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Applicability of ambient toxicity testing to national or regional water-quality assessment

Comprehensive assessment of the quality of natural waters requires a multifaceted approach. Descriptions of existing conditions may be achieved by various kinds of chemical and hydrologic analyses, whereas information about the effects of such conditions on living organisms depends on biological monitoring. Toxicity testing is one type of biological monitoring that can be used to identify possible effects of toxic contaminants. Based on experimentation designed to monitor responses of organisms to environmental stresses, toxicity testing may have diverse purposes in water-quality assessments. These purposes may include identification of areas that warrant further study because of poor water quality or unusual ecological features, verification of other types of monitoring, or assessment of contaminant effects on aquatic communities. Toxicity-test results are most effective when used as a complement to chemical analyses, hydrologic measurements, and other biological monitoring. However, all toxicity-testing procedures have certain limitations that must be considered in developing the methodology and applications of toxicity testing in any large-scale water-quality-assessment program. A wide variety of toxicity-test methods have been developed to fulfill the needs of diverse applications. The methods differ primarily in the selections made relative to four characteristics: (1) test species, (2) endpoint (acute or chronic), (3) test-enclosure type, and (4) test substance (toxicant) that functions as the environmental stress. Toxicity-test approaches vary in their capacity to meet the needs of large-scale assessments of existing water quality. Ambient testing, whereby the test organism is exposed to naturally occurring substances that contain toxicant mixtures in an organic or inorganic matrix, is more likely to meet these needs than are procedures that call for exposure of the test organisms to known concentrations of a single toxicant. However, meaningful interpretation of ambient test results depends on the existence of accompanying chemical analysis of the ambient media. The ambient test substance may be water or sediments. Sediment tests have had limited application, but they are useful because most toxicants tend to accumulate in sediments and many test species either inhabit the sediments or are in frequent contact with them. Biochemical testing methods, which have been developing rapidly in recent years, are likely to be among the most useful procedures for large-scale water-quality assessments. They are relatively rapid and simple, and more. importantly, they focus on biochemical changes that are the initial responses of virtually all organisms to environmental stimuli. Most species are sensitive to relatively few toxicants, and their sensitivities vary as conditions change. Therefore, each test method has particular uses and limitations, and no single test has universal applicability. One of the most informative approaches to toxicity testing is to combine biochemical tests with other test methods in a 'battery of tests' that is diversified enough to characterize different types of toxicants and different trophic levels. However, such an approach can be costly, and if not carefully designed, it may not yield enough additional information to warrant the additional cost. The application of toxicity tests to large-scale water-quality assessments is hampered by a number of difficulties. Toxicity tests often are not sensitive enough to enable detection of most contaminant problems in the natural environment. Furthermore, because sensitivities among different species and test conditions can be highly variable, conclusions about the toxicant problems of an ecosystem are strongly dependent on the test procedure used. In addition, the experimental systems used in toxicity tests cannot replicate the complexity or variability of natural conditions, and positive test results cannot identify the source or nature of

Circular↗

Permafrost mapping with electrical resistivity tomography in two wetland systems north of the Tanana River, Interior Alaska

Surface-based 2D electrical resistivity tomography (ERT) surveys were used to characterize permafrost distribution at wetland sites on the alluvial plain north of the Tanana River, 20 km southwest of Fairbanks, Alaska, in June and September 2014. The sites were part of an ecologically-sensitive research area characterizing biogeochemical response of this region to warming and permafrost thaw, and the site contained landscape features characteristic of interior Alaska, including thermokarst bog, forested permafrost plateau, and a rich fen. The results show how vegetation reflects shallow (0–10 m depth) permafrost distribution. Additionally, we saw shallow (0–3 m depth) low resistivity areas in forested permafrost plateau potentially indicating the presence of increased unfrozen water content as a precursor to ground instability and thaw. Time-lapse study from June to September suggested a depth of seasonal influence extending several meters below the active layer, potentially as a result of changes in unfrozen water content. A comparison of several electrode geometries (dipole-dipole, extended dipole-dipole, Wenner-Schlumberger) showed that for depths of interest to our study (0–10 m) results were similar, but data acquisition time with dipole-dipole was the shortest, making it our preferred geometry. The results show the utility of ERT surveys to characterize permafrost distribution at these sites, and how vegetation reflects shallow permafrost distribution. These results are valuable information for ecologically sensitive areas where ground-truthing can cause excessive disturbance. ERT data can be used to characterize the exact subsurface geometry of permafrost such that over time an understanding of changing permafrost conditions can be made in great detail. Characterizing the depth of thaw and thermal influence from the surface in these areas also provides important information as an indication of the depth to which carbon storage and microbially-mediated carbon processing may be affected.

Alaska↗

MERGANSER: an empirical model to predict fish and loon mercury in New England lakes

MERGANSER (MERcury Geo-spatial AssessmeNtS for the New England Region) is an empirical least-squares multiple regression model using mercury (Hg) deposition and readily obtainable lake and watershed features to predict fish (fillet) and common loon (blood) Hg in New England lakes. We modeled lakes larger than 8 ha (4404 lakes), using 3470 fish (12 species) and 253 loon Hg concentrations from 420 lakes. MERGANSER predictor variables included Hg deposition, watershed alkalinity, percent wetlands, percent forest canopy, percent agriculture, drainage area, population density, mean annual air temperature, and watershed slope. The model returns fish or loon Hg for user-entered species and fish length. MERGANSER explained 63% of the variance in fish and loon Hg concentrations. MERGANSER predicted that 32-cm smallmouth bass had a median Hg concentration of 0.53 μg g -1 (root-mean-square error 0.27 μg g -1 ) and exceeded EPA's recommended fish Hg criterion of 0.3 μg g -1 in 90% of New England lakes. Common loon had a median Hg concentration of 1.07 μg g -1 and was in the moderate or higher risk category of >1 μg g -1 Hg in 58% of New England lakes. MERGANSER can be applied to target fish advisories to specific unmonitored lakes, and for scenario evaluation, such as the effect of changes in Hg deposition, land use, or warmer climate on fish and loon mercury.

