyzed in 2002 by enzyme-linked immunosorbent assay for microcystin-LR, a toxic algal compound. Concentrations of microcystin-LR in Lake Olathe during 2002 ranged from less than 0.1 to 0.41 microgram per liter, which is not considered a significant health risk according to guidelines published by the World Health Organization. Regression models were developed for four taste-and-odor phytoplankton species detected frequently in Lake Olathe? Melosira granulata, Anabaena, Oscillatoria, and Cryptomonas. The coefficient of determinations, R2, ranged from 0.64 to 0.89, and p-values ranged from less than 0.001 to 0.014, indicating a statistically significant relation with lake-residence time, specific conductance, turbidity, Secchi transparency depth, real-time continuous fluorescence, and total ammonia plus organic nitrogen as nitrogen. Actinomycetes, filamentous bacteria that are known producers of geosmin and 2-methylisoborneol (MIB), were sampled and analyzed in 2002 in water from Cedar Creek and Lake Olathe. In Lake Olathe, actinomycetes concentrations rang

Scientific Investigations Report↗

Critically assessing the utility of portable lead analyzers for wildlife conservation

Lead (Pb) exposure in wildlife is a widespread management and conservation concern. Quantitative determination of Pb concentrations in wildlife tissues is the foundation for estimating exposure and risk. Development of low‐cost, portable instruments has improved access and cost‐effectiveness of determining Pb concentrations in blood samples, while also facilitating the ability for wildlife researchers to conduct near real‐time Pb testing. However, these instruments, which use anodic stripping voltammetry (ASV) methodology, may produce an analytical bias in wildlife‐blood Pb concentrations. Additionally, their simplicity invites use without appropriate quality‐assurance–quality‐control measures. Together, these factors can reduce data quality and hamper the ability to evaluate it, raising concerns about use of these instruments to inform important conservation issues. We document the extent to which this bias is addressed in the wildlife toxicology literature, develop quantitative approaches for correcting the bias, and provide recommendations to ensure robust data quality when using these instruments. Of the 25 studies we reviewed that referenced ASV use for determining Pb exposure in wildlife, only 32% acknowledged the existence of bias from the instrument. Importantly, another 20% of the studies actually reported ASV and spectroscopic‐based results together without acknowledging their lack of equivalence. Using a multispecies data set of avian blood Pb concentrations, we found that ASV‐based estimates of paired blood Pb concentrations were 30–38% lower than those from standard spectrometric‐based methods. We provide regression equations based on this analysis of 453 blood samples to allow users of ASV instruments to adjust Pb concentrations to spectrometric‐equivalent values, and propose a series of guidelines to follow when using these instruments to improve data validity.

Wildlife Society Bulletin↗

Grazing-induced changes to biological soil crust cover mediate hillslope erosion in a long-term exclosure experiment

Dryland ecosystems are particularly vulnerable to erosion generated by livestock grazing. Quantifying this risk across a variety of landscape settings is essential for successful adaptive management, particularly in light of a changing climate. In the Upper Colorado River Basin, there are nearly 25 000 km 2 of rangelands with underlying soils derived from Mancos Shale, an erodible and saline geologic parent material. Salinity is a major concern within the Colorado River watershed, much of which is attributed to runoff and leaching from Mancos Shale deposits. In a 60-yr paired-watershed experiment in western Colorado, we used silt fences to measure differences in saline hillslope erosion, including both total sediment yield and concentrations of primary saline constituents (Na and Se), in watersheds that were either exposed to grazing or where livestock was excluded. After accounting for the strong effects of soil type, slope, and antecedent precipitation, we found that grazing increased sediment loss by ≈50% across our 8-yr time series (0.1–1.5 tn ha −1 ), consistent with levels reported at the watershed scale in early published work from studies at the same location. Eroded sediment Se levels were low and unaffected by grazing history, but Na concentrations were significantly reduced on grazed hillslopes, likely due to depletion of surface Na in soils exposed to chronic soil disturbance by livestock. Variable selection and path analysis identified that biological soil crust (BSC) cover, more than any other variable, explained the differences in sediment yields between grazed and ungrazed watersheds, partially through the enhancement of soil aggregate stability. Our results suggest that BSC cover should be granted heightened consideration in rangeland decision support tools (e.g., state-and-transition models) and that measures to reduce surface disturbance from livestock such as altering the timing or intensity of grazing may be effective for reducing downstream impacts.

