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At least 109 records · Page 6Linked to original sources

The structure of Mediterranean rocky reef ecosystems across environmental and human gradients, and conservation implications

Historical exploitation of the Mediterranean Sea and the absence of rigorous baselines makes it difficult to evaluate the current health of the marine ecosystems and the efficacy of conservation actions at the ecosystem level. Here we establish the first current baseline and gradient of ecosystem structure of nearshore rocky reefs at the Mediterranean scale. We conducted underwater surveys in 14 marine protected areas and 18 open access sites across the Mediterranean, and across a 31-fold range of fish biomass (from 3.8 to 118 g m-2). Our data showed remarkable variation in the structure of rocky reef ecosystems. Multivariate analysis showed three alternative community states: (1) large fish biomass and reefs dominated by non-canopy algae, (2) lower fish biomass but abundant native algal canopies and suspension feeders, and (3) low fish biomass and extensive barrens, with areas covered by turf algae. Our results suggest that the healthiest shallow rocky reef ecosystems in the Mediterranean have both large fish and algal biomass. Protection level and primary production were the only variables significantly correlated to community biomass structure. Fish biomass was significantly larger in well-enforced no-take marine reserves, but there were no significant differences between multi-use marine protected areas (which allow some fishing) and open access areas at the regional scale. The gradients reported here represent a trajectory of degradation that can be used to assess the health of any similar habitat in the Mediterranean, and to evaluate the efficacy of marine protected areas.

PLoS ONE

The structure of genetic diversity in eelgrass (Zostera marina L.) along the North Pacific and Bering Sea coasts of Alaska

Eelgrass ( Zostera marina) populations occupying coastal waters of Alaska are separated by a peninsula and island archipelago into two Large Marine Ecosystems (LMEs). From populations in both LMEs, we characterize genetic diversity, population structure, and polarity in gene flow using nuclear microsatellite fragment and chloroplast and nuclear sequence data. An inverse relationship between genetic diversity and latitude was observed (heterozygosity: R 2 = 0.738, P < 0.001; allelic richness: R 2 = 0.327, P = 0.047), as was significant genetic partitioning across most sampling sites (θ = 0.302, P < 0.0001). Variance in allele frequency was significantly partitioned by region only in cases when a population geographically in the Gulf of Alaska LME (Kinzarof Lagoon) was instead included with populations in the Eastern Bering Sea LME (θ p = 0.128–0.172; P < 0.003), suggesting gene flow between the two LMEs in this region. Gene flow among locales was rarely symmetrical, with notable exceptions generally following net coastal ocean current direction. Genetic data failed to support recent proposals that multiple Zostera species (i.e. Z . japonica and Z . angustifolia ) are codistributed with Z . marina in Alaska. Comparative analyses also failed to support the hypothesis that eelgrass populations in the North Atlantic derived from eelgrass retained in northeastern Pacific Last Glacial Maximum refugia. These data suggest northeastern Pacific populations are derived from populations expanding northward from temperate populations following climate amelioration at the terminus of the last Pleistocene glaciation.

Alaska

High-resolution seismic reflection/refraction images near the outer margin of the Chesapeake Bay impact crater, York-James Peninsula, southeastern Virginia