New England↗

Environmental drivers of demography and potential factors limiting the recovery of an endangered marine top predator

Understanding what drives changes in wildlife demography is fundamental to the conservation and management of depleted or declining populations, though making inference about the intrinsic and extrinsic factors that influence survival and reproduction remains challenging. Here we use mark–resight data from 2000 to 2018 to examine the effects of environmental variability on age-specific survival and natality for the endangered western distinct population segment (wDPS) of Steller sea lions ( Eumetopias jubatus ) in Alaska, USA. Though this population has been studied extensively over the last four decades, the causes of divergent abundance trends that have been observed across the wDPS range remain unknown. We developed a Bayesian multievent mark–resight model that accounts for female reproductive state uncertainty. Annual survival probabilities for male pups (0.44; 0.36–0.53), female yearlings (0.63; 0.49–0.73), and male yearlings (0.62; 0.51–0.71) born in the western portion of the wDPS range, estimated here for the first time, were lower than those in the eastern portion of the wDPS range, estimated as: male pups (0.69; 0.65–0.74), female yearlings (0.76; 0.71–0.81), and male yearlings (0.71; 0.65–0.78). There was a higher proportion of young female breeders in the western portion of the range, but overall natality was lower (0.69; 0.47–0.96) than in the eastern portion of the range (0.80; 0.74–0.84). Additionally, pup mass had a positive effect on pup survival in the eastern portion of the range and a negative effect in the western portion of the range, potentially due to earlier weaning of heavier pups. Local- and basin-scale oceanographic features such as the Aleutian Low, the Arctic Oscillation Index, the North Pacific Gyre Oscillation, chlorophyll concentration, upwelling, and wind in certain seasons were correlated with vital rates. However, drawing strong inferences from these correlations is challenging given that relationships between ocean conditions and an adaptive top predator in a dynamic ecosystem are exceedingly complex. This study provides the first demographic rate estimates for the western portion of the range where abundance estimates continue to decline. These results will advance efforts to identify factors driving regionally divergent abundance trends, with implications for population-level responses to future climate variability.

Alaska↗

Narrowing historical uncertainty: probabilistic classification of ambiguously identified tree species in historical forest survey data

Historical data have increasingly become appreciated for insight into the past conditions of ecosystems. Uses of such data include assessing the extent of ecosystem change; deriving ecological baselines for management, restoration, and modeling; and assessing the importance of past conditions on the composition and function of current systems. One historical data set of this type is the Public Land Survey (PLS) of the United States General Land Office, which contains data on multiple tree species, sizes, and distances recorded at each survey point, located at half-mile (0.8 km) intervals on a 1-mi (1.6 km) grid. This survey method was begun in the 1790s on US federal lands extending westward from Ohio. Thus, the data have the potential of providing a view of much of the US landscape from the mid-1800s, and they have been used extensively for this purpose. However, historical data sources, such as those describing the species composition of forests, can often be limited in the detail recorded and the reliability of the data, since the information was often not originally recorded for ecological purposes. Forest trees are sometimes recorded ambiguously, using generic or obscure common names. For the PLS data of northern Wisconsin, USA, we developed a method to classify ambiguously identified tree species using logistic regression analysis, using data on trees that were clearly identified to species and a set of independent predictor variables to build the models. The models were first created on partial data sets for each species and then tested for fit against the remaining data. Validations were conducted using repeated, random subsets of the data. Model prediction accuracy ranged from 81% to 96% in differentiating congeneric species among oak, pine, ash, maple, birch, and elm. Major predictor variables were tree size, associated species, landscape classes indicative of soil type, and spatial location within the study region. Results help to clarify ambiguities formerly present in maps of historic ecosystems for the region and can be applied to PLS datasets elsewhere, as well as other sources of ambiguous historical data. Mapping the newly classified data with ecological land units provides additional information on the distribution, abundance, and associations of tree species, as well as their relationships to environmental gradients before the industrial period, and clarifies the identities of species formerly mapped only to genus. We offer some caveats on the appropriate use of data derived in this way, as well as describing their potential.

