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Sediment sources and connectivity linked to hydrologic pathways and geomorphic processes: A conceptual model to specify sediment sources and pathways through space and time

Sediment connectivity is a framework for transfer and storage of sediment among different geomorphic compartments across upland and channel network of the catchment sediment cascade. Sediment connectivity and dysconnectivity (i.e., source delivery and storage processes) are linked to the water cycle and hydrologic systems with the associated multiscale interactions with climate, soil, topography, ecology, and landuse/landcover under natural variability and human intervention. We review the sediment connectivity concept and frameworks developed in the last few decades to examine and quantify water and sediment transfer in catchment systems. Past conceptual models of connectivity have attempted to integrate multiple processes into sediment domain, including geomorphic, hydrologic, and ecological processes (i.e., “holistic approach to connectivity”). In particular, multiple studies highlight the importance of sediment and water interaction in defining landscape connectivity. There are also efforts to quantify the topographic controls on sediment connectivity, in the advent of increasingly high-resolution digital terrain models. More recent modeling efforts have integrated structural and functional connectivity through coupling topographic information with hydrologic simulation models. Though this recent modeling development is encouraging, a comprehensive sediment connectivity framework that integrates geomorphic and hydrologic processes across spatiotemporal scales is yet to be conceived. Such an effort will require understanding the governing hydrologic and geomorphic processes that control sediment source, storage, and transport. A conceptual model is proposed to describe dominant hydrologic-sediment connectivity regimes through spatial-temporal feedbacks between hydrologic processes (rainfall, flow routing, and water residence time) and geomorphic drivers (upland soil erosion and deposition, and geomorphic channel erosion and deposition response). Recent advancements in landscape monitoring techniques using geochemical tracers, remote-sensing, increasing availability of hydrologic monitoring data, and the integration of various analytic methods (e.g., isotopic hydrograph separation, stormflow concentration-discharge, hysteretic behavior analysis) have the potential to broaden the spatial and temporal scales of geomorphic observations and understanding of landscape sediment connectivity. Using the conceptual model as a “thinking” space, we examine sediment and hydrologic interactions in real world examples of watershed studies using multiple lines of evidence and modeling techniques.

Conference Paper

Prospects of pollinator community surveillance using terrestrial environmental DNA metagenetics

Current pollinator survey methods exhibit bias, require highly-trained practitioners, and are difficult to scale to large sample sizes. High-throughput sequencing of terrestrial eDNA could provide a complementary tool for studying pollinator communities, but eDNA methods have not been extensively evaluated. We conducted metagenetic analysis of whole arthropod community eDNA from 20 flower and seven honey bee-collected pollen samples and compared eDNA-derived data with traditional netting-based surveys of the pollinator communities present during sampling. We focused our analysis on Anthophila (bees) and detected eight bee genera belonging to four families across COI, 16S, and 28S markers. Results varied considerably by marker and eDNA substrate. Detected bee genera were plausible for the study system and about 43 percent of total bee genera were detected with both eDNA and net-based surveys, though netting resulted in more detections across a wider diversity of genera. Data from sequenced controls suggest that eDNA identifications were unlikely to have resulted from cross-contamination. Our results demonstrate that bee communities can be documented with eDNA techniques and that the choice of marker and substrate substantially influences detection. Future improvements to our methods are required, but eDNA surveys appear well-suited to characterize diverse pollinator communities and provide novel sampling perspectives within plant-pollinator networks. Future efforts should focus on improving the selection of markers available for pollinator eDNA metagenetics, addressing taxonomic gaps within reference sequence databases and optimizing sampling and eDNA isolation protocols. We anticipate that such improvements are highly feasible and that eDNA will be a useful tool to those who study pollinators and plant-pollinator interactions.