Powars and Bruce (1999) showed that the Chesapeake Bay region of southeastern Virginia was the site of an asteroid or comet impact during the late Eocene, approximately 35 million years ago (Fig. 1). Initial borehole and marine seismic-reflection data revealed a 90-km-diameter impact structure, referred to as the Chesapeake Bay Impact Crater (CBIC), that lies buried beneath the southern Chesapeake Bay and surrounding Virginia Coastal Plain (Powars and Bruce, Figs. 1b). Stratigraphic correlations among a series of boreholes suggest that the impact disrupted basement rock and the overlying Cretaceous through middle Eocene deltaic and marine sediments. The CBIC truncates important regional sedimentary aquifer systems and possibly caused differential flushing of connate seawater. Therefore, the CBIC affects the present-day ground-water quantity and quality in the rapidly growing Hampton Roads region of southeastern Virginia. Impact-generated faults in the basement rock may be the sources of small-to-moderate earthquakes that have been occurred around the perimeter of the impact structure over the past few hundred years (Johnson et al., 1998). Powars and Bruce (1999) suggest that 150 m to 490 m of relatively undisturbed, post-impact Coastal-Plain sediments overlie the impact-disrupted sediments and basement rocks west of Chesapeake Bay. Their interpretation of marine seismic data, released from Texaco and Exxon, revealed a central 38-km-wide, 1.6-km-deep disrupted zone in the basement rocks (inner basin), which is surrounded by a 21- to 31-km-wide, 1- km-deep annular trough. Steep rim escarpments surround these features, which they mapped regionally as the outer and inner margins (rims) of the CBIC (Fig. 1b). The outer margin is a slumped terrace zone that has a 120- to 305-m-high gullied escarpment and varies in width from 0.8 to 3.2 km. However, the geographic bounds of the CBIC, its effects on the regional aquifer systems, and the distribution of impact generated faults and fractures in basement are not well determined. To better determine some of the unknowns associated with the CBIC, we conducted a 350-m-long, high-resolution seismic reflection and refraction survey, referred to here as the CBIC-1 seismic survey, on the York-James Peninsula in June 1999. In particular, we attempted to: better define the outer margin of the CBIC, understand lateral variations in the stratigraphic sequence, help assess potential hazards associated with regional seismicity, and determine acquisition parameters needed for shallow-depth seismic imaging in the Chesapeake Bay area.

Virginia

Grain-scale imaging and compositional characterization of cryo-preserved India NGHP 01 gas-hydrate-bearing cores

We report on grain-scale characteristics and gas analyses of gas-hydrate-bearing samples retrieved by NGHP Expedition 01 as part of a large-scale effort to study gas hydrate occurrences off the eastern-Indian Peninsula and along the Andaman convergent margin. Using cryogenic scanning electron microscopy, X-ray spectroscopy, and gas chromatography, we investigated gas hydrate grain morphology and distribution within sediments, gas hydrate composition, and methane isotopic composition of samples from Krishna&ndash;Godavari (KG) basin and Andaman back-arc basin borehole sites from depths ranging 26 to 525 mbsf. Gas hydrate in KG-basin samples commonly occurs as nodules or coarse veins with typical hydrate grain size of 30&ndash;80 &mu;m, as small pods or thin veins 50 to several hundred microns in width, or disseminated in sediment. Nodules contain abundant and commonly isolated macropores, in some places suggesting the original presence of a free gas phase. Gas hydrate also occurs as faceted crystals lining the interiors of cavities. While these vug-like structures constitute a relatively minor mode of gas hydrate occurrence, they were observed in near-seafloor KG-basin samples as well as in those of deeper origin (>100 mbsf) and may be original formation features. Other samples exhibit gas hydrate grains rimmed by NaCl-bearing material, presumably produced by salt exclusion during original hydrate formation. Well-preserved microfossil and other biogenic detritus are also found within several samples, most abundantly in Andaman core material where gas hydrate fills microfossil crevices. The range of gas hydrate modes of occurrence observed in the full suite of samples suggests a range of formation processes were involved, as influenced by local in situ conditions. The hydrate-forming gas is predominantly methane with trace quantities of higher molecular weight hydrocarbons of primarily microbial origin. The composition indicates the gas hydrate is Structure I.

Marine and Petroleum Geology

Textural variation within Great Salt Lake algal mounds

This chapter discusses textural variation within the Great Salt Lake algal mounds. Great Salt Lake algal mounds contain: (1) a framework of non-skeletal, algally induced aragonite precipitates; (2) internal sediment; and (3) inorganic cement. These three elements create a variety of laminated, poorly laminated, and unlaminated internal textures. Interior framework precipitates bear little resemblance to the present living film of the mound surface. Internal texture of the mounds is believed to be largely relict and to have resulted from precipitation by algae different than those presently living at the surface. The most probable cause of local extinction of the algal flora is change in brine salinity. Precipitated blue-green algal structures in ancient rocks may indicate other than normal marine salinity and near shore sedimentation. Extreme variation of internal texture reflects extreme environmental variability typical of closed basin lakes. Recognition of mounds similar to those in the Great Salt Lake can be a first step toward recognition of ancient hyper-saline lake deposits, if such an interpretation is substantiated by consideration of the entire depositional milieu of precipitated algal mounds.

