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Use of DNA from bite marks can determine species and individual animals that attack humans

During the summer of 2008, 6 documented attacks and close encounters with brown bears ( Ursus arctos ) occurred in the greater Anchorage, Alaska (USA) area. We discuss findings from 2 incidents in which people were mauled within 2 km of each other over a 6-week period and in which it was assumed that a single animal was responsible. To ensure public safety, authorities killed a brown bear implicated in the attacks by circumstantial evidence, though it was not known a priori that the animal was responsible. We extracted DNA from hairs and bite sites on the clothing of both victims and determined species and individual identity of the animal(s) involved in both incidents. Genetic data indicated the brown bear killed by authorities was responsible for one of the maulings, but not both. This research demonstrates that DNA-based techniques, with appropriate sampling, can provide unambiguous identification of animals involved in attacks, as well as provide reasonable justification for excluding others. Because DNA-based techniques can unequivocally identify individual bears carrying out attacks, they should be considered a standard method employed in wildlife attack investigations.

Alaska

Estimation of elastic moduli in a compressible Gibson half-space by inverting Rayleigh-wave phase velocity

A Gibson half-space model (a non-layered Earth model) has the shear modulus varying linearly with depth in an inhomogeneous elastic half-space. In a half-space of sedimentary granular soil under a geostatic state of initial stress, the density and the Poisson's ratio do not vary considerably with depth. In such an Earth body, the dynamic shear modulus is the parameter that mainly affects the dispersion of propagating waves. We have estimated shear-wave velocities in the compressible Gibson half-space by inverting Rayleigh-wave phase velocities. An analytical dispersion law of Rayleigh-type waves in a compressible Gibson half-space is given in an algebraic form, which makes our inversion process extremely simple and fast. The convergence of the weighted damping solution is guaranteed through selection of the damping factor using the Levenberg-Marquardt method. Calculation efficiency is achieved by reconstructing a weighted damping solution using singular value decomposition techniques. The main advantage of this algorithm is that only three parameters define the compressible Gibson half-space model. Theoretically, to determine the model by the inversion, only three Rayleigh-wave phase velocities at different frequencies are required. This is useful in practice where Rayleigh-wave energy is only developed in a limited frequency range or at certain frequencies as data acquired at manmade structures such as dams and levees. Two real examples are presented and verified by borehole S-wave velocity measurements. The results of these real examples are also compared with the results of the layered-Earth model. ?? Springer 2006.

Surveys in Geophysics

Problem of the thermodynamic status of the mixed-layer minerals

Minerals that show mixed layering, particularly with the component layers in random sequence, pose problems because they may behave thermodynamically as single phases or as polyphase aggregates. Two operational criteria are proposed for their distinction. The first scheme requires two samples of mixed-layer material which differ only in the proportions of the layers. If each of these two samples are allowed to equilibrate with the same suitably chosen monitoring solution, then the intensive parameters of the solution will be invariant if the mixed-layer sample is a polyphase aggregate, but not otherwise. The second scheme makes use of the fact that portions of many titration curves of clay minerals show constancy of the chemical activities of the components in the equilibrating solutions, suggesting phase separation. If such phase separation occurs for a mixed-layer material, then, knowing the number of independent components in the system, it should be possible to decide on the number of phases the mixed-layer material represents. Knowledge of the phase status of mixed-layer material is essential to the study of the equilibrium relations of mineral assemblages involving such material, because a given mixed-layer mineral will be plotted and treated differently on a phase diagram, depending on whether it is a single phase or a polyphase aggregate. Extension of the titration technique to minerals other than the mixed-layer type is possible. In particular, this method may be used to determine if cryptoperthites and peristerites are polyphase aggregates. In general, for any high-order phase separation, the method may be used to decide just at what point in this continuous process the system must be regarded operationally as a polyphase aggregate.