Environmental DNA

Methods of detecting and counting raptors: A review

Most raptors are wide-ranging, secretive, and occur at relatively low densities. These factors, in conjunction with the nocturnal activity of owls, cause the counting of raptors by most standard census and survey efforts to be very time consuming and expensive. This paper reviews the most common methods of detecting and counting raptors. It is hoped that it will be of use to the ever-increasing number of biologists, land-use planners, and managers that must determine the occurrence, density, or population dynamics of raptors. Road counts of fixed station or continuous transect design are often used to sample large areas. Detection of spontaneous or elicited vocalizations, especially those of owls, provides a means of detecting and estimating raptor numbers. Searches for nests are accomplished from foot surveys, observations from automobiles and boats, or from aircraft when nest structures are conspicuous (e.g., Osprey). Knowledge of nest habitat, historic records, and inquiries of local residents are useful for locating nests. Often several of these techniques are combined to help find nest sites. Aerial searches have also been used to locate or count large raptors (e.g., eagles), or those that may be conspicuous in open habitats (e.g., tundra). Counts of birds entering or leaving nest colonies or colonial roosts have been attempted on a limited basis. Results from Christmas Bird Counts have provided an index of the abundance of some species. Trapping and banding generally has proven to be an inefficient method of detecting raptors or estimating their populations. Concentrations of migrants at strategically located points around the world afford the best opportunity to count many rap tors in a relatively short period of time, but the influence of many unquantified variables has inhibited extensive interpretation of these counts. Few data exist to demonstrate the effectiveness of these methods. We believe more research on sampling techniques, rather than complete counts or intensive searches, will provide adequate yet affordable estimates of raptor numbers in addition to providing methods for detecting the presence of raptors on areas of interest to researchers and managers.

Book chapter

Modeling vegetation heights from high resolution stereo aerial photography: an application for broad-scale rangeland monitoring

Vertical vegetation structure in rangeland ecosystems can be a valuable indicator for assessing rangeland health and monitoring riparian areas, post-fire recovery, available forage for livestock, and wildlife habitat. Federal land management agencies are directed to monitor and manage rangelands at landscapes scales, but traditional field methods for measuring vegetation heights are often too costly and time consuming to apply at these broad scales. Most emerging remote sensing techniques capable of measuring surface and vegetation height (e.g., LiDAR or synthetic aperture radar) are often too expensive, and require specialized sensors. An alternative remote sensing approach that is potentially more practical for managers is to measure vegetation heights from digital stereo aerial photographs. As aerial photography is already commonly used for rangeland monitoring, acquiring it in stereo enables three-dimensional modeling and estimation of vegetation height. The purpose of this study was to test the feasibility and accuracy of estimating shrub heights from high-resolution (HR, 3-cm ground sampling distance) digital stereo-pair aerial images. Overlapping HR imagery was taken in March 2009 near Lake Mead, Nevada and 5-cm resolution digital surface models (DSMs) were created by photogrammetric methods (aerial triangulation, digital image matching) for twenty-six test plots. We compared the heights of individual shrubs and plot averages derived from the DSMs to field measurements. We found strong positive correlations between field and image measurements for several metrics. Individual shrub heights tended to be underestimated in the imagery, however, accuracy was higher for dense, compact shrubs compared with shrubs with thin branches. Plot averages of shrub height from DSMs were also strongly correlated to field measurements but consistently underestimated. Grasses and forbs were generally too small to be detected with the resolution of the DSMs. Estimates of vertical structure will be more accurate in plots having low herbaceous cover and high amounts of dense shrubs. Through the use of statistically derived correction factors or choosing field methods that better correlate with the imagery, vegetation heights from HR DSMs could be a valuable technique for broad-scale rangeland monitoring needs.