Utah

Tectonic framework and Late Cenozoic tectonic history of the northern part of Cyprus: Implications for earthquake hazards and regional tectonics

Located near the triple junction of the African, Arabia, and Eurasian Plate, Cyprus has had an active and complex neotectonic history, which includes devastating historical earthquakes. Investigations into the tectonic framework of the northern part of Cyprus provide important insights into regional tectonism of the Eastern Mediterranean and Middle East. The northern part of Cyprus is divided into two tectono-stratigraphic terranes, the boundary of which is the Ovgos fault zone. In the Middle Miocene, the Ovgos fault zone was a marine platform margin, which separated open-marine platform carbonates from deep-marine turbidites. Transpressive movement along easterly and northeasterly trending structures dominated the Late Miocene; deposition and preservation of Messinian evaporites occurred in grabens at intersections of these trends. N–S compression began in the Early Pliocene and produced contractional tectonism along east–west trends, including major thrusting of allochthonous rocks in the Kyrenia Range. Quaternary deformation has been dominated by strike-slip faults along northeast and northwest trends; movement during the Pleistocene occurred on several of these faults; Holocene movement is documented on one of these faults. A seismic hazard is implied for the Nicosia area because its proximity to the Quaternary faults. Since the Miocene, Cyprus has been continuously uplifted, but the tectonic setting is controversial, as some researchers invoke a subduction zone setting and others ascribe to a regime of strike-slip tectonics. Our neotectonic framework is consistent with a restraining bend model for Cyprus in a regional strike-slip regime.

Journal of Asian Earth Sciences

Kelp forest ecosystems: Biodiversity, stability, resilience and future

Kelp forests are phyletically diverse, structurally complex and highly productive components of coldwater rocky marine coastlines. This paper reviews the conditions in which kelp forests develop globally and where, why and at what rate they become deforested. The ecology and long archaeological history of kelp forests are examined through case studies from southern California, the Aleutian Islands and the western North Atlantic, well-studied locations that represent the widest possible range in kelp forest biodiversity. Global distribution of kelp forests is physiologically constrained by light at high latitudes and by nutrients, warm temperatures and other macrophytes at low latitudes. Within mid-latitude belts (roughly 40–60° latitude in both hemispheres) well-developed kelp forests are most threatened by herbivory, usually from sea urchins. Overfishing and extirpation of highly valued vertebrate apex predators often triggered herbivore population increases, leading to widespread kelp deforestation. Such deforestations have the most profound and lasting impacts on species-depauperate systems, such as those in Alaska and the western North Atlantic. Globally urchin-induced deforestation has been increasing over the past 2–3 decades. Continued fishing down of coastal food webs has resulted in shifting harvesting targets from apex predators to their invertebrate prey, including kelp-grazing herbivores. The recent global expansion of sea urchin harvesting has led to the widespread extirpation of this herbivore, and kelp forests have returned in some locations but, for the first time, these forests are devoid of vertebrate apex predators. In the western North Atlantic, large predatory crabs have recently filled this void and they have become the new apex predator in this system. Similar shifts from fish- to crab-dominance may have occurred in coastal zones of the United Kingdom and Japan, where large predatory finfish were extirpated long ago. Three North American case studies of kelp forests were examined to determine their long history with humans and project the status of future kelp forests to the year 2025. Fishing impacts on kelp forest systems have been both profound and much longer in duration than previously thought. Archaeological data suggest that coastal peoples exploited kelp forest organisms for thousands of years, occasionally resulting in localized losses of apex predators, outbreaks of sea urchin populations and probably small-scale deforestation. Over the past two centuries, commercial exploitation for export led to the extirpation of sea urchin predators, such as the sea otter in the North Pacific and predatory fishes like the cod in the North Atlantic. The large-scale removal of predators for export markets increased sea urchin abundances and promoted the decline of kelp forests over vast areas. Despite southern California having one of the longest known associations with coastal kelp forests, widespread deforestation is rare. It is possible that functional redundancies among predators and herbivores make this most diverse system most stable. Such biodiverse kelp forests may also resist invasion from non-native species. In the species-depauperate western North Atlantic, introduced algal competitors carpet the benthos and threaten future kelp dominance. There, other non-native herbivores and predators have become established and dominant components of this system. Climate changes have had measurable impacts on kelp forest ecosystems and efforts to control the emission of greenhouse gasses should be a global priority. However, overfishing appears to be the greatest manageable threat to kelp forest ecosystems over the 2025 time horizon. Management should focus on minimizing fishing impacts and restoring populations of functionally important species in these systems.