Geochimica et Cosmochimica Acta

Application of stable isotope ratio analysis for biodegradation monitoring in groundwater

Stable isotope ratio analysis is increasingly being applied as a tool to detect, understand, and quantify biodegradation of organic and inorganic contaminants in groundwater. An important feature of this approach is that it allows degradative losses of contaminants to be distinguished from those caused by non-destructive processes such as dilution, dispersion, and sorption. Recent advances in analytical techniques, and new approaches for interpreting stable isotope data, have expanded the utility of this method while also exposing complications and ambiguities that must be considered in data interpretations. Isotopic analyses of multiple elements in a compound, and multiple compounds in the environment, are being used to distinguish biodegradative pathways by their characteristic isotope effects. Numerical models of contaminant transport, degradation pathways, and isotopic composition are improving quantitative estimates of in situ contaminant degradation rates under realistic environmental conditions.

Current Opinion in Biotechnology

Validation of a side-scan sonar method for quantifying walleye spawning habitat availability in the littoral zone of northern Wisconsin Lakes

Previous research has generally ignored the potential effects of spawning habitat availability and quality on recruitment of Walleye Sander vitreus , largely because information on spawning habitat is lacking for many lakes. Furthermore, traditional transect-based methods used to describe habitat are time and labor intensive. Our objectives were to determine if side-scan sonar could be used to accurately classify Walleye spawning habitat in the nearshore littoral zone and provide lakewide estimates of spawning habitat availability similar to estimates obtained from a transect–quadrat-based method. Based on assessments completed on 16 northern Wisconsin lakes, interpretation of side-scan sonar images resulted in correct identification of substrate size-class for 93% (177 of 191) of selected locations and all incorrect classifications were within ± 1 class of the correct substrate size-class. Gravel, cobble, and rubble substrates were incorrectly identified from side-scan images in only two instances (1% misclassification), suggesting that side-scan sonar can be used to accurately identify preferred Walleye spawning substrates. Additionally, we detected no significant differences in estimates of lakewide littoral zone substrate compositions estimated using side-scan sonar and a traditional transect–quadrat-based method. Our results indicate that side-scan sonar offers a practical, accurate, and efficient technique for assessing substrate composition and quantifying potential Walleye spawning habitat in the nearshore littoral zone of north temperate lakes.

Wisconsin

Mark retention of calcein in Cisco and Bloater

Since 2012, a multi-agency initiative to restore these native forage species has been under way. Evaluating the restoration success of Cisco Coregonus artedi and Bloater C. hoyi in Lake Ontario waters requires methods to identify stocked fish. However, juvenile Cisco and Bloater are fragile; thus, mass marking techniques that reduce the handling of individual fish are required and have not previously been evaluated. In 2014–2015 we evaluated the usefulness of calcein (SE-MARK) as a marker on bony structures, including the otolith. Juvenile Bloater and Cisco (14, 100, 128 d old) were immersed in a calcein bath at 5,000 mg/L of water for 4 min to apply the chemical marker. Observations of the marking retention were evaluated 8 d following the treatment. All fish immersed in calcein had strong brilliant marks (rating scale 3) on all bony structures including scales, fin rays, jaw bones, and vertebrate. The otolith was the only hard structure that did not show a brilliant marking due to the opaque nature of the structure. Our results suggest that calcein produces a strong discernable mark on hard bony structures of Cisco and Bloater; however, long-term retention needs further study.

Lake Ontario

Trophic assessment of potential competition between invasive cichlids and sport fish in Puerto Rico reservoirs

