Search USGS⌕ Search

SEARCH · Search USGS

Results for “Sustainability”

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

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

At least 937 records · Page 52Linked to original sources

Human land-use and soil change

Soil change refers to the alteration of soil and soil properties over time in one location, as opposed to soil variability across space. Although soils change with pedogensis, this chapter focuses on human caused soil change. Soil change can occur with human use and management over long or short time periods and small or large scales. While change can be negative or positive; often soil change is observed when short-term or narrow goals overshadow the other soil’s ecosystem services. Many soils have been changed in their chemical, physical or biological properties through agricultural activities, including cultivation, tillage, weeding, terracing, subsoiling, deep plowing, manure and fertilizer addition, liming, draining, and irrigation. Assessing soil change depends upon the ecosystem services and soil functions being evaluated. The interaction of soil properties with the type and intensity of management and disturbance determines the changes that will be observed. Tillage of cropland disrupts aggregates and decreases soil organic carbon content which can lead to decreased infiltration, increased erosion, and reduced biological function. Improved agricultural management systems can increase soil functions including crop productivity and sustainability. Forest management is most intensive during harvesting and seedling establishment. Most active management in forests causes disturbance of the soil surface which may include loss of forest floor organic materials, increases in bulk density, and increased risk of erosion. In grazing lands, pasture management often includes periods of biological, chemical and physical disturbance in addition to the grazing management imposed on rangelands. Grazing animals have both direct and indirect impacts on soil change. Hoof action can lead to the disturbance of biological crusts and other surface features impairing the soil’s physical, biological and hydrological function. There are clear feedbacks between vegetative systems and soil properties; when vegetation is altered because of grazing or other disturbances, soil property changes often follow. Some soils are very sensitive to management and disturbance and can undergo rapid change: cropping led to massive gully formation in the southeastern USA, exposure of acid-sulfate soils led to irreversible changes in soil minerology and thawing of cold soils has created thermokarst features. These soil changes alter soil properties and functions and may impact soil ecosystem services far into the future.

World Soils Book Series↗

The effects of climate-change-induced drought and freshwater wetlands

Drought cycles in wetlands may become more frequent and severe in the future, with consequences for wetland distribution and function. According to the Intergovernmental Panel on Climate Change (Intergovernmental Panel on Climate Change [IPCC], Managing the risks of extreme events and disasters to advance climate change adaptation, 2012. Online: http://ipcc-wg2.gov/SREX/images/uploads/SREX-All_FINAL.pdf, climate-change is likely to affect precipitation and evapotranspiration patterns so that the world’s wetlands may have more frequent episodes of extreme flooding and drought. This chapter contributes to a worldwide view of how wetland processes may be affected by these predicted changes in climate. Specifically, the occurrence of drought may increase, and that increase may affect the critical processes that sustain biodiversity in wetlands. We include specific examples that explore the effects of drought and other climate-change factors on wetland function in various parts of the world. In a concluding section we discuss management strategies for climate-change in wetlands. The synthesis of information in this chapter will contribute to a better understanding of how climate-change-induced drought may affect the function and distribution of wetlands in the future.

Book chapter↗

Restoration of freshwater cypress-tupelo wetlands in the southeastern U.S. following severe hurricanes

Freshwater forested wetlands commonly occur in the lower Coastal Plain of the southeastern US with baldcypress ( Taxodium distichum [L.] L.C. Rich.) and water tupelo ( Nyssa aquatica L.) often being the dominant trees. Extensive anthropogenic activities combined with eustatic sea-level rise and land subsidence have caused widespread hydrological changes in many of these forests. In addition, hurricanes (a common, although aperiodic occurrence) cause wide-spread damage from wind and storm surge events, with impacts exacerbated by human-mediated coastal modifications ( e.g. , dredging, navigation channels, etc.). Restoration of forested wetlands in coastal areas is important because emergent canopies can greatly diminish wind penetration, thereby reducing the wind stress available to generate surface waves and storm surge that are the major cause of damage to coastal ecosystems and their surrounding communities. While there is an overall paucity of large-scale restoration efforts within coastal forested wetlands of the southeastern US, we have determined important characteristics that should drive future efforts. Restoration efforts may be enhanced considerably if coupled with hydrological enhancement, such as freshwater, sediment, or sewage wastewater diversions. Large-scale restoration of coastal forests should be attempted to create a landscape capable of minimizing storm impacts and maximizing wetland sustainability in the face of climate change. Planting is the preferred regeneration method in many forested wetland sites because hydrological alterations have increased flooding, and planted seedlings must be protected from herbivory to enhance establishment. Programs identifying salt tolerance in coastal forest tree species need to be continued to help increase resilience to repetitive storm surge events.