Environmental Conservation

Seasonal-to-interannual fluctuations in surface temperature over the Pacific: effects of monthly winds and heat fluxes

Monthly heat fluxes and wind stresses are used to force the Oberhuber isopycnic ocean general-circulation (OPYC) model of the Pacific basin over a two-decade period from 1970 to 1988. The surface forcings are constructed from COADS marine observations via bulk formulae. Monthly anomalies of the fluxes and stresses are superimposed upon model climatological means of these variables, which were saved from a long spin-up. Two aspects of this work are highlighted, both aimed at a better understanding of the atmosphere-ocean variability and exchanges and at diagnosing the performance of the OPYC model in simulating monthly to decadal-scale variability. The first is the evaluation of the data used to force the model ocean, along with its relationship to other observed data. The second is the diagnosis of the processes revealed in the model that are associated with sea surface temperature (SST) variability, including their seasonal and geographic structure. Although both random and systematic errors arise from the marine data and the bulk formulations, large signals in the air-sea fluxes are nonetheless consistent with the large-scale atmospheric circulation anomalies over the Pacific. This signal is large in a composite prepared from months with similar circulation modes. Also, latent and sensible heat-flux anomaly patterns correspond well to those of SST anomaly tendencies. Considering short-period variations, SST anomaly tendencies have typical magnitudes of 0.3&deg;C mo -1 . These are associated with monthly mean flux anomalies having typical magnitudes of 50 W m -2 and are consistent with observed mixed-layer depths. Decadal anomalies have much smaller magnitudes, perhaps reduced by two orders of magnitude, and it is here that the signal-to-noise problem is more severe. The forcing terms are generally products of variables, so realistic means and fluctuations of these variables are crucial for a successful simulation. The 19-year simulation of the Pacific basin by the monthly marine data-forced OPYC model displays good skill in reproducing SST variability. These results represent the first hindcast of which we are aware that uses both observed total heat-flux and wind-stress anomalies as forcing for such a long time interval. There is close agreement between the model SSTs and those observed in many regions of the Pacific, including the tropics and the northern extratropics. Besides performing credibly on the monthly time scale, the model captures the essence of low-frequency variability over the North Pacific, including aspects of a marked basin-wide change that occurred in 1976-1977. In the model's detailed heat budget, the anomalous air-sea heat fluxes, entrainment, and to a lesser extent horizontal advection, force thermal-anomaly changes in the mixed layer. Each of these components was apparently involved in the 1976-1977 decadal SST shift.

Book chapter

Active tectonics of the Devils Mountain Fault and related structures, northern Puget Lowland and eastern Strait of Juan de Fuca region, Pacific Northwest

Information from marine high-resolution and conventional seismic-reflection surveys, aeromagnetic mapping, coastal exposures of Pleistocene strata, and lithologic logs of water wells is used to assess the active tectonics of the northern Puget Lowland and eastern Strait of Juan de Fuca region of the Pacific Northwest. These data indicate that the Devils Mountain Fault and the newly recognized Strawberry Point and Utsalady Point faults are active structures and represent potential earthquake sources.