Objective Several species of New World cichlids have recently invaded reservoirs in Puerto Rico, potentially jeopardizing established recreationally important, albeit nonnative, sport fish populations. Interactions between invasive species and important sport fish must be understood so that they can be mitigated when feasible. This study compared monthly prey consumption between three invasive cichlids (Jaguar Guapote Parachromis managuensis and two species of Amphilophus ) and two principal sport fishes (Largemouth Bass Micropterus nigricans and Butterfly Peacock Bass Cichla ocellaris ) to understand potential for competitive interactions. Methods Stomach contents were evaluated quarterly using gastric lavage for sport fish and destructive sampling techniques for invasive species. Prey proportion by mass was calculated for each individual, and mean prey proportion by mass was calculated for each species by reservoir, month, and overall. Multivariate hypothesis testing using permutational multivariate analysis of variance and visualization of potential diet overlap were performed via analysis of variance and nonmetric multidimensional scaling (NMDS), respectively. Results Fish were the most common prey type, and Threadfin Shad Dorosoma petenense was the most prevalent prey species. Although there were significant differences in diets of invasive cichlids and sport fishes ( P < 0.01), there also was considerable overlap based on low percentages of variation in diets explained by species (3–19% < pseudo- R 2 ) and NMDS visualizations. Diets varied little across reservoirs and months (≤4% pseudo- R 2 ; high overlap in NMDS space). Conclusion These data indicate that the diet of Jaguar Guapote and Amphilophus spp. may overlap with that of sport fish populations in Puerto Rico. Jaguar Guapote relied on Threadfin Shad more than other species, with Amphilophus spp. relying more on detritus and noncrayfish invertebrates. Thus, if prey are limited, Jaguar Guapote may have a more direct effect via competition for prey. Finally, we report evidence of Largemouth Bass recruitment failure and local extirpations that support a hypothesis that invasive cichlids are having negative effects on at least Largemouth Bass, although the mechanism is unclear.

Puerto Rico

Status and distribution of mangrove forests of the world using earth observation satellite data

Aim Our scientific understanding of the extent and distribution of mangrove forests of the world is inadequate. The available global mangrove databases, compiled using disparate geospatial data sources and national statistics, need to be improved. Here, we mapped the status and distributions of global mangroves using recently available Global Land Survey (GLS) data and the Landsat archive. Methods We interpreted approximately 1000 Landsat scenes using hybrid supervised and unsupervised digital image classification techniques. Each image was normalized for variation in solar angle and earth–sun distance by converting the digital number values to the top-of-the-atmosphere reflectance. Ground truth data and existing maps and databases were used to select training samples and also for iterative labelling. Results were validated using existing GIS data and the published literature to map ‘true mangroves’. Results The total area of mangroves in the year 2000 was 137,760 km2 in 118 countries and territories in the tropical and subtropical regions of the world. Approximately 75% of world's mangroves are found in just 15 countries, and only 6.9% are protected under the existing protected areas network (IUCN I-IV). Our study confirms earlier findings that the biogeographic distribution of mangroves is generally confined to the tropical and subtropical regions and the largest percentage of mangroves is found between 5° N and 5° S latitude. Main conclusions We report that the remaining area of mangrove forest in the world is less than previously thought. Our estimate is 12.3% smaller than the most recent estimate by the Food and Agriculture Organization (FAO) of the United Nations. We present the most comprehensive, globally consistent and highest resolution (30 m) global mangrove database ever created. We developed and used better mapping techniques and data sources and mapped mangroves with better spatial and thematic details than previous studies.

Global Ecology and Biogeography

Characteristics of sediment data and annual suspended-sediment loads and yields for selected lower Missouri River mainstem and tributary stations, 1976-2008

Suspended-sediment data from 18 selected surface-water monitoring stations in the lower Missouri River Basin downstream from Gavins Point Dam were used in the computation of annual suspended-sediment and suspended-sand loads for 1976 through 2008. Three methods of suspended-sediment load determination were utilized and these included the subdivision method, regression of instantaneous turbidity with suspended-sediment concentrations at selected stations, and regression techniques using the Load Estimator (LOADEST) software. Characteristics of the suspended-sediment and streamflow data collected at the 18 monitoring stations and the tabulated annual suspended-sediment and suspended-sand loads and yields are presented.