California;Nevada

Application of SAXS and SANS in evaluation of porosity, pore size distribution and surface area of coal

This paper discusses the applicability of small angle X-ray scattering (SAXS) and small angle neutron scattering (SANS) techniques for determining the porosity, pore size distribution and internal specific surface area in coals. The method is noninvasive, fast, inexpensive and does not require complex sample preparation. It uses coal grains of about 0.8 mm size mounted in standard pellets as used for petrographic studies. Assuming spherical pore geometry, the scattering data are converted into the pore size distribution in the size range 1 nm (10 A??) to 20 ??m (200,000 A??) in diameter, accounting for both open and closed pores. FTIR as well as SAXS and SANS data for seven samples of oriented whole coals and corresponding pellets with vitrinite reflectance (Ro) values in the range 0.55% to 5.15% are presented and analyzed. Our results demonstrate that pellets adequately represent the average microstructure of coal samples. The scattering data have been used to calculate the maximum surface area available for methane adsorption. Total porosity as percentage of sample volume is calculated and compared with worldwide trends. By demonstrating the applicability of SAXS and SANS techniques to determine the porosity, pore size distribution and surface area in coals, we provide a new and efficient tool, which can be used for any type of coal sample, from a thin slice to a representative sample of a thick seam. ?? 2004 Elsevier B.V. All rights reserved.

International Journal of Coal Geology

Mississippi River streamflow measurement techniques at St. Louis, Missouri

Streamflow measurement techniques of the Mississippi River at St. Louis have changed through time (1866–present). In addition to different methods used for discrete streamflow measurements, the density and range of discrete measurements used to define the rating curve (stage versus streamflow) have also changed. Several authors have utilized published water surface elevation (stage) and streamflow data to assess changes in the rating curve, which may be attributed to be caused by flood control and/or navigation structures. The purpose of this paper is to provide a thorough review of the available flow measurement data and techniques and to assess how a strict awareness of the limitations of the data may affect previous analyses. It is concluded that the pre-1930s discrete streamflow measurement data are not of sufficient accuracy to be compared with modern streamflow values in establishing long-term trends of river behavior.

Missouri

High-frequency Rayleigh-wave method

High-frequency (≥2 Hz) Rayleigh-wave data acquired with a multichannel recording system have been utilized to determine shear (S)-wave velocities in near-surface geophysics since the early 1980s. This overview article discusses the main research results of high-frequency surface-wave techniques achieved by research groups at the Kansas Geological Survey and China University of Geosciences in the last 15 years. The multichannel analysis of surface wave (MASW) method is a non-invasive acoustic approach to estimate near-surface S-wave velocity. The differences between MASW results and direct borehole measurements are approximately 15% or less and random. Studies show that simultaneous inversion with higher modes and the fundamental mode can increase model resolution and an investigation depth. The other important seismic property, quality factor ( Q ), can also be estimated with the MASW method by inverting attenuation coefficients of Rayleigh waves. An inverted model (S-wave velocity or Q ) obtained using a damped least-squares method can be assessed by an optimal damping vector in a vicinity of the inverted model determined by an objective function, which is the trace of a weighted sum of model-resolution and model-covariance matrices. Current developments include modeling high-frequency Rayleigh-waves in near-surface media, which builds a foundation for shallow seismic or Rayleigh-wave inversion in the time-offset domain; imaging dispersive energy with high resolution in the frequency-velocity domain and possibly with data in an arbitrary acquisition geometry, which opens a door for 3D surface-wave techniques; and successfully separating surface-wave modes, which provides a valuable tool to perform S-wave velocity profiling with high-horizontal resolution.

Earth Science

The gold pan: A neglected geological tool

The gold pan is ordinarily regarded as a tool for sampling placer deposits. Another and very important application is shown to be the sampling and study of decomposed bedrock, in regions where outcrops of hardrock are scarce or lacking. This technique was proposed and used by Derby, an American geologist who worked for many years in Brazil. The importance of this method has not been generally recognized, and the writer recalls it to the attention of geologists. An important application is shown to exist in the study of the decomposed bedrock, known as saprolite, that is so widespread in the Piedmont province of the southeastern United States. Using this technique, two projects have already been successfully completed in this region, and the success attained in both sets a new standard for geological exploration and mapping in areas where saprolite constitutes the dominant type of exposure. The technique of panning for heavy and semiheavy accessory minerals is described. Types of pans, factors in panning, the operation of panning, and the processing of concentrates in the field are briefly discussed. The gold pan, in the hands of an experienced operator, is shown to be a versatile and efficient field tool, which is completely independent of laboratory facilities. © 1954 Society of Economic Geologists, Inc.