Professional Paper

Maps showing thermal maturity of Upper Cretaceous marine shales in the Wind River Basin, Wyoming

The Wind River Basin is a large Laramide (Late Cretaceous through Eocene) structural and sedimentary basin that encompasses about 7,400 square miles in central Wyoming. The basin is bounded by the Washakie Range, Owl Creek, and southern Bighorn Mountains on the north, the Casper arch on the east and northeast, the Granite Mountains on the south, and the Wind River Range on the west. Important conventional and unconventional oil and gas resources have been discovered and produced from reservoirs ranging in age from Mississippian through Tertiary. It has been suggested that various Upper Cretaceous marine shales are the principal hydrocarbon source rocks for many of these accumulations. Numerous source rock studies of various Upper Cretaceous marine shales throughout the Rocky Mountain region have led to the conclusion that these rocks have generated, or are capable of generating, oil and (or) gas. With recent advances and success in horizontal drilling and multistage fracture stimulation there has been an increase in exploration and completion of wells in these marine shales in other Rocky Mountain Laramide basins that were traditionally thought of only as hydrocarbon source rocks. Important parameters that control hydrocarbon production from shales include: reservoir thickness, amount and type of organic matter, and thermal maturity. The purpose of this report is to present maps and a structural cross section showing levels of thermal maturity, based on vitrinite reflectance (Ro), for Upper Cretaceous marine shales in the Wind River Basin.

Wyoming

South Park, Colorado: The interplay of tectonics and sedimentation creates one of Colorado’s crown jewels

Recent mapping efforts and hydrocarbon exploration in the South Park Basin have brought to light the magnitude in complexity of a structural basin already recognized for its unique sedimentary and tectonic setting. This fi eld trip to one of Colorado’s scenic gems will examine how Paleozoic, Mesozoic, and Cenozoic strata record the tectonic signatures of at least three orogenic episodes. We will cross the Elkhorn–Williams Range thrust system into the structural block caught between Laramide uplifts, and preserving synorogenic sediments from the Pennsylvanian– Permian ancestral Rocky Mountain tectonic episode in juxtaposition with synorogenic sediments from the subsequent Laramide tectonic episode. Late Cretaceous marine sediments from the Western Interior Seaway caught up in complex fold-fault structures between Laramide uplifts create targets for petroleum exploration. Evidence of evaporitic tectonism originating from Pennsylvanian evaporite deposits and hinting at structural complexity dots the landscape. The trip will also explore a postLaramide surface preserved in a graben developed in the hanging wall of the Elkhorn fault system and view post-Laramide volcanic features. Glacier-carved ranges held up by Precambrian crystalline basement and Paleozoic sediments hardened by contact metamorphism from Paleogene stocks and sills rim the basin. Pleistocene glaciofl uvial deposits fan out from the high ranges to blanket the highly deformed basin, masking many of the primary structural features.

Colorado

Mid-Tertiary isopach and lithofacies maps for the Los Angeles region, California: Templates for palinspastic reconstruction to 17.4 Ma

A preliminary palinspastic reconstruction is presented of the region of the Los Angeles Basin at its 17.4 Ma inception. To create this reconstruction, pertinent paleomagnetic declination data are combined with new maps of the areal extent, thickness variations, and depositional facies of the >17.4 Ma Sespe-Vaqueros Formations and their equivalents. Opening of the Neogene Los Angeles Basin began abruptly about 17.4 Ma. Extensional rifting, with local basaltic volcanism, began the process and accompanied its early stages. Crustal detachment, followed by clockwise tectonic rotation and translation of large crustal blocks has been shown by previous paleomagnetic declination measurements in the western Transverse Ranges Province northwest of the basin and by large strike-slip and dip-slip separations on several major faults transecting it. Successful palinspastic reconstruction of the region to its arrangement before 17.4 Ma depends on understanding and integration of many stratigraphic and structural components. Before 17.4 Ma, fluviatile, alluvial and floodplain deposits, interstratified in the younger part with shallow marine to deeper shelf transgressive equivalents, accumulated to thicknesses as great as several kilometers. This report maps the surface and subsurface extents, thickness variations, and facies patterns of these strata, the Sespe plus Vaqueros and Trancas Formations or equivalents. Separate southeast and northwest sectors are revealed, each with distinctive internal thickness and facies patterns, which must have been related before rifting and transrotation. Terrestrial vertebrate and marine molluscan and foraminiferal fossils, plus magnetostratigraphic profiles of other workers and a few dates of igneous rocks, provide timing for key depositional and structural events. Our preliminary reconstruction of the region brings the internal patterns of the northwest and southeast sectors toward congruity but leaves unsatisfied discrepancies that suggest important information is missing. The reconstruction focuses attention on critical elements, specific uncertainties, and defi- ciencies of prior reconstructions. It also provides a new foundation for further work.