Ecosystems↗

Fluvial transport and surface enrichment of arsenic in semi-arid mining regions: examples from the Mojave Desert, California

As a result of extensive gold and silver mining in the Mojave Desert, southern California, mine wastes and tailings containing highly elevated arsenic (As) concentrations remain exposed at a number of former mining sites. Decades of weathering and erosion have contributed to the mobilization of As-enriched tailings, which now contaminate surrounding communities. Fluvial transport plays an intermittent yet important and relatively undocumented role in the migration and dispersal of As-contaminated mine wastes in semi-arid climates. Assessing the contribution of fluvial systems to tailings mobilization is critical in order to assess the distribution and long-term exposure potential of tailings in a mining-impacted environment. Extensive sampling, chemical analysis, and geospatial mapping of dry streambed (wash) sediments, tailings piles, alluvial fans, and rainwater runoff at multiple mine sites have aided the development of a conceptual model to explain the fluvial migration of mine wastes in semi-arid climates. Intense and episodic precipitation events mobilize mine wastes downstream and downslope as a series of discrete pulses, causing dispersion both down and lateral to washes with exponential decay behavior as distance from the source increases. Accordingly a quantitative model of arsenic concentrations in wash sediments, represented as a series of overlapping exponential power-law decay curves, results in the acceptable reproducibility of observed arsenic concentration patterns. Such a model can be transferable to other abandoned mine lands as a predictive tool for monitoring the fate and transport of arsenic and related contaminants in similar settings. Effective remediation of contaminated mine wastes in a semi-arid environment requires addressing concurrent changes in the amounts of potential tailings released through fluvial processes and the transport capacity of a wash.

California↗

Seafloor habitat mapping and classification in Glacier Bay, Alaska: Phase 1 & 2 1996-2004

Glacier Bay is a diverse fjord ecosystem with multiple sills, numerous tidewater glaciers and a highly complex oceanographic system. The Bay was completely glaciated prior to the 1700’s and subsequently experienced the fastest glacial retreat recorded in historical times. Currently, some of the highest sedimentation rates ever observed occur in the Bay, along with rapid uplift (up to 2.5 cm/year) due to a combination of plate tectonics and isostatic rebound. Glacier Bay is the second deepest fjord in Alaska, with depths over 500 meters. This variety of physical processes and bathymetry creates many diverse habitats within a relatively small area (1,255 km 2 ). Habitat can be defined as the locality, including resources and environmental conditions, occupied by a species or population of organisms (Morrison et al 1992). Mapping and characterization of benthic habitat is crucial to an understanding of marine species and can serve a variety of purposes including: understanding species distributions and improving stock assessments, designing special management areas and marine protected areas, monitoring and protecting important habitats, and assessing habitat change due to natural or human impacts. In 1996, Congress recognized the importance of understanding benthic habitat for fisheries management by reauthorizing the Magnuson-Stevens Fishery Conservation and Management Act and amending it with the Sustainable Fisheries Act (SFA). This amendment emphasizes the importance of habitat protection to healthy fisheries and requires identification of essential fish habitat in management decisions. Recently, the National Park Service’s Ocean Stewardship Strategy identified the creation of benthic habitat maps and sediment maps as crucial components to complete basic ocean park resource inventories (Davis 2003). Glacier Bay National Park managers currently have very limited knowledge about the bathymetry, sediment types, and various marine habitats of ecological importance in the Park. Ocean floor bathymetry and sediment type are the building blocks of marine communities. Bottom type and shape affects the kinds of benthic communities that develop in a particular environment as well as the oceanographic conditions that communities are subject to. Accurate mapping of the ocean floor is essential for park manager’s understanding of existing marine communities and will be important in assessing human induced changes (e.g., vessel traffic and commercial fishing), biological change (e.g., rapid sea otter recolonization), and geological processes of change (e.g., deglaciation). Information on animal-habitat relationships, particularly within a marine reserve framework, will be valuable to agencies making decisions about critical habitats, marine reserve design, as well as fishery management. Identification and mapping of benthic habitat provides National Park Service mangers with tools to increase the effectiveness of resource management. The primary objective of this project is to investigate the geological characteristics of the biological habitats of halibut, Dungeness crab, king crab, and Tanner crab within Glacier Bay National Park. Additionally, habitat classification of shallow water regions of Glacier Bay will provide crucial information on the relationship between benthic habitat features and the abundance of benthic prey items for a variety of marine predators, including sea ducks, the rapidly increasing population of sea otters, and other marine mammals.

Alaska↗

Investigating lake-area dynamics across a permafrost-thaw spectrum using airborne electromagnetic surveys and remote sensing time-series data in Yukon Flats, Alaska

Lakes in boreal lowlands cycle carbon and supply an important source of freshwater for wildlife and migratory waterfowl. The abundance and distribution of these lakes are supported, in part, by permafrost distribution, which is subject to change. Relationships between permafrost thaw and lake dynamics remain poorly known in most boreal regions. Here, new airborne electromagnetic (AEM) data collected during June 2010 and February 2016 were used to constrain deep permafrost distribution. AEM data were coupled with Landsat-derived lake surface-area data from 1979 through 2011 to inform temporal lake behavior changes in the 35 500- km 2 Yukon Flats ecoregion of Alaska. Together, over 1500 km of AEM data, and roughly 30 years of Landsat data were used to explore processes that drive lake dynamics across a variety of permafrost thaw states not possible in studies conducted with satellite imagery or field measurements alone. Clustered time-series data identified lakes with similar temporal dynamics. Clusters possessed similarities in lake permanence (i.e. ephemeral versus perennial), subsurface permafrost distribution, and proximity to rivers and streams. Of the clustered lakes, ~66% are inferred to have at least intermittent connectivity with other surface-water features, ~19% are inferred to have shallow subsurface connectivity to other surface water features that served as a low-pass filter for hydroclimatic fluctuations, and ~15% appear to be isolated by surrounding permafrost (i.e. no connectivity). Integrated analysis of AEM and Landsat data reveals a progression from relatively synchronous lake dynamics among disconnected lakes in the most spatially continuous, thick permafrost to quite high spatiotemporal heterogeneity in lake behavior among variably-connected lakes in regions with notably less continuous permafrost. Variability can be explained by the preferential development of thawed permeable gravel pathways for lateral water redistribution in this area. The general spatial progression in permafrost thaw state and lake area behavior may be extended to the temporal dimension. However, extensive permafrost thaw, beyond what is currently observed, is expected to promote ubiquitous subsurface connectivity, eventually evolving to a state of increased lake synchronicity.