Data Series

Water-chemistry data for selected springs, geysers, and streams in Yellowstone National Park, Wyoming, 2003-2005

Water analyses are reported for 157 samples collected from numerous hot springs, their overflow drainages, and Lemonade Creek in Yellowstone National Park (YNP) during 2003–2005. Water samples were collected and analyzed for major and trace constituents from ten areas of YNP including Terrace and Beryl Springs in the Gibbon Canyon area, Norris Geyser Basin, the West Nymph Creek thermal area, the area near Nymph Lake, Hazle Lake, and Frying Pan Spring, Lower Geyser Basin, Washburn Hot Springs, Mammoth Hot Springs, Potts Hot Spring Basin, the Sulphur Caldron area, and Lemonade Creek near the Solfatara Trail. These water samples were collected and analyzed as part of research investigations in YNP on arsenic, antimony, and sulfur redox distribution in hot springs and overflow drainages, and the occurrence and distribution of dissolved mercury. Most samples were analyzed for major cations and anions, trace metals, redox species of antimony, arsenic, iron, nitrogen, and sulfur, and isotopes of hydrogen and oxygen. Analyses were performed at the sampling site, in an on-site mobile laboratory vehicle, or later in a U.S. Geological Survey laboratory, depending on stability of the constituent and whether it could be preserved effectively. Water samples were filtered and preserved onsite. Water temperature, specific conductance, pH, Eh (redox potential relative to the Standard Hydrogen Electrode), and dissolved hydrogen sulfide were measured onsite at the time of sampling. Acidity was determined by titration, usually within a few days of sample collection. Alkalinity was determined by titration within 1 to 2 weeks of sample collection. Concentrations of thiosulfate and polythionate were determined as soon as possible (generally minutes to hours after sample collection) by ion chromatography in an on-site mobile laboratory vehicle. Total dissolved-iron and ferrous-iron concentrations often were measured onsite in the mobile laboratory vehicle. Concentrations of dissolved aluminum, arsenic, boron, barium, beryllium, calcium, cadmium, cobalt, chromium, copper, iron, potassium, lithium, magnesium, manganese, molybdenum, sodium, nickel, lead, selenium, silica, strontium, vanadium, and zinc were determined by inductively-coupled plasma-optical emission spectrometry. Trace concentrations of dissolved antimony, cadmium, cobalt, chromium, copper, lead, and selenium were determined by Zeeman-corrected graphite-furnace atomic-absorption spectrometry. Dissolved concentrations of total arsenic, arsenite, total antimony, and antimonite were determined by hydride-generation atomic-absorption spectrometry using a flow-injection analysis system. Dissolved concentrations of total mercury and methyl mercury were determined by cold-vapor atomic-fluorescence spectrometry. Concentrations of dissolved chloride, fluoride, nitrate, bromide, and sulfate were determined by ion chromatography. Concentrations of dissolved ferrous and total iron were determined by the FerroZine colorimetric method. Concentrations of dissolved nitrite were determined by colorimetry or chemiluminescence. Concentrations of dissolved ammonium were determined by ion chromatography, with reanalysis by colorimetry when separation of sodium and ammonia peaks was poor. Dissolved organic carbon concentrations were determined by the wet persulfate oxidation method. Hydrogen and oxygen isotope ratios were determined using the hydrogen and CO 2 equilibration techniques, respectively.

Wyoming

Science in the Public Sphere: Greater Sage-grouse Conservation Planning from a Transdisciplinary Perspective

Integration of scientific data and adaptive management techniques is critical to the success of species conservation, however, there are uncertainties about effective methods of knowledge exchange between scientists and decisionmakers. The conservation planning and implementation process for Greater Sage-grouse (Centrocercus urophasianus; ) in the Mono Basin, Calif. region, was used as a case study to observe the exchange of scientific information among stakeholders with differing perspectives; resource manager, scientist, public official, rancher, and others. The collaborative development of a risk-simulation model was explored as a tool to transfer knowledge between stakeholders and inform conservation planning and management decisions. Observations compiled using a transdisciplinary approach were used to compare the exchange of information during the collaborative model development and more traditional interactions such as scientist-led presentations at stakeholder meetings. Lack of congruence around knowledge needs and prioritization led to insufficient commitment to completely implement the risk-simulation model. Ethnographic analysis of the case study suggests that further application of epistemic community theory, which posits a strong boundary condition on knowledge transfer, could help support application of risk simulation models in conservation-planning efforts within similarly complex social and bureaucratic landscapes.