California

Disease can shape marine ecosystems

This chapter reviews how marine ecosystems respond to parasites. Evidence from several marine ecosystems shows that parasites can wield control over ecosystem structure, function, and dynamics by regulating host density and phenotype. Like predators, parasites can generate or modify trophic cascades, regulate important foundational species and ecosystem engineers, and mediate species coexistence by affecting competitive outcomes. Sometimes the parasites have clear positive impacts within ecosystems, such as increasing species diversity or maintaining ecosystem stability. Other times, parasites may have destabilizing effects that signal an ecosystem out of balance. But it is now clear that some (but not all) parasites can have strong and, at times, predictable effects, and should thus be incorporated into food web and ecosystem models.

Book chapter

Integrating encounter theory with decision analysis to evaluate collision risk and determine optimal protection zones for wildlife

1.Better understanding human‐wildlife interactions and their links with management can help improve the design of wildlife protection zones. One example is the problem of wildlife collisions with vehicles or human‐built structures (e.g. power lines, wind farms). In fact, collisions between marine wildlife and watercraft are among the major threats faced by several endangered species of marine mammals. Natural resource managers are therefore interested in finding cost‐effective solutions to mitigate these threats. 2.We combined abundance estimators with encounter rate theory to estimate relative lethal collision risk of the Florida manatee ( Trichechus manatus latirostris ) from watercraft. We first modeled seasonal abundance of watercraft and manatees using a Bayesian analysis of aerial survey count data. We then modeled relative lethal collision risk in space and across seasons. Finally, we applied decision analysis and Linear Integer Programming to determine the optimal design of speed zones in terms of relative risk to manatees and costs to waterway users. We used a Pareto efficient frontier approach to evaluate the performance of alternative zones, which included additional practical considerations (e.g. spatial aggregation of speed zones) in relation to the optimal zone configurations. 3.Under the various relationships for probability of death given strike speed that we considered, the current speed zones reduced the relative lethal collision risk by an average of 51.5% to 70% compared to the scenario in which all speed regulations were removed (i.e. the no‐protection scenario). We identified optimal zones and near‐optimal zones with additional management considerations that improved upon the current zones in terms of cost or relative risk. 4.Policy Implications : Our analytical framework combines encounter rate theory and decision analysis to quantify the effectiveness of speed zones protecting manatees while accounting for uncertainty. Our approach can be used to optimize the design of protection zones intended to reduce conflicts between human waterborne activity and marine mammals. This framework could be extended to address many other problems of human‐wildlife interactions, such as the optimal placement of wind farms to minimize collisions with wildlife or the optimal allocation of ranger effort to mitigate poaching threats.

Journal of Applied Ecology

A multiscale analysis of coral reef topographic complexity using lidar-derived bathymetry

Coral reefs represent one of the most irregular substrates in the marine environment. This roughness or topographic complexity is an important structural characteristic of reef habitats that affects a number of ecological and environmental attributes, including species diversity and water circulation. Little is known about the range of topographic complexity exhibited within a reef or between different reef systems. The objective of this study was to quantify topographic complexity for a 5-km x 5-km reefscape along the northern Florida Keys reef tract, over spatial scales ranging from meters to hundreds of meters. The underlying dataset was a 1-m spatial resolution, digital elevation model constructed from lidar measurements. Topographic complexity was quantified using a fractal algorithm, which provided a multi-scale characterization of reef roughness. The computed fractal dimensions ( D ) are a measure of substrate irregularity and are bounded between values of 2 and 3. Spatial patterns in D were positively correlated with known reef zonation in the area. Landward regions of the study site contain relatively smooth ( D ≈ 2.35) flat-topped patch reefs, which give way to rougher ( D ≈ 2.5), deep, knoll-shaped patch reefs. The seaward boundary contains a mixture of substrate features, including discontinuous shelf-edge reefs, and exhibits a corresponding range of roughness values (2.28 ≤ D ≤ 2.61).