Economic Geology

Data integration using color space transforms

The demand for increased spatial resolution without sacrificing spectral discrimination can be fulfilled by integration of data from different sensor systems and satellite programs. Data of high spatial resolution are frequently available in panchromatic (black-and-white) form rather than multispectral. Techniques gave been developed to combine the higher resolution panchromatic data with a multispectral data set of lower spatial resolution. The standard method of integration modulates the intensity of the mutispectral with the panchromatic data. A less subjective approach uses an algorithm that describes color in terms of intensity (I), hue (H), and saturation (S). Combinations of high resolution panchromatic data (SPOT panchromatic) and lower resolution multispectral data [Landsat thematic mapper (TM), SPOT XS] have been developed. The SPOT data were acquired on April 3, 1986, and the Landsat TM data were acquired on April 5, 1986. The data sets were registered to each other and the multi-spectral data sets were contrast enhanced. The enhanced multispectral data sets were then transformed from red/green/blue (RGB) color space into IHS space. In each case (TM/SPOT panchromatic and SPOT XS/SPOT panchromatic), the SPOT panchromatic data were remapped on a cumulative histogram percentage basis to match the multispectral "I" data. These remapped SPOT panchromatic data were substituted for the original multispectral "I" and the hybrid IHS data transformed back into RGB space for display. While this technique is experimental and still being refined, the results, to date, indicate that the IHS method will be valuable for generating improved images that effectively present both high resolution spatial digital data and multispectral data.

Pecora XI Symposium

Determination of hydraulic conductivity in three dimensions and its relation to dispersivity: Chapter D in Ground-water contamination by crude oil at the Bemidji, Minnesota, research site; US Geological Survey Toxic Waste--ground-water contamination study

Recent investigations suggest that dispersion in aquifers is scale dependent and a function of the heterogeneity of aquifer materials. Theoretical stochastic studies indicate that determining hydraulic-conductivity variability in three dimensions is important in analyzing the dispersion process. Even though field methods are available to approximate hydraulic conductivity in three dimensions, the methods are not generally used because of high cost of field equipment and because measurement and analysis techniques are cumbersome and time consuming. The hypothesis of this study is that field-determined values of dispersivity are scale dependent and that they may be described as a function of hydraulic conductivity in three dimensions. The objectives of the study at the Bemidji research site are to (1) determine hydraulic conductivity of the porous media in three dimensions, (2) determine field values of dispersivity and its scale dependence on hydraulic conductivity, and (3) develop and apply a computerized data-collection, storage, and analysis system for field use in comprehensive determination of hydraulic conductivity and dispersivity. Plans for this investigation involve a variety of methods of analysis. Hydraulic conductivity will be determined separately in the horizontal and vertical planes of the hydraulic-conductivity ellipsoid. Field values of dispersivity will be determined by single-well and doublet-well injection or withdrawal tests with tracers. A computerized data-collection, storage, and analysis system to measure pressure, flow rate, tracer concentrations, and temperature will be designed for field testing. Real-time computer programs will be used to analyze field data. The initial methods of analysis will be utilized to meet the objectives of the study. Preliminary field data indicate the aquifer underlying the Bemidji site is vertically heterogeneous, cross-bedded outwash. Preliminary analysis of the flow field around a hypothetical doublet-well tracer test indicates that the location of the wells can affect the field value of dispersivity. Preliminary analysis also indicates that different values of dispersivity may result from anisotropic conditions in tests in which observation wells are located at equal radial distances from either the injection or withdrawal well.