Colorado↗

Hurricane Sandy impacts on coastal wetland resilience

The goal of this research was to evaluate the impacts of Hurricane Sandy on surface elevation trends in estuarine marshes located across the northeast region of the United States from Virginia to Maine using data from an opportunistic (in other words, not strategic) and collaborative network (from here on, an opportunistic network) of surface elevation table-marker horizon (SET-MH) stations. First, we built a data-base of metadata for 965 individual stations from 96 unique geographical locations that included the location, geomorphic setting, and wetland type for each SET-MH station. The dominant estuarine settings included in the analyses were back-barrier lagoonal marshes and emergent marshes along embayments and tidal tributaries. We then calculated prestorm elevation trends to compare to poststorm elevation measurements to determine the storm impact on each station trend. We hypothesized that the effect of Hurricane Sandy on marsh elevation trends would differ by position relative to landfall (right or left) and distance from landfall in southern New Jersey, as both of these variables influence the presence or absence of storm surge as a result of the physical characteristics of tropical cyclones (in other words, strongest winds typically occur to the right of landfall). Storm surge was spatially less extensive and less deep (~1 meter [m]) in marshes located to the left (in other words, south) of landfall compared to marshes located to the right (in other words, north) of landfall where storm surge covered a larger area and was deeper (3–4 m). About 63 percent of 223 eligible stations had a poststorm trend that was similar to the prestorm trend (in other words, less than ±5 millimeters [mm]), indicating little storm impact on elevation trends at those sites. The remaining 37 percent of stations exhibited significant poststorm deviations from the prestorm trend (in other words, greater than ±5 mm). Of these, stations located to the left of landfall had a significant and greater deviation in their elevation trend, and the deviation was more likely to be positive (elevation gain) compared to marshes located to the right of landfall, which had a significant deviation in their elevation trend that was more likely to be negative (elevation loss). This finding is directly related to storm surge impacts on marsh sediment deposition, where deep storm surge (3–4 m) results in sediment deposition in habitats inland of coastal marshes but less so in the marshes themselves. Substrate compaction by the storm surge over-burden may have contributed to elevation loss, but this was not measured because sufficient marker horizon data were not available for analysis. In contrast, to the left of landfall the wind-driven flooding of sediment laden water pushed into the headwaters of rivers and small bays with an ~1 m surge, and resulted in more prevalent sediment deposition on the marsh surfaces and elevation gain. In general, the findings support previous research showing that the physical characteristics of the storm (for example, wind speed, storm surge height, impact angle of landfall) combined with the local wetland conditions (for example, marsh productivity, groundwater level, tide height) are important factors determining a storm’s impact on soil elevation, and that the soil elevation response can vary widely among multiple wetland sites impacted by the same storm and among different storms for the same wetland site. The final objective of this project was to create a framework using metadata from the opportunistic network of SET-MH stations that could be used to develop a strategic monitoring network designed to address specific climate change impacts and related phenomena identified by land managers and stakeholders. We evaluated the spatial distribution and density of SET-MH stations in relation to geographic coverage, marsh setting, availability of public land, and historical storm surge footprints and hurricane return intervals in order to identify gaps in our understanding of risk and our ability to assess it. Analyses revealed that the general geographic coverage of SET-MH stations is limited given the low percentage of marsh patches with stations, low density of stations, the clumped distribution of stations, and the often limited and uneven distribution of stations in wetlands with a high historical frequency of hurricane strikes and storm surge impacts. These findings can be used by managers and planners to inform the creation of a strategic monitoring network that can, in turn, inform management and adaptation plans for coastal resources in the region. Final plan designs will need to consider financial and infrastructural support required for station maintenance, as well as data collection and management over the long term.