Journal of Coastal Research

Seismology at the Australian National University; an interview with Anton L. Hales

Dr. Anton L. Hales is a leading seismologist who has just retired as Director of the Research School of Earth Sciences at the Australian National University (ANU), Canberra. Prior to that, he headed the Geosciences Division at the University of Texas at Dallas, and, before that, he was Director of the Bernard Price Institute of Geophysical Research at the University of the Witwatersrand Johannesburg, South Africa. he is about to step down as President of the International Geodynamics Commission. Dr. Hales' research has involved marine geophysics, the travel times of seismic waves, and the structure of the Earth's crust and upper mantle.

Earthquake Information Bulletin (USGS)

Comparing marine and terrestrial ecosystems: Implications for the design of coastal marine reserves

Concepts and theory for the design and application of terrestrial reserves is based on our understanding of environmental, ecological, and evolutionary processes responsible for biological diversity and sustainability of terrestrial ecosystems and how humans have influenced these processes. How well this terrestrial -based theory can be applied toward the design and application of reserves in the coastal marine environment depends, in part, on the degree of similarity between these systems. Several marked differences in ecological and evolutionary processes exist between marine and terrestrial ecosystems as ramifications of fundamental differences in their physical environments (i.e., the relative prevalence of air and water) and contemporary patterns of human impacts. Most notably, the great extent and rate of dispersal of nutrients, materials, holoplanktonic organisms, and reproductive propagules of benthic organisms expand scales of connectivity among near-shore communities and ecosystems . Consequently, the "openness" of marine populations, communities, and ecosystems probably has marked influences on their spatial, genetic, and trophic structures and dynamics in ways experienced by only some terrestrial species. Such differences appear to be particularly significant for the kinds of organisms most exploited and targeted for protection in coastal marine ecosystems (fishes and macroinvertebrates). These and other differences imply some unique design criteria and application of reserves in the marine environment. In explaining the implications of these differences for marine reserve design and application, we identify many of the environmental and ecological processes and design criteria necessary for consideration in the development of the analytical approaches developed elsewhere in this Special Issue.

Ecological Applications

Influence of offshore oil and gas structures on seascape ecological connectivity

Offshore platforms, subsea pipelines, wells and related fixed structures supporting the oil and gas (O&G) industry are prevalent in oceans across the globe, with many approaching the end of their operational life and requiring decommissioning. Although structures can possess high ecological diversity and productivity, information on how they interact with broader ecological processes remains unclear. Here, we review the current state of knowledge on the role of O&G infrastructure in maintaining, altering or enhancing ecological connectivity with natural marine habitats. There is a paucity of studies on the subject with only 33 papers specifically targeting connectivity and O&G structures, although other studies provide important related information. Evidence for O&G structures facilitating vertical and horizontal seascape connectivity exists for larvae and mobile adult invertebrates, fish and megafauna; including threatened and commercially important species. The degree to which these structures represent a beneficial or detrimental net impact remains unclear, is complex and ultimately needs more research to determine the extent to which natural connectivity networks are conserved, enhanced or disrupted. We discuss the potential impacts of different decommissioning approaches on seascape connectivity and identify, through expert elicitation, critical knowledge gaps that, if addressed, may further inform decision making for the life cycle of O&G infrastructure, with relevance for other industries (e.g. renewables). The most highly ranked critical knowledge gap was a need to understand how O&G structures modify and influence the movement patterns of mobile species and dispersal stages of sessile marine species. Understanding how different decommissioning options affect species survival and movement was also highly ranked, as was understanding the extent to which O&G structures contribute to extending species distributions by providing rest stops, foraging habitat, and stepping stones. These questions could be addressed with further dedicated studies of animal movement in relation to structures using telemetry, molecular techniques and movement models. Our review and these priority questions provide a roadmap for advancing research needed to support evidence-based decision making for decommissioning O&G infrastructure.

Global Change Biology