Water-Resources Investigations Report

Raster and vector processing for scanned linework

An investigation of raster editing techniques, including thinning, filling, and node detecting, was performed by using specialized software. The techniques were based on encoding the state of the 3-by-3 neighborhood surrounding each pixel into a single byte. A prototypical method for converting the edited raster linkwork into vectors was also developed. Once vector representations of the lines were formed, they were formatted as a Digital Line Graph, and further refined by deletion of nonessential vertices and by smoothing with a curve-fitting technique.

Photogrammetric Engineering and Remote Sensing

Colony mapping: A new technique for monitoring crevice-nesting seabirds

Monitoring populations of auklets and other crevice-nesting seabirds remains problematic, although numerous methods have been attempted since the mid-1960s. Anecdotal evidence suggests several large auklet colonies have recently decreased in both abundance and extent, concurrently with vegetation encroachment and succession. Quantifying changes in the geographical extent of auklet colonies may be a useful alternative to monitoring population size directly. We propose a standardized method for colony mapping using a randomized systematic grid survey with two components: a simple presence/absence survey and an auklet evidence density survey. A quantitative auklet evidence density index was derived from the frequency of droppings and feathers. This new method was used to map the colony on St. George Island in the southeastern Bering Sea and results were compared to previous colony mapping efforts. Auklet presence was detected in 62 of 201 grid cells (each grid cell = 2500 m2) by sampling a randomly placed 16 m2 plot in each cell; estimated colony area = 155 000 m2. The auklet evidence density index varied by two orders of magnitude across the colony and was strongly correlated with means of replicated counts of birds socializing on the colony surface. Quantitatively mapping all large auklet colonies is logistically feasible using this method and would provide an important baseline for monitoring colony status. Regularly monitoring select colonies using this method may be the best means of detecting changes in distribution and population size of crevice-nesting seabirds. ?? The Cooper Ornithological Society 2006.

Condor

Evaluation of age determination techniques for gray wolves

We evaluated tooth wear, cranial suture fusion, closure of the canine pulp cavity, and cementum annuli as methods of age determination for known- and unknown-age gray wolves (Canis lupus) from Alaska, Minnesota, Ontario, and Isle Royale, Michigan. We developed age classes for cranial suture closure and tooth wear. We used measurement data obtained from known-age captive and wild wolves to generate a regression equation to predict age based on the degree of closure of the canine pulp cavity. Cementum annuli were studied in known- and unknown-age animals, and calcified, unstained thin sections were found to provide clear annulus patterns under polarized transmitted light. Annuli counts varied among observers, partly because of variation in the pattern of annuli in different regions of the cementum. This variation emphasizes the need for standardized models of cementum analysis. Cranial suture fusion is of limited utility in age determination, while tooth wear can be used to estimate age of adult wolves within 4 years. Wolves <7 years old could be aged to within 1-3 years with the regression equation for closure of the canine pulp cavity. Although inaccuracy remains a problem, cementum-annulus counts were the most promising means of estimating age for gray wolves.

Journal of Wildlife Management

Ecological effects of pinyon-juniper removal in the Western United States—A synthesis of scientific research, January 2014–March 2021