Alabama, Delaware, Florida, Georgia, Louisiana, Mi↗

A geochemical and geophysical assessment of coastal groundwater discharge at select sites in Maui and O’ahu, Hawai’i

This chapter summarizes fieldwork conducted to derive new estimates of coastal groundwater discharge and associated nutrient loadings at select coastal sites in Hawai’i, USA. Locations for this work were typically identified based on pronounced, recent ecosystem degradation that may at least partially be attributable to sustained coastal groundwater discharge. Our suite of tools used to evaluate groundwater discharge included select U/Th series radionuclides, a broad spectrum of geochemical analytes, multi-channel electrical resistivity, and in situ oceanographic observations. Based on the submarine groundwater discharge tracer 222Rn, coastal groundwater discharge rates ranged from about 22–50 cm per day at Kahekili, a site in the Ka’anapali region north of Lahaina in west Maui, while at Black Point in Maunalua Bay along southern O’ahu, coastal groundwater discharge rates ranged up to 700 cm per day, although the mean discharge rate at this site was 60 cm per day. The water chemistry of the discharging groundwater can be dramatically different than ambient seawater at both coastal sites. For example, at Kahekili the average concentrations of dissolved inorganic nitrogen (DIN), dissolved silicate (DSi) and total dissolved phosphorus (TDP) were roughly 188-, 36-, and 106-times higher in the discharging groundwater relative to ambient seawater, respectively. Such data extend our basic understanding of the physical controls on coastal groundwater discharge and provide an estimate of the magnitude and physical forcings of submarine groundwater discharge and associated trace metal and nutrient loads conveyed by this submarine route.

Hawaii↗

A methodology for quantifying and mapping ecosystem services provided by watersheds

Watershed processes – physical, chemical, and biological – are the foundation for many benefits that ecosystems provide for human societies. A crucial step toward accurately representing those benefits, so they can ultimately inform decisions about land and water management, is the development of a coherent methodology that can translate available data into the ecosystem services (ES) produced by watersheds. Ecosystem services (ES) provide an instinctive way to understand the tradeoffs associated with natural resource management. We provide a synthesis of common terminology and explain a rationale and framework for distinguishing among the components of ecosystem service delivery, including: an ecosystem’s capacity to produce a service; societal demand for the service; ecological pressures on this service; and flow of the service to people. We discuss how interpretation and measurement of these components can differ among provisioning, regulating, and cultural services and describe selected methods for quantifying ES components as well as constraints on data availability. We also present several case studies to illustrate our methods, including mapping capacity of several water purification services and demand for two forms of wildlife-based recreation, and discuss future directions for ecosystem service assessments. Our flexible framework treats service capacity, demand, ecological pressure, and flow as separate but interactive entities to better evaluate the sustainability of service provision across space and time and to help guide management decisions.

Book chapter↗

Application of paleoecology to ecosystem restoration: A case study from south Florida’s estuaries

Paleoecological analyses of biotic assemblages from cores collected throughout south Florida’s estuaries indicate gradually increasing salinities over approximately the last 2000 years, consistent with rising sea level. Around the beginning of the twentieth century these gradual patterns of change began to shift, corresponding to the beginning of human alteration of the environment via canal construction, railroad construction and other land use changes. Between 1950 and 1960, at a time of significant construction of water management structures another distinctive shift in the biological assemblages occurred. Analysis of the assemblages provides essential information on long-term patterns of change in the estuaries and provides a basis for predicting future trajectories of change. Paleosalinity estimates derived from the cores are providing input to linear regression models to determine related freshwater flow into the estuaries of south Florida. These analyses are being used to help establish performance measures and targets for the Comprehensive Everglades Restoration, established following an Act of Congress in 2000. Restoration of south Florida’s ecosystems is slated to be a 30–50 year effort that will require detailed knowledge of past decadal to centennial-scale changes in climate, freshwater flow and salinity. This historical perspective provides information that allows land managers to set realistic and sustainable goals for restoration, and provides insight into the potential response of south Florida’s ecosystem to various future scenarios of global change.

Florida↗

Feeding rate of slimy sculpin and burbot on young lake charr in laboratory reefs

Predation and contaminants are two possible factors in the poor recruitment of young lake charr Salvelinus namaycush in the Great Lakes. We measured the feeding rate of slimy sculpins Cottus cognatus and burbot Lota lota on young lake charr (uncontaminated young from eggs of a hatchery brood stock and contaminated young from eggs of Lake Michigan lake charr) in laboratory test chambers with a cobble substrate. The median daily consumption rate of sculpins for all tests was 2 lake charr eggs (N = 22 tests; 95% confidence interval, O-13) and 2 lake charr free embryos (N = 31 tests; 95% confidence interval, O-10). Feeding rate did not differ between hatchery and contaminated prey. Slimy sculpins continued to feed on lake charr when another prey organism, the deepwater amphipod Pontoporeia hoyi , was present. Feeding by burbot on free embryos (4-36 d -l ) increased as the mobility of young increased, but burbot consumed about 10% of their body weight weekly in free-swimming young (140-380 d -l ). Predation on lake charr eggs by sculpins could beconsiderable over the 100 to 140 d incubation period, and burbot could eat large numbers of free-swimming lake charr as the young fish left the reef. Predation pressure on young lake charr may inhibit rehabilitation ofself-sustaining populations of lake charr on some reefs unless a critical egg density has been reached.

Environmental Biology of Fishes↗

The Detroit River: Effects of contaminants and human activities on aquatic plants and animals and their habitats

Despite the extensive urbanization of its watershed, the Detroit River still supports diverse fish and wildlife populations. Conflicting uses of the river for waste disposal, water withdrawals, shipping, recreation, and fishing require innovative management. Chemicals added by man to the Detroit River have adversely affected the health and habitats of the river's plants and animals. In 1985, as part of an Upper Great Lakes Connecting Channels Study sponsored by Environment Canada and the U.S. Environmental Protection Agency, researchers exposed healthy bacteria, plankton, benthic macroinvertebrates, fish, and birds to Detroit River sediments and sediment porewater. Negative impacts included genetic mutations in bacteria; death of macroinvertebrates; accumulation of contaminants in insects, clams, fish, and ducks; and tumor formation in fish. Field surveys showed areas of the river bottom that were otherwise suitable for habitation by a variety of plants and animals were contaminated with chlorinated hydrocarbons and heavy metals and occupied only by pollution-tolerant worms. Destruction of shoreline wetlands and disposal of sewage and toxic substances in the Detroit River have reduced habitat and conflict with basic biological processes, including the sustained production of fish and wildlife. Current regulations do not adequately control pollution loadings. However, remedial actions are being formulated by the U.S. and Canada to restore degraded benthic habitats and eliminate discharges of toxic contaminants into the Detroit River.

Hydrobiologia↗

Benthic fluxes in San Francisco Bay

Measurements of benthic fluxes have been made on four occasions between February 1980 and February 1981 at a channel station and a shoal station in South San Francisco Bay, using in situ flux chambers. On each occasion replicate measurements of easily measured substances such as radon, oxygen, ammonia, and silica showed a variability (??1??) of 30% or more over distances of a few meters to tens of meters, presumably due to spatial heterogeneity in the benthic community. Fluxes of radon were greater at the shoal station than at the channel station because of greater macrofaunal irrigation at the former, but showed little seasonal variability at either station. At both stations fluxes of oxygen, carbon dioxide, ammonia, and silica were largest following the spring bloom. Fluxes measured during different seasons ranged over factors of 2-3, 3, 4-5, and 3-10 (respectively), due to variations in phytoplankton productivity and temperature. Fluxes of oxygen and carbon dioxide were greater at the shoal station than at the channel station because the net phytoplankton productivity is greater there and the organic matter produced must be rapidly incorporated in the sediment column. Fluxes of silica were greater at the shoal station, probably because of the greater irrigation rates there. N + N (nitrate + nitrite) fluxes were variable in magnitude and in sign. Phosphate fluxes were too small to measure accurately. Alkalinity fluxes were similar at the two stations and are attributed primarily to carbonate dissolution at the shoal station and to sulfate reduction at the channel station. The estimated average fluxes into South Bay, based on results from these two stations over the course of a year, are (in mmol m-2 d-1): O2 = -27 ?? 6; TCO2 = 23 ?? 6; Alkalinity = 9 ?? 2; N + N = -0.3 ?? 0.5; NH3 = 1.4 ?? 0.2; PO4 = 0.1 ?? 0.4; Si = 5.6 ?? 1.1. These fluxes are comparable in magnitude to those in other temperate estuaries with similar productivity, although the seasonal variability is smaller, probably because the annual temperature range in San Francisco Bay is smaller. Budgets constructed for South San Francisco Bay show that large fractions of the net annual productivity of carbon (about 90%) and silica (about 65%) are recycled by the benthos. Substantial rates of simultaneous nitrification and denitrification must occur in shoal areas, apparently resulting in conversion to N2 of 55% of the particulate nitrogen reaching the sediments. In shoal areas, benthic fluxes can replace the water column standing stocks of ammonia in 2-6 days and silica in 17-34 days, indicating the importance of benthic fluxes in the maintenance of productivity. Pore water profiles of nutrients and Rn-222 show that macrofaunal irrigation is extremely important in transport of silica, ammonia, and alkalinity. Calculations of benthic fluxes from these profiles are less accurate, but yield results consistent with chamber measurements and indicate that most of the NH3, SiO2, and alkalinity fluxes are sustained by reactions occurring throughout the upper 20-40 cm of the sediment column. In contrast, O2, CO2, and N + N fluxes must be dominated by reactions occurring within the upper one cm of the sediment-water interface. While most data support the statements made above, a few flux measurements are contradictory and demonstrate the complexity of benthic exchange. ?? 1985 Dr W. Junk Publishers.

California↗

Swift snowmelt and floods (lahars) caused by great pyroclastic surge at Mount St Helens volcano, Washington, 18 May 1980

The initial explosions at Mount St. Helens, Washington, on the moring of 18 May 1980 developed into a huge pyroclastic surge that generated catastrophic floods off the east and west flanks of the volcano. Near-source surge deposits on the east and west were lithic, sorted, lacking in accretionary lapilli and vesiculated ash, not plastered against upright obstacles, and hot enough to char wood - all attributes of dry pyroclastic surge. Material deposited at the surge base on steep slopes near the volcano transformed into high-concentration lithic pyroclastic flows whose deposits contain charred wood and other features indicating that these flows were hot and dry. Stratigraphy shows that even the tail of the surge had passed the east and west volcano flanks before the geomorphically distinct floods (lahars) arrived. This field evidence undermines hypotheses that the turbulent surge was itself wet and that its heavy components segregated out to transform directly into lahars. Nor is there evidence that meters-thick snow-slab avalanches intimately mixed with the surge to form the floods. The floods must have instead originated by swift snowmelt at the base of a hot and relatively dry turbulent surge. Impacting hot pyroclasts probably transferred downslope momentum to the snow surface and churned snow grains into the surge base. Melting snow and accumulating hot surge debris may have moved initially as thousands of small thin slushflows. As these flows removed the surface snow and pyroclasts, newly uncovered snow was partly melted by the turbulent surge base; this and accumulating hot surge debris in turn began flowing, a self-sustaining process feeding the initial flows. The flows thus grew swiftly over tens of seconds and united downslope into great slushy ejecta-laden sheetfloods. Gravity accelerated the floods to more than 100 km/h as they swept down and off the volcano flanks while the snow component melted to form great debris-rich floods (lahars) channeled into valleys. ?? 1989 Springer-Verlag.

Bulletin of Volcanology↗

Origin of metaluminous and alkaline volcanic rocks of the Latir volcanic field, northern Rio Grande rift, New Mexico

Volcanic rocks of the Latir volcanic field evolved in an open system by crystal fractionation, magma mixing, and crustal assimilation. Early high-SiO2 rhyolites (28.5 Ma) fractionated from intermediate compositionmagmas that did not reach the surface. Most precaldera lavas have intermediate-compositions, from olivine basaltic-andesite (53% SiO2) to quartz latite (67% SiO2). The precaldera intermediate-composition lavas have anomalously high Ni and MgO contents and reversely zoned hornblende and augite phenocrysts, indicating mixing between primitive basalts and fractionated magmas. Isotopic data indicate that all of the intermediate-composition rocks studied contain large crustal components, although xenocrysts are found only in one unit. Inception of alkaline magmatism (alkalic dacite to high-SiO2 peralkaline rhyolite) correlates with, initiation of regional extension approximately 26 Ma ago. The Questa caldera formed 26.5 Ma ago upon eruption of the >500 km3 high-SiO2 peralkaline Amalia Tuff. Phenocryst compositions preserved in the cogenetic peralkaline granite suggest that the Amalia Tuff magma initially formed from a trace element-enriched, high-alkali metaluminous magma; isotopic data suggest that the parental magmas contain a large crustal component. Degassing of water- and halogen-rich alkali basalts may have provided sufficient volatile transport of alkalis and other elements into the overlying silicic magma chamber to drive the Amalia Tuff magma to peralkaline compositions. Trace element variations within the Amalia Tuff itself may be explained solely by 75% crystal fractionation of the observed phenocrysts. Crystal settling, however, is inconsistent with mineralogical variations in the tuff, and crystallization is thought to have occurred at a level below that tapped by the eruption. Spatially associated Miocene (15-11 Ma) lavas did not assimilate large amounts of crust or mix with primitive basaltic magmas. Both mixing and crustal assimilation processes appear to require development of relatively large magma chambers in the crust that are sustained by large basalt fluxes from the mantle. The lack of extensive crustal contamination and mixing in the Miocene lavas may be related to a decreased basalt flux or initiation of blockfaulting that prevented pooling of basaltic magma in the crust. ?? 1988 Springer-Verlag.

Contributions to Mineralogy and Petrology↗

The plinian eruptions of 1912 at Novarupta, Katmai National Park, Alaska

The three-day eruption at Novarupta in 1912 consisted of three discrete episodes. Episode I began with plinian dispersal of rhyolitic fallout (Layer A) and contemporaneous emplacement of rhyolitic ignimbrites and associated proximal veneers. The plinian column was sustained throughout most of the interval of ash flow generation, in spite of progressive increases in the proportions of dacitic and andesitic ejecta at the expense of rhyolite. Accordingly, plinian Layer B, which fell in unbroken continuity with purely rhyolitic Layer A, is zoned from >99% to ???15% rhyolite and accumulated synchronously with emplacement of the correspondingly zoned ash flow sequence in Mageik Creek and the Valley of Ten Thousand Smokes (VTTS). Only the andesiterichest flow units that cap the flow sequence lack a widespread fallout equivalent, indicating that ignimbrite emplacement barely outlasted the plinian phase. On near-vent ridges, the passing ash flows left proximal ignimbrite veneers that share the compositional zonation of their valley-filling equivalents but exhibit evidence for turbulent deposition and recurrent scour. Episode II began after a break of a few hours and was dominated by plinian dispersal of dacitic Layers C and D, punctuated by minor proximal intraplinian flows and surges. After another break, dacitic Layers F and G resulted from a third plinian episode (III); intercalated with these proximally are thin intraplinian ignimbrites and several andesite-rich fall/flow layers. Both CD and FG were ejected from an inner vent <400 m wide (nested within that of Episode I), into which the rhyolitic lava dome (Novarupta) was still later extruded. Two finer-grained ash layers settled from composite regional dust clouds: Layer E, which accumulated during the D-F hiatus, includes a contribution from small contemporaneous ash flows; and Layer H settled after the main eruption was over. Both are distinct layers in and near the VTTS, but distally they merge with CD and FG, respectively; they are largely dacitic but include rhyolitic shards that erupted during Episode I and were kept aloft by atmospheric turbulence. Published models yield column heights of 23-26 km for A, 22-25 km for CD, and 17-23 km for FG; and peak mass eruption rates of 0.7-1x108, 0.6-2x108, and 0.2-0.4x108 kg s-1, respectively. Fallout volumes, adjusted to reflect calculated redistribution of rhyolitic glass shards, are 8.8 km3, 4.8 km3, and 3.4 km3 for Episodes I, II, and III. Microprobe analyses of glass show that as much as 0.4 km3 of rhyolitic glass shards from eruptive Episode I fell with CDE and 1.1 km3 with FGH. Most of the rhyolitic ash in the dacitic fallout layers fell far downwind (SE of the vent); near the rhyolite-dominated ignimbrite, however, nearly all of Layers E and H are dacitic, showing that the downwind rhyolitic ash is of 'co-plinian' rather than co-ignimbrite origin. ?? 1992 Springer-Verlag.

Bulletin of Volcanology↗

Water management by early people in the Yucatan, Mexico

The Yucatan Peninsula is a coastal plain underlain by permeable limestone and receives abundant rainfall. Such hydrogeologic conditions should provide major supplies of water; however, factors of climate and hydrogeology have combined to form a hydrologic system with chemical boundaries that limits the amount of fresh water available. Management of water resources has long had a major influence on the cultural and economic development of the Yucatan. The Mayan culture of the northern Yucatan developed on extensive use of groundwater. The religion was water oriented and the Mayan priests prayed to Chac, the water god, for assistance in water management, primarily to decrease the severity of droughts. The Spaniards arrived in 1517 and augmented the supply by digging wells, which remained the common practice for more than 300 years. Many wells now have been abandoned because of serious problems of pollution. A historical perspective of a paper such as this provides insight into the attitudes concerning water of early people and perhaps provides insight into current attitudes concerning water. Hydrogeologists possess the expertise to generate relevant information required by water managers to arrive at management programs to achieve sustainable development. ?? 1995 Springer-Verlag.

Yucatan Peninsula↗

Effects of petroleum on adrenocortical activity and on hepatic naphthalene-metabolizing activity in mallard ducks

Unstressed mallard ducks ( Anas platyrhychos ), given uncontaminated food and maintained on a short photoperiod, show two daily maxima in plasma corticosterone concentration ([B]); one occurring early in the light phase and a second just before the onset of darkness. After one week of exposure to food containing 3% (v/w) South Louisiana crude oil, plasma [B] were significantly lowered throughout the day. Similar abrupt declines in plasma [B] also occurred during the first 10 days of exposure to food containing 1% and 0.5% crude oil. Although the plasma [B] in birds consuming food contaminated with 0.5% crude oil increased between 10 and 50 days of exposure, the concentration after 50 days was still lower than normal. During the same interval, normal plasma [B] were restored in birds consuming food containing 1% and 3% crude oil. Significant increases occurred in the naphthalene-metabolizing properties of hepatic microsomes prepared from birds acutely exposed to all levels of petroleum-contaminated food and elevated levels were sustained throughout the first 50 days of exposure. Birds given food containing 3% crude oil for more than 50 days, however, showed steady declines in hepatic naphthalene-metabolizing activity. After 500 days, the activity was similar to that found in contemporaneous controls. During the same interval, the plasma [B] increased until the levels were higher than normal after 500 days of exposure; at this time, an inverse relationship, similar to that seen during the first week of exposure to contaminated food, was once more established between plasma [B] and the concomitant hepatic naphthalene-metabolizing activity.

Archives of Environmental Contamination and Toxico↗

A modeling assessment of the thermal regime for an urban sport fishery

Water temperature is almost certainly a limiting factor in the maintenance of a self-sustaining rainbow trout ( Oncorhynchus mykiss , formerly Salmo gairdneri ) and brown trout ( Salmo trutta ) fishery in the lower reaches of the Cache la Poudre River near Fort Collins, Colorado, USA. Irrigation diversions dewater portions of the river, but cold reservoir releases moderate water temperatures during some periods. The US Fish and Wildlife Service’s Stream Network Temperature Model (SNTEMP) was applied to a 31-km segment of the river using readily available stream geometry and hydrological and meteorological data. The calibrated model produced satisfactory water temperature predictions (R 2 =0.88, P <0.001, N=49) for a 62-day summer period. It was used to evaluate a variety of flow and nonflow alternatives to keep water temperatures below 23.3°C for the trout. Supplemental flows or reduced diversions of 3 m 3 /sec would be needed to maintain suitable summer temperatures throughout most of the study area. Such flows would be especially beneficial during weekends when current irrigation patterns reduce flows. The model indicated that increasing the riparian shade would result in little improvement in water temperatures but that decreasing the stream width would result in significant temperature reductions. Introduction of a more thermally tolerant redband trout ( Oncorhynchus sp.), or smallmouth bass ( Micropterus dolomieui ) might prove beneficial to the fishery. Construction of deep pools for thermal refugia might also be helpful.

Environmental Management↗

Spatially explicit measures of production of young alewives in Lake Michigan: Linkage between essential fish habitat and recruitment

The identification and protection of essential habitats for early life stages of fishes are necessary to sustain fish stocks. Essential fish habitat for early life stages may be defined as areas where fish densities, growth, survival, or production rates are relatively high. To identify critical habitats for young-of-year (YOY) alewives ( Alosa pseud oharengus ) in Lake Michigan, we integrated bioenergetics models with GIS (Geographic Information Systems) to generate spatially explicit estimates of potential population production (an index of habitat quality). These estimates were based upon YOY alewife bioenergetic growth rate potential and their salmonine predators&rsquo; consumptive demand. We compared estimates of potential population production to YOY alewife yield (an index of habitat importance). Our analysis suggested that during 1994&ndash;1995, YOY alewife habitat quality and yield varied widely throughout Lake Michigan. Spatial patterns of alewife yield were not significantly correlated to habitat quality. Various mechanisms (e.g., predator migrations, lake circulation patterns, alternative strategies) may preclude YOY alewives from concentrating in areas of high habitat quality in Lake Michigan.

Estuaries and Coasts↗

Suspended sediment fluxes in a tidal wetland: Measurement, controlling factors, and error analysis

Suspended sediment fluxes to and from tidal wetlands are of increasing concern because of habitat restoration efforts, wetland sustainability as sea level rises, and potential contaminant accumulation. We measured water and sediment fluxes through two channels on Browns Island, at the landward end of San Francisco Bay, United States, to determine the factors that control sediment fluxes on and off the island. In situ instrumentation was deployed between October 10 and November 13, 2003. Acoustic Doppler current profilers and the index velocity method were employed to calculate water fluxes. Suspended sediment concentrations (SSC) were determined with optical sensors and cross-sectional water sampling. All procedures were analyzed for their contribution to total error in the flux measurement. The inability to close the water balance and determination of constituent concentration were identified as the main sources of error; total error was 27% for net sediment flux. The water budget for the island was computed, with an unaccounted input of 0.20 m 3 s −1 (22% of mean inflow), after considering channel flow, change in water storage, evapotranspiration, and precipitation. The net imbalance may be a combination of groundwater seepage, overland flow, and flow through minor channels. Change of island water storage, caused by local variations in water surface elevation, dominated the tidally averaged water flux. These variations were mainly caused by wind and barometric pressure change, which alter regional water levels throughout the Sacramento-San Joaquin River Delta. Peak instantaneous ebb flow was 35% greater than peak flood flow, indicating an ebbdominant system, though dominance varied with the spring-neap cycle. SSC were controlled by wind-wave resuspension adjacent to the island and local tidal currents that mobilized sediment from the channel bed. During neap tides sediment was imported onto the island but during spring tides sediment was exported because the main channel became ebb dominant. Over the 34-d monitoring period 14,000 kg of suspended sediment were imported through the two channels. The water imbalance may affect the sediment balance if the unmeasured water transport pathways are capable of transporting large amounts of sediment. We estimate a maximum of 2,800 kg of sediment may have been exported through unmeasured pathways, giving a minimum ent import of 11,200 kg. Sediment flux measurements provide insight on tidal to fortnightly marsh sedimentation processes, especially in complex systems where sedimentation is spatially and temporally variable.

California↗

Bet-hedging applications for conservation

One of the early tenets of conservation biology is that population viability is enhanced by maintaining multiple populations of a species. The strength of this tenet is justified by principles of bet-hedging. Management strategies that reduce variance in population size will also reduce risk of extinction. Asynchrony in population fluctuations in independent populations reduces variance in the aggregate of populations whereas environmental correlation among areas increases the risk that all populations will go extinct. We review the theoretical rationale of bet-hedging and suggest applications for conservation management of least terns in Nebraska and grizzly bears in the northern Rocky Mountains of the United States. The risk of extinction for least terns will be reduced if we can sustain the small central Platte River population in addition to the larger population on the lower Platte. Similarly, by restoring grizzly bears to the Bitterroot wilderness of Idaho and Montana can reduce the probability of extinction for grizzly bears in the Rocky Mountains of the United States by as much as 69-93%.

Journal of Biosciences↗