Alaska↗

Nutrient Concentrations and Their Relations to the Biotic Integrity of Nonwadeable Rivers in Wisconsin

Excessive nutrient [phosphorus (P) and nitrogen (N)] input from point and nonpoint sources is frequently associated with degraded water quality in streams and rivers. Point-source discharges of nutrients are fairly constant and are controlled by the U.S. Environmental Protection Agency's (USEPA) National Pollutant Discharge Elimination System. To reduce inputs from nonpoint sources, agricultural performance standards and regulations for croplands and livestock operations are being proposed by various States. In addition, the USEPA is establishing regionally based nutrient criteria that can be refined by each State to determine whether actions are needed to improve water quality. More confidence in the environmental benefits of the proposed performance standards and nutrient criteria would be possible with improved understanding of the biotic responses to a range of nutrient concentrations in different environmental settings. To achieve this general goal, the U.S. Geological Survey and the Wisconsin Department of Natural Resources collected data from 282 streams and rivers throughout Wisconsin during 2001 through 2003 to: (1) describe how nutrient concentrations and biotic-community structure differ throughout the State, (2) determine which environmental characteristics are most strongly related to the distribution of nutrient concentrations and biotic-community structure, (3) determine reference conditions for water quality and biotic indices for streams and rivers in the State, (4) determine how the biotic communities in streams and rivers in different areas of the State respond to differences in nutrient concentrations, (5) determine the best regionalization scheme to describe the patterns in reference conditions and the corresponding responses in water quality and the biotic communities (primarily for smaller streams), and (6) develop algorithms to estimate nutrient concentrations in streams and rivers from a combination of biotic indices. The ultimate goal of this study is to provide the information needed to guide the development of regionally based nutrient criteria for Wisconsin streams and rivers. In this report, data collected, primarily in 2003, from 42 nonwadeable rivers are used to describe nutrient concentrations and their relations to the biotic integrity of rivers in Wisconsin. In a separate report by Robertson and others (2006a), the data collected from 240 wadeable streams are used to describe these relations in streams in Wisconsin. Reference water-quality conditions for nonwadeable rivers were found to be similar throughout Wisconsin (approximately 0.035 milligrams per liter (mg/L) for total P (TP), 0.500 mg/L for total N (TN), 4 micrograms per liter for suspended chlorophyll a (SCHL), and greater than 110 centimeters for Secchi-tube depth (SD)). For each category of the biotic community (SCHL, macroinvertebrates, and fish), a few indices were more strongly related to differences in nutrient concentrations than were others. For the indices most strongly related to nutrient concentrations, reference conditions were obtained with a regression approach, from values corresponding to the worst 75th-percentile value from a subset of minimally impacted streams (streams having reference nutrient concentrations), and from the best 25th-percentile value of all the data. Concentrations of TP and TN in nonwadeable rivers increased as the percentage of agricultural land in the basin increased; these increases resulted in increased SCHL concentrations and decreased SDs. The responses in SDs and SCHL concentrations to changes in nutrient concentrations were similar throughout most of the State except in rivers in the southeastern part, where SCHL concentrations were lower than would be expected given their nutrient concentrations. Rivers in the southeastern part of the State had high concentrations of total suspended sediment compared to the SCHL concentrations. Many biotic indices responded to increases in nu

Professional Paper↗

Late Holocene alluvial geomorphology of the Virgin River in the Zion National Park area, southwest Utah

This study traces the geomorphic development of the alluvial valley of the Virgin River in the Zion National Park region of southwest Utah. The purpose is to identify, date, and interpret the patterns of erosion and deposition that formed the alluvial valley over the past 1,000 years. This information is a basis for understanding how the geomorphology of the alluvial valley changes under essentially natural flow conditions. Sediment in the alluvial valley is classified as mainstem or tributary in origin. Mainstem alluvium is the largest volumetrically; it is mainly light-colored sand derived from upstream sources that accumulated on now abandoned flood plains (or terraces) by overbank deposition. Tributary sediment is typically dark colored, coarse-grained sand or gravel transported to the alluvial valley by streamflow or debris flow. Tributary and mainstem sediment are interbedded near the margin of the valley, and the older deposits are truncated parallel to the river, suggesting that in time the river removes both its own deposits and those of tributaries. In the natural flow regimen, the river probably maintains a balance between erosion and deposition of mainstem and tributary deposits. Four terraces and the active channel and flood plain are widespread along the Virgin River; from oldest to youngest these are the prehistoric, settlement, historic, and modern terraces. Dating was done by archeologic context, tree-ring methods, historic documents, relocation of early photographs, and correlation with other streams on the southern Colorado Plateau. Results indicate that prehistoric deposition ended by about A.D. 1100–1200, deposition of the settlement alluvium was from about A.D. 1400–1880, development of the historic terrace was from after 1883 until 1926, deposition of the modern alluvium was from 1940–1980, and development of the active channel and flood plain was after about 1980. The principal deposits (prehistoric, settlement, and modern alluviums) are separated by two periods of stream entrenchment and channel widening referred to as the prehistoric and historic arroyo cutting, respectively. Erosional activity of roughly similar age occurred in most southern Colorado Plateau streams. The early erosion is not well dated in the study area, although regional relations suggest A.D. 1200–1400, if not somewhat earlier. Historic arroyo cutting began after 1883 in the study area and continued until around 1940 when deposition of the modern alluvium began. Both erosions affected the human population of the region. Although the dating is imprecise, the Anasazi probably abandoned the region during prehistoric arroyo cutting, partly because of adverse environmental conditions. Likewise, historic arroyo cutting caused major losses of property and economic hardship among Anglo settlers. Erosion and deposition were largely contemporaneous with variations in streamflow. Long-term streamflow of the Virgin River was estimated from calibration of annual tree growth with measured streamflow. Results indicate that erosion was during periods of unusually high streamflow and that deposition was during periods of relatively low streamflow. These relations are best illustrated by historic arroyo cutting and subsequent deposition of the modern alluvium. Precipitation and runoff immediately before and during historic arroyo cutting were the most unusual of the past 300 years; they varied from the driest immediately preceding erosion to the wettest during erosion. Deposition of the modern alluvium was during relatively low runoff after 1940. High runoff destabilizes the channel, enhancing flood erosion. Conversely, relatively low runoff increases channel stability, reducing the erosional effect of floods and enhancing flood plain deposition. Adjustments in the width and depth of the channel are frequent, even after relatively small, short-term variations of streamflow.