Executive Summary Increasing density of pinyon ( Pinus spp. ) and juniper ( Juniperus spp. ) woodlands (hereinafter “pinyon-juniper”), as well as expansion of these woodlands into adjacent shrublands and grasslands, has altered ecosystem function and wildlife habitat across large areas of the interior western United States. Although there are many natural and human-caused drivers of woodland infilling and expansion, restoration of sagebrush ( Artemisia spp. ) habitat through removal of pinyon-juniper is considered an urgent management objective in many locations, particularly in support of sagebrush-dependent wildlife species of conservation concern. In December 2020, the Bureau of Land Management (BLM) established the Pinyon-Juniper Management Categorical Exclusion (PJCX) to expedite the regulatory process for pinyon-juniper removal projects on public lands, largely intended to benefit mule deer ( Odocoileus hemionus ) and greater sage-grouse ( Centrocercus urophasianus ) habitats. During final preparation of this report, the BLM discontinued use of the PJCX (as of November, 2022), but the pinyon-juniper tree removal techniques assessed in this report are commonly used and understanding their effects remains relevant to land use planning. To address areas of uncertainty relative to potential ecological effects of the PJCX, we conducted a review of the peer-reviewed science literature to better understand the likely responses of vegetation, environmental (for example, soils), and wildlife variables to specific tree removal techniques permitted by the PJCX. In brief, the PJCX permitted removal of trees by either manual cutting, mechanical cutting, or mastication; allowed certain methods to redistribute or remove resulting tree biomass after treatment; and prohibited broadcast burning, roadbuilding, removal of old-growth, and seeding of non-native species. Specifically, we conducted our review to address the following questions: How will PJCX removal techniques affect plant communities, soils, and abiotic resources? How do these pinyon-juniper removal techniques affect wildlife communities, including both woodland- and sagebrush-dependent species? What are the potential ecological implications of different pinyon-juniper removal treatment types and implementation strategies (for example, treatment sizes) over time? What are the most important gaps in our scientific understanding of how treatments might affect targeted ecosystems over space and time (for example, potential effects of climate change)? To answer these questions, we considered studies related to pinyon-juniper ecosystems, focusing on research that occurred over a large portion of the interior western United States that is the primary focus of the PJCX. We also focused on papers published from 2014 onward, to avoid excessive overlap with other recent reviews on pinyon-juniper management effects. Using strict criteria, including only considering research that tested responses for statistical significance, we identified 48 papers that primarily examined treatment effects on vegetation and other environmental variables (1,709 responses), and 11 papers that addressed effects on wildlife (132 responses). Responses to the PJCX-permitted treatments were summarized as either positive (that is, a significant increase), negative (that is, a significant decrease), or non-significant (that is, no significant difference). Responses were assigned to categories (for example, Native Annual Grass/Forb Abundance) and hierarchical treatment levels. We found that there were large proportions of non-significant responses among all categories combined, with roughly half or more of all responses non-significant (48 percent for wildlife, 60 percent for vegetation-environmental), comparable to other recent systematic reviews of pinyon-juniper treatment effects. However, we also found that when there were significant responses, some important trends potentially emerged. Important undesirable outcomes included far more positive than negative responses of exotic grass and forb abundance among nearly all treatment types. Cutting treatments were also more likely to decrease biocrust cover and microbial activity. Potentially beneficial outcomes included mostly positive responses among sagebrush obligate species, including more positive than negative responses for mule deer and sage-grouse. Some treatment types (for example, mastication) also resulted in more positive than negative responses for native grasses and forbs (although, non-significant responses were the majority). We also highlighted many limitations of this review, including how responses often come from few studies, and how some response-treatment category combinations lack adequate response data. Moreover, the existing research is often insufficient to address many key questions about treatment effects, largely owing to short time-scales and limited spatial extents of observations, which do not match the size of treatments being implemented by land managers, nor capture long-term, post-treatment ecological dynamics. We also identify a lack of research that addresses key interactions that could undermine restoration objectives, including potential effects of climate change and grazing on post-treatment environments. Thus, we emphasize the importance of integrating these factors into future pinyon-juniper treatment research, and we stress the need for use of monitoring programs and research studies that partake in data collection and analysis over long durations and broad spatial scales.

Open-File Report

Mars: Paleostratigraphic restoration of buried surfaces in Tharsis Montes

Volcanism in the Tharsis province of Mars occurred in several different areas and was generally continuous without large time intervals between eruptive episodes. Major lava flow units are numerous and extensive, but relatively thin. In many places, impact craters on buried surfaces project above younger flows that overlie them. A new application of crater dating methods has been developed to aid in the identification of these buried surfaces and to determine their lateral extent. The technique is especially adaptable to the Tharsis region where the stratigraphic succession of major flow units has been established by detailed geologic mapping. Knowledge of the overall stratigraphy allows correlations to be made between known and unknown surfaces by comparing their crater frequencies at diameters large enough to insure their recognition on the buried unit. The method has been applied to aid in the restoration of buried rock units and to construct a series of paleostratigraphic maps showing the sequence of major eruptive events in the Tharsis region.