Open-File Report↗

A comparison of algal, macroinvertebrate, and fish assemblage indices for assessing low-level nutrient enrichment in wadeable Ozark streams

Biotic indices for algae, macroinvertebrates, and fish assemblages can be effective for monitoring stream enrichment, but little is known regarding the value of the three assemblages for detecting perturbance as a consequence of low-level nutrient enrichment. In the summer of 2006, we collected nutrient and biotic samples from 30 wadeable Ozark streams that spanned a nutrient-concentration gradient from reference to moderately enriched conditions. Seventy-three algal metrics, 62 macroinvertebrate metrics, and 60 fish metrics were evaluated for each of the three biotic indices. After a group of candidate metrics had been identified with multivariate analysis, correlation procedures and scatter plots were used to identify the four metrics having strongest relations to a nutrient index calculated from log transformed and normalized total nitrogen and total phosphorus concentrations. The four metrics selected for each of the three biotic indices were: algae—the relative abundance of most tolerant diatoms, the combined relative abundance of three species of Cymbella , mesosaprobic algae percent taxa richness, and the relative abundance of diatoms that are obligate nitrogen heterotrophs; macroinvertebrate—the relative abundance of intolerant organisms, Baetidae relative abundance, moderately tolerant taxa richness, and insect biomass; fish—herbivore and detritivore taxa richness, pool species relative abundance, fish catch per unit effort, and black bass ( Micropterus spp.) relative abundance. All three biotic indices were negatively correlated to nutrient concentrations but the algal index had a higher correlation (rho = −0.89) than did the macroinvertebrate and fish indices (rho = −0.63 and −0.58, respectively). Biotic index scores were lowest and nutrient concentrations were highest for streams with basins having the highest poultry and cattle production. Because of the availability of litter for fertilizer and associated increases in grass and hay production, cattle feeding capacity increases with poultry production. Studies are needed that address the synergistic effect of poultry and cattle production on Ozark streams in high production areas before ecological risks can be adequately addressed.

Arkansas, Oklahoma↗

Regional equations for estimation of peak-streamflow frequency for natural basins in Texas

Peak-streamflow frequency estimates are needed for flood-plain management; for objective assessment of flood risk; and for cost-effective design of dams, levees, other flood-control structures, roads, bridges, and culverts. Peak-streamflow frequency represents the peak discharges for recurrence intervals of 2, 5, 10, 25, 50, and 100 years. The U.S. Geological Survey, in cooperation with the Texas Department of Transportation, conducted an investigation to develop regional regression equations for the estimation of peak-streamflow frequency for ungaged sites in natural basins in Texas. Peak-streamflow frequency data from streamflow-gaging stations in natural drainage basins of Texas were used. Peak-streamflow frequency for 559 Texas stations with natural (unregulated and rural or nonurbanized) basins was estimated with annual peak-streamflow data through 1993. The peak-streamflow frequency and drainage-basin characteristics for the Texas stations were used to develop 16 sets of equations to estimate peak-streamflow frequency for ungaged natural stream sites in each of 11 regions in Texas. The relation between peak-streamflow frequency and contributing drainage area for 5 of the 11 regions is curvilinear, requiring that one set of equations be developed for drainage areas less than 32 square miles and another set be developed for drainage areas greater than 32 square miles. These equations, developed through multiple-regression analysis using weighted least squares, are based on the relation between peak-streamflow frequency and basin characteristics for streamflow-gaging stations. The regions represent areas with similar flood characteristics. The use and limitations of the regression equations also are discussed. Additionally, procedures are presented to compute the 50-, 67-, and 90-percent confidence limits for any estimation from the equations. Also, supplemental peak-streamflow frequency and basin characteristics for 105 selected stations bordering Texas are included in the report. This supplemental information will aid in interpretation of flood characteristics for sites near the state borders of Texas.