Utah↗

Mapping of Florida's coastal and marine resources: Setting priorities workshop

The importance of mapping habitats and bioregions as a means to improve resource management has become increasingly clear. Large areas of the waters surrounding Florida are unmapped or incompletely mapped, possibly hindering proper management and good decisionmaking. Mapping of these ecosystems is among the top priorities identified by the Florida Oceans and Coastal Council in their Annual Science Research Plan. However, lack of prioritization among the coastal and marine areas and lack of coordination of agency efforts impede efficient, cost–effective mapping. A workshop on Mapping of Florida’s Coastal and Marine Resources was sponsored by the U.S. Geological Survey (USGS), Florida Department of Environmental Protection (FDEP), and Southeastern Regional Partnership for Planning and Sustainability (SERPPAS). The workshop was held at the USGS Florida Integrated Science Center (FISC) in St. Petersburg, FL, on February 7-8, 2007. The workshop was designed to provide State, Federal, university, and non-governmental organizations (NGOs) the opportunity to discuss their existing data coverage and create a prioritization of areas for new mapping data in Florida. Specific goals of the workshop were multifold, including to: provide information to agencies on state-of-the-art technology for collecting data; inform participants of the ongoing mapping programs in waters off Florida; present the mapping needs and priorities of the State and Federal agencies and entities operating in Florida; work with State of Florida agencies to establish an overall priority for areas needing mapping; initiate discussion of a unified classification of habitat and bioregions; discuss and examine the need to standardize terminology and data collection/storage so that data, in particular habitat data, can be shared; identify opportunities for partnering and leveraging mapping efforts among agencies and entities; identify impediments and organizational gaps that hinder collection of data for mapping; seek innovative solutions to the primary obstacles identified; identify the steps needed to move mapping of Florida’s oceans and coasts forward, in preparation for a better coordinated, more cost-effective mapping program to allow State and Federal agencies to make better decisions on coastal-resource issues. Over 90 invited participants representing more than 30 State and Federal agencies, universities, NGOs, and private industries played a large role in the success of this two-day workshop. State of Florida agency participants created a ranked priority order for mapping 13 different regions around Florida. The data needed for each of the 13 priority regions were outlined. A matrix considering State and Federal priorities was created, utilizing input from all agencies. The matrix showed overlapping interests of the entities and will allow for partnering and leveraging of resources. The five most basic mapping needs were determined to be bathymetry, high-vertical resolution coastline for sea-level rise scenarios, shoreline change, subsurface geology, and benthic habitats at sufficient scale. There was a clear convergence on the need to coordinate mapping activities around the state. Suggestions for coordination included: creating a glossary of terms: a standard for specifying agency data-mapping needs; creating a geographic information officer (GIO) position or permanent organizing group to maintain communications established at this workshop and to maintain progress on the issues identified during the workshop. The person or group could develop a website, maintain a project-status matrix, develop a list of contacts, create links to legislative updates and links to funding sources; developing a web portal and one-stop/clearinghouse of data. There was general consensus on the need to adopt a single habitat classification system and a strategy to accommodate existing systems smoothly. Unresolved aspects of the systems warrant that a separate workshop would be needed to work out details. Participants recognized that the State priority list would necessarily be updated periodically. An annual review of priorities would facilitate information exchange, mapping activities updates, and re-allocation of funding among changing priorities. It was recognized that mapping of State waters would take billions of dollars and in light of tightening budgets there was need for processes that could be used to appropriate or leverage monies for mapping and reduce data-collection costs. Fourteen different avenues were explored. There was a clear consensus that the linking of public to private partnerships to support mapping was imperative, and ways to achieve this were discussed.