Icarus

Seismic imaging of the Waltham Canyon fault, California: comparison of ray‐theoretical and Fresnel volume prestack depth migration

Near‐vertical faults can be imaged using reflected refractions identified in controlled‐source seismic data. Often theses phases are observed on a few neighboring shot or receiver gathers, resulting in a low‐fold data set. Imaging can be carried out with Kirchhoff prestack depth migration in which migration noise is suppressed by constructive stacking of large amounts of multifold data. Fresnel volume migration can be used for low‐fold data without severe migration noise, as the smearing along isochrones is limited to the first Fresnel zone around the reflection point. We developed a modified Fresnel volume migration technique to enhance imaging of steep faults and to suppress noise and undesired coherent phases. The modifications include target‐oriented filters to separate reflected refractions from steep‐dipping faults and reflections with hyperbolic moveout. Undesired phases like multiple reflections, mode conversions, direct P and S waves, and surface waves are suppressed by these filters. As an alternative approach, we developed a new prestack line‐drawing migration method, which can be considered as a proxy to an infinite frequency approximation of the Fresnel volume migration. The line‐drawing migration is not considering waveform information but requires significantly shorter computational time. Target‐oriented filters were extended by dip filters in the line‐drawing migration method. The migration methods were tested with synthetic data and applied to real data from the Waltham Canyon fault, California. The two techniques are applied best in combination, to design filters and to generate complementary images of steep faults.

California

The method controls the story - Sampling method impacts on the detection of pore-water nitrogen concentrations in streambeds

Biogeochemical gradients in streambeds are steep and can vary over short distances often making adequate characterisation of sediment biogeochemical processes challenging. This paper provides an overview and comparison of streambed pore-water sampling methods, highlighting their capacity to address gaps in our understanding of streambed biogeochemical processes. This work reviews and critiques available pore-water sampling techniques to characterise streambed biogeochemical conditions, including their characteristic spatial and temporal resolutions, and associated advantages and limitations. A field study comparing three commonly-used pore-water sampling techniques (multilevel mini-piezometers, miniature drivepoint samplers and diffusive equilibrium in thin-film gels) was conducted to assess differences in observed nitrate and ammonium concentration profiles. Pore-water nitrate concentrations did not differ significantly between sampling methods ( p -value = 0.54) with mean concentrations of 2.53, 4.08 and 4.02 mg l − 1 observed with the multilevel mini-piezometers, miniature drivepoint samplers and diffusive equilibrium in thin-film gel samplers, respectively. Pore-water ammonium concentrations, however, were significantly higher in pore-water extracted by multilevel mini-piezometers (3.83 mg l − 1 ) and significantly lower where sampled with miniature drivepoint samplers (1.05 mg l − 1 , p -values <0.01). Differences in observed pore-water ammonium concentration profiles between active (suction: multilevel mini-piezometers) and passive (equilibrium; diffusive equilibrium in thin-film gels) samplers were further explored under laboratory conditions. Measured pore-water ammonium concentrations were significantly greater when sampled by diffusive equilibrium in thin-film gels than with multilevel mini-piezometers (all p -values ≤0.02). The findings of this study have critical implications for the interpretation of field-based research on hyporheic zone biogeochemical cycling and highlight the need for more systematic testing of sampling protocols. For the first time, the impact of different active and passive pore-water sampling methods is addressed systematically here, highlighting to what degree the choice of pore-water sampling methods affects research outcomes, with relevance for the interpretation of previously published work as well as future studies.

Science of the Total Environment