Open-File Report

Water-chemistry data for selected springs, geysers, and streams in Yellowstone National Park, Wyoming, 2006-2008

Water analyses are reported for 104 samples collected from numerous thermal and non-thermal features in Yellowstone National Park (YNP) during 2006-2008. Water samples were collected and analyzed for major and trace constituents from 10 areas of YNP including Apollinaris Spring and Nymphy Creek along the Norris-Mammoth corridor, Beryl Spring in Gibbon Canyon, Norris Geyser Basin, Lower Geyser Basin, Crater Hills, the Geyser Springs Group, Nez Perce Creek, Rabbit Creek, the Mud Volcano area, and Washburn Hot Springs. These water samples were collected and analyzed as part of research investigations in YNP on arsenic, antimony, iron, nitrogen, and sulfur redox species in hot springs and overflow drainages, and the occurrence and distribution of dissolved mercury. Most samples were analyzed for major cations and anions, trace metals, redox species of antimony, arsenic, iron, nitrogen, and sulfur, and isotopes of hydrogen and oxygen. Analyses were performed at the sampling site, in an on-site mobile laboratory vehicle, or later in a U.S. Geological Survey laboratory, depending on stability of the constituent and whether it could be preserved effectively. Water samples were filtered and preserved on-site. Water temperature, specific conductance, pH, emf (electromotive force or electrical potential), and dissolved hydrogen sulfide were measured on-site at the time of sampling. Dissolved hydrogen sulfide was measured a few to several hours after sample collection by ion-specific electrode on samples preserved on-site. Acidity was determined by titration, usually within a few days of sample collection. Alkalinity was determined by titration within 1 to 2 weeks of sample collection. Concentrations of thiosulfate and polythionate were determined as soon as possible (generally a few to several hours after sample collection) by ion chromatography in an on-site mobile laboratory vehicle. Total dissolved iron and ferrous iron concentrations often were measured on-site in the mobile laboratory vehicle. Concentrations of dissolved aluminum, arsenic, boron, barium, beryllium, calcium, cadmium, cobalt, chromium, copper, iron, potassium, lithium, magnesium, manganese, molybdenum, sodium, nickel, lead, selenium, silica, strontium, vanadium, and zinc were determined by inductively coupled plasma-optical emission spectrometry. Trace concentrations of dissolved antimony, cadmium, cobalt, chromium, copper, lead, and selenium were determined by Zeeman-corrected graphite-furnace atomic-absorption spectrometry. Dissolved concentrations of total arsenic, arsenite, total antimony, and antimonite were determined by hydride generation atomic-absorption spectrometry using a flow-injection analysis system. Dissolved concentrations of total mercury and methylmercury were determined by cold-vapor atomic fluorescence spectrometry. Concentrations of dissolved chloride, fluoride, nitrate, bromide, and sulfate were determined by ion chromatography. For many samples, concentrations of dissolved fluoride also were determined by ion-specific electrode. Concentrations of dissolved ferrous and total iron were determined by the FerroZine colorimetric method. Concentrations of dissolved ammonium were determined by ion chromatography, with reanalysis by colorimetry when separation of sodium and ammonia peaks was poor. Dissolved organic carbon concentrations were determined by the wet persulfate oxidation method. Hydrogen and oxygen isotope ratios were determined using the hydrogen and CO 2 equilibration techniques, respectively.

Wyoming

Quality-assurance plan for groundwater activities, U.S. Geological Survey Dakota Water Science Center

As the Nation’s principal earth-science information agency, the U.S. Geological Survey (USGS) is depended upon to collect accurate data and produce factual and impartial interpretive reports. Methods for data collection and analysis that were developed