Florida↗

Pharmaceutical pollution of the world’s rivers

Environmental exposure to active pharmaceutical ingredients (APIs) can have negative effects on the health of ecosystems and humans. While numerous studies have monitored APIs in rivers, these employ different analytical methods, measure different APIs, and have ignored many of the countries of the world. This makes it difficult to quantify the scale of the problem from a global perspective. Furthermore, comparison of the existing data, generated for different studies/regions/continents, is challenging due to the vast differences between the analytical methodologies employed. Here, we present a global-scale study of API pollution in 258 of the world’s rivers, representing the environmental influence of 471.4 million people across 137 geographic regions. Samples were obtained from 1,052 locations in 104 countries (representing all continents and 36 countries not previously studied for API contamination) and analyzed for 61 APIs. Highest cumulative API concentrations were observed in sub-Saharan Africa, south Asia, and South America. The most contaminated sites were in low- to middle-income countries and were associated with areas with poor wastewater and waste management infrastructure and pharmaceutical manufacturing. The most frequently detected APIs were carbamazepine, metformin, and caffeine (a compound also arising from lifestyle use), which were detected at over half of the sites monitored. Concentrations of at least one API at 25.7% of the sampling sites were greater than concentrations considered safe for aquatic organisms, or which are of concern in terms of selection for antimicrobial resistance. Therefore, pharmaceutical pollution poses a global threat to environmental and human health, as well as to delivery of the United Nations Sustainable Development Goals.

Proceedings of the National Academy of Sciences↗

Effects of brine contamination from energy development on wetland macroinvertebrate community structure in the Prairie Pothole Region

Wetlands in the Prairie Pothole Region (PPR) of North America support macroinvertebrate communities that are integral to local food webs and important to breeding waterfowl. Macroinvertebrates in PPR wetlands are primarily generalists and well adapted to within and among year changes in water permanence and salinity. The Williston Basin, a major source of U.S. energy production, underlies the southwest portion of the PPR. Development of oil and gas results in the coproduction of large volumes of highly saline, sodium chloride dominated water (brine) and the introduction of brine can alter wetland salinity. To assess potential effects of brine contamination on macroinvertebrate communities, 155 PPR wetlands spanning a range of hydroperiods and salinities were sampled between 2014 and 2016. Brine contamination was documented in 34 wetlands with contaminated wetlands having significantly higher chloride concentrations, specific conductance and percent dominant taxa, and significantly lower taxonomic richness, Shannon diversity, and Pielou evenness scores compared to uncontaminated wetlands. Non-metric multidimensional scaling found significant correlations between several water quality parameters and macroinvertebrate communities. Chloride concentration and specific conductance, which can be elevated in naturally saline wetlands, but are also associated with brine contamination, had the strongest correlations. Five wetland groups were identified from cluster analysis with many of the highly contaminated wetlands located in a single cluster. Low or moderately contaminated wetlands were distributed among the remaining clusters and had macroinvertebrate communities similar to uncontaminated wetlands. While aggregate changes in macroinvertebrate community structure were observed with brine contamination, systematic changes were not evident, likely due to the strong and potentially confounding influence of hydroperiod and natural salinity. Therefore, despite the observed negative response of macroinvertebrate communities to brine contamination, macroinvertebrate community structure alone is likely not the most sensitive indicator of brine contamination in PPR wetlands.

Montana, North Dakota↗

Investigating Seed Longevity of Big Sagebrush (Artemisia tridentata)

The Intermountain West is dominated by big sagebrush communities (Artemisia tridentata subspecies) that provide habitat and forage for wildlife, prevent erosion, and are economically important to recreation and livestock industries. The two most prominent subspecies of big sagebrush in this region are Wyoming big sagebrush (A. t. ssp. wyomingensis) and mountain big sagebrush (A. t. ssp. vaseyana). Increased understanding of seed bank dynamics will assist with sustainable management and persistence of sagebrush communities. For example, mountain big sagebrush may be subjected to shorter fire return intervals and prescribed fire is a tool used often to rejuvenate stands and reduce tree (Juniperus sp. or Pinus sp.) encroachment into these communities. A persistent seed bank for mountain big sagebrush would be advantageous under these circumstances. Laboratory germination trials indicate that seed dormancy in big sagebrush may be habitat-specific, with collections from colder sites being more dormant. Our objective was to investigate seed longevity of both subspecies by evaluating viability of seeds in the field with a seed retrieval experiment and sampling for seeds in situ. We chose six study sites for each subspecies. These sites were dispersed across eastern Oregon, southern Idaho, northwestern Utah, and eastern Nevada. Ninety-six polyester mesh bags, each containing 100 seeds of a subspecies, were placed at each site during November 2006. Seed bags were placed in three locations: (1) at the soil surface above litter, (2) on the soil surface beneath litter, and (3) 3 cm below the soil surface to determine whether dormancy is affected by continued darkness or environmental conditions. Subsets of seeds were examined in April and November in both 2007 and 2008 to determine seed viability dynamics. Seed bank samples were taken at each site, separated into litter and soil fractions, and assessed for number of germinable seeds in a greenhouse. Community composition data from each site, as well as several environmental variables, were used to evaluate seed viability within the context of habitat variation. Initial viability of seeds used in the seed retrieval experiment was 81 and 92 percent for mountain and Wyoming big sagebrush, respectively. After remaining in the field for 24 months, buried Wyoming big sagebrush seeds retained 28-58 percent viability,11-23 percent of seeds under litter remained viable, and no seeds remained viable on the surface (estimates are 95-percent confidence intervals). The odds of remaining viable did not change from 12 to 24 months. However, after 24 months the odds of seeds beneath litter being viable decreased to 75 percent of the odds of viability at 12 months. Similar to Wyoming big sagebrush, buried seeds of mountain big sagebrush were 31-68 percent viable, seeds under litter retained 10-22 percent of their viability, and no surface seeds were viable after 24 months. Both subspecies of big sagebrush had some portion of seed that remained viable for more than one growing season provided they were buried or under litter. Although seeds beneath litter may remain viable in intact communities, seeds are susceptible to incineration during fires. Nine months after seed dispersal, seed bank estimates for Wyoming big sagebrush ranged from 19 to 49 viable seeds/m2 in litter samples and 19-57 viable seeds/m2 in soil samples (95-percent confidence interval). For mountain big sagebrush, estimates were 27-75 viable seeds/m2 in litter samples and 54-139 viable seeds/m2 in soil (95-percent confidence interval). The number of viable seeds present in the seed bank 9 months after seed dispersal was not significantly different from the number present immediately after seed dispersal. Seed viability was highest in mountain big sagebrush sites for seeds on the surface and beneath litter, but decreased after one season. Buried seeds of both subspecies were in equal abundances and may be insulated from the effect

Open-File Report↗

Climate change and pulse migration: Intermittent Chugach Inuit occupation of glacial fiords on the Kenai Coast, Alaska

For millennia, Inuit peoples of the Arctic and Subarctic have been challenged by the impacts of climate change on the abundance of key subsistence species. Responses to climate-induced declines in animal populations included switching to alternative food sources and/or migrating to regions of greater availability. We examine these dynamics for the Chugach Inuit (Sugpiat) people of southern coastal Alaska by synthesizing a large body of evidence from archeological sites, including radiocarbon dates and archaeofaunal assemblages, and by applying contemporary knowledge of glaciomarine ecosystems, spatial patterns of resource richness, and ocean-climate induced regime shifts in the Gulf of Alaska. We hypothesize that Chugach groups migrated from Cook Inlet and Prince William Sound to the Kenai Peninsula during periods of low sea surface temperatures (SSTs) to harvest harbor seals, which were seasonally aggregated near tidewater glaciers during pupping season, as well as piscivorous seabirds, Pacific cod, and other species that thrive under cool ocean conditions. During warming phases, the Chugach returned to Cook Inlet and Prince William Sound to fish for salmon and other species that abound during higher SSTs. Drivers of this coupled human-natural system of repeated (pulse) migration include the Pacific Decadal Oscillation (PDO), the dominant pattern of sea surface temperatures in the North Pacific that has been shown to generate step-like regime shifts in the marine food web; and coastal glaciers that structure the functioning of fiord ecosystems and support high levels of biological productivity. The culturally-constructed Chugach niche in the glaciomarine habitat of the Gulf of Alaska was based on intergenerationally transmitted ecological knowledge that enabled a resilient, mobile response to climate and resource variation.

Alaska↗

A Great Lakes atmospheric mercury monitoring network: evaluation and design

As many as 51 mercury (Hg) wet-deposition-monitoring sites from 4 networks were operated in 8 USA states and Ontario, Canada in the North American Great Lakes Region from 1996 to 2010. By 2013, 20 of those sites were no longer in operation and approximately half the geographic area of the Region was represented by a single Hg-monitoring site. In response, a Great Lakes Atmospheric Mercury Monitoring (GLAMM) network is needed as a framework for regional collaboration in Hg-deposition monitoring. The purpose of the GLAMM network is to detect changes in regional atmospheric Hg deposition related to changes in Hg emissions. An optimized design for the network was determined to be a minimum of 21 sites in a representative and approximately uniform geographic distribution. A majority of the active and historic Hg-monitoring sites in the Great Lakes Region are part of the National Atmospheric Deposition Program (NADP) Mercury Deposition Network (MDN) in North America and the GLAMM network is planned to be part of the MDN. To determine an optimized network design, active and historic Hg-monitoring sites in the Great Lakes Region were evaluated with a rating system of 21 factors that included characteristics of the monitoring locations and interpretations of Hg data. Monitoring sites were rated according to the number of Hg emissions sources and annual Hg emissions in a geographic polygon centered on each site. Hg-monitoring data from the sites were analyzed for long-term averages in weekly Hg concentrations in precipitation and weekly Hg-wet deposition, and on significant temporal trends in Hg concentrations and Hg deposition. A cluster analysis method was used to group sites with similar variability in their Hg data in order to identify sites that were unique for explaining Hg data variability in the Region. The network design included locations in protected natural areas, urban areas, Great Lakes watersheds, and in proximity to areas with a high density of annual Hg emissions and areas with high average weekly Hg wet deposition. In a statistical analysis, relatively strong, positive correlations in the wet deposition of Hg and sulfate were shown for co-located NADP Hg-monitoring and acid-rain monitoring sites in the Region. This finding indicated that efficiency in regional Hg monitoring can be improved by adding new Hg monitoring to existing NADP acid-rain monitoring sites. Implementation of the GLAMM network design will require Hg-wet-deposition monitoring to be: (a) continued at 12 MDN sites active in 2013 and (b) restarted or added at 9 NADP sites where it is absent in 2013. Ongoing discussions between the states in the Great Lakes Region, the Lake Michigan Air Directors Consortium (a regional planning entity), the NADP, the U.S. Environmental Protection Agency, and the U.S. Geological Survey are needed for coordinating the GLAMM network.

Great Lakes↗

Nitrogen isotopes indicate vehicle emissions and biomass burning dominate ambient ammonia across Colorado's Front Range urban corridor

Urban ammonia (NH 3 ) emissions contribute to poor local air quality and can be transported to rural landscapes, impacting sensitive ecosystems. The Colorado Front Range urban corridor encompasses the Denver Metropolitan Area, rural farmland/rangeland and montane forest between the city and the Rocky Mountains. Reactive nitrogen emissions from the corridor are partly responsible for increased N deposition to the wildland-urban interface (WUI) in this region. To determine the significance of individual NH 3 sources to WUI ecosystems, we measured the concentration and isotopic composition (δ 15 N–NH 3 ) of ambient NH 3(g) from April to October 2018 across a five-site urban to rural gradient in the corridor. The urban sites had higher NH 3 concentrations and δ 15 N–NH 3 values than the rural/suburban sites. Based on isotope mixing models, NH 3 emission source contributions for all sites were fertilizer (12 ± 5.7%), livestock waste (18 ± 12%), vehicles (37 ± 23%), and biomass burning (34 ± 20%). Vehicle contributions were consistent across all months with an average of 35% and summer months showed a peak in biomass burning contributions (40%). As wildfires are projected to increase due to climate change, we stress a need for constraints on the isotopic signature of NH 3 emitted from wildfires. Vehicle emissions contributed the greatest amount of NH 3 (40%) at the urban sites while rural/suburban sites had higher agricultural contributions (41%). Had 2018 not had an anomalously high wildfire season, 46% and 60% of the NH 3 would have been attributed to vehicle emissions at the WUI site and urban sites, respectively. NH 3 emissions have historically been ascribed to agricultural activities but these findings illustrate the universal significance of vehicle emissions and the potential for sustained wildfire activity to be a primary contributor to NH 3 . Air quality (e.g., particulate matter) and nitrogen deposition reduction plans may benefit by including management practices that address vehicle NH 3 emissions.

Colorado↗

Status and trends of total nitrogen and total phosphorus concentrations, loads, and yields in streams of Mississippi, water years 2008–18

To assess the status and trends of conditions of surface waters throughout Mississippi, the U.S. Geological Survey, in cooperation with the Mississippi Department of Environmental Quality (MDEQ), summarized concentrations and estimated loads, yields, trends, and spatial and temporal patterns of total nitrogen (TN) and total phosphorus (TP) at 20 stream sites in MDEQ’s ambient water-quality monitoring network and 2 stream sites in the U.S. Geological Survey’s National Water-Quality Assessment Project’s monitoring network. Comparison of streamflow at the time of water-quality sample collection to flow-duration curves for each site showed that samples were relatively evenly spread over a wide range of flows, indicating that load estimations were representative of a wide range of flows. Relation of streamflow to concentrations of TN and TP varied among sites and land use. Sites with high agriculture land use in the drainage basin tended to have a positive correlation between streamflow and concentration, suggesting influence of event-driven nonpoint-source runoff. Sites near urban (developed) areas tended to have a negative correlation between streamflow and concentration, suggesting chronic point-source influences during low-flow conditions. Sites with high forest land use and lower agriculture and urban (developed) land use showed little to no association between streamflow and concentration. Seasonal distributions of concentrations of TN and TP also corresponded closely with variations in land use. Sites near urban (developed) land had the highest concentrations in late summer and fall, sites with a high percentage of agricultural land had the highest concentrations in the spring, and sites that were primarily forested or with little developed land did not exhibit substantial changes in concentration across seasons. Eight sites had statistical likelihoods for upward trends of TN loads, and seven sites had statistical likelihoods for downward trends. Trends in TN loads at six sites were considered “about as likely as not,” meaning that a site has an equal chance of having an upward or downward trend. Trend results of mean annual flow-normalized loads of TP for the period of analysis (2008–18) showed that 16 sites had upward trends, 3 sites had downward trends, and 2 sites were considered “about as likely as not.” Results from our study were compared to results from existing regional models to assess accuracy of predictions at a local scale. Comparisons of yields predicted from 2012 regional-scale SPAtially Referenced Regressions on Watershed attributes (SPARROW) to results from this study showed the 2012 SPARROW-predicted estimates varied in consistency with results from this study. The 2012 SPARROW-prediction model underestimated TN yields, more often and by a slightly larger degree, more than it overestimated TN yields. The 2012 SPARROW-predicted model tended to underestimate yields at study sites with higher yields. All four sites in the predominantly agricultural area of northwest Mississippi, locally known as the Mississippi Delta, were underestimated by 2012 SPARROW. For TP, yield comparisons at sites with lower yields were consistent, yields at sites with midrange yields tended to be overestimated by SPARROW, and yields at sites with high yields tended to be underestimated by SPARROW. TP yields at four sites in the Mississippi Delta were underestimated by the 2012 SPARROW-predicted model. Results of select sites from our study were also compared to other published load estimates from an earlier time period to evaluate possible trends. Comparison of TN yields at four sites and TP yields at three sites from the study-derived estimates to estimates made from data spanning 1993–2004 showed decreasing TN yields at all four sites and decreasing TP yields at two of three sites, with increasing yields of TP at the Yazoo River lower site. Also, a third comparison of the TN and TP yields of the Yazoo River lower site of this study to estimates made from data spanning 1996–97 showed decreasing TN yields but similar TP yields. This suggests that TN yields may have decreased over the last 20–30 years, but TP yields remain constant or are increasing.

Mississippi↗