Texas↗

Investigating landslides caused by earthquakes - A historical review

Post-earthquake field investigations of landslide occurrence have provided a basis for understanding, evaluating, and mapping the hazard and risk associated with earthquake-induced landslides. This paper traces the historical development of knowledge derived from these investigations. Before 1783, historical accounts of the occurrence of landslides in earthquake are typically so incomplete and vague that conclusions based on these accounts are of limited usefulness. For example, the number of landslides triggered by a given event is almost always greatly underestimated. The first formal, scientific post-earthquake investigation that included systematic documentation of the landslides was undertaken in the Calabria region of Italy after the 1783 earthquake swarm. From then until the mid-twentieth century, the best information on earthquake-induced landslides came from a succession of post-earthquake investigations largely carried out by formal commissions that undertook extensive ground-based field studies. Beginning in the mid-twentieth century, when the use of aerial photography became widespread, comprehensive inventories of landslide occurrence have been made for several earthquakes in the United States, Peru, Guatemala, Italy, El Salvador, Japan, and Taiwan. Techniques have also been developed for performing "retrospective" analyses years or decades after an earthquake that attempt to reconstruct the distribution of landslides triggered by the event. The additional use of Geographic Information System (GIS) processing and digital mapping since about 1989 has greatly facilitated the level of analysis that can applied to mapped distributions of landslides. Beginning in 1984, synthesis of worldwide and national data on earthquake-induced landslides have defined their general characteristics and relations between their occurrence and various geologic and seismic parameters. However, the number of comprehensive post-earthquake studies of landslides is still relatively small, and one of the most pressing needs in this area of research is for the complete documentation of landslides triggered by many more earthquakes in a wider variety of environments.

Surveys in Geophysics↗

Evidence for a novel marine harmful algal bloom: Cyanotoxin (Microcystin) transfer from land to sea otters

"Super-blooms" of cyanobacteria that produce potent and environmentally persistent biotoxins (microcystins) are an emerging global health issue in freshwater habitats. Monitoring of the marine environment for secondary impacts has been minimal, although microcystin-contaminated freshwater is known to be entering marine ecosystems. Here we confirm deaths of marine mammals from microcystin intoxication and provide evidence implicating land-sea flow with trophic transfer through marine invertebrates as the most likely route of exposure. This hypothesis was evaluated through environmental detection of potential freshwater and marine microcystin sources, sea otter necropsy with biochemical analysis of tissues and evaluation of bioaccumulation of freshwater microcystins by marine invertebrates. Ocean discharge of freshwater microcystins was confirmed for three nutrient-impaired rivers flowing into the Monterey Bay National Marine Sanctuary, and microcystin concentrations up to 2,900 ppm (2.9 million ppb) were detected in a freshwater lake and downstream tributaries to within 1 km of the ocean. Deaths of 21 southern sea otters, a federally listed threatened species, were linked to microcystin intoxication. Finally, farmed and free-living marine clams, mussels and oysters of species that are often consumed by sea otters and humans exhibited significant biomagnification (to 107 times ambient water levels) and slow depuration of freshwater cyanotoxins, suggesting a potentially serious environmental and public health threat that extends from the lowest trophic levels of nutrient-impaired freshwater habitat to apex marine predators. Microcystin-poisoned sea otters were commonly recovered near river mouths and harbors and contaminated marine bivalves were implicated as the most likely source of this potent hepatotoxin for wild otters. This is the first report of deaths of marine mammals due to cyanotoxins and confirms the existence of a novel class of marine "harmful algal bloom" in the Pacific coastal environment; that of hepatotoxic shellfish poisoning (HSP), suggesting that animals and humans are at risk from microcystin poisoning when consuming shellfish harvested at the land-sea interface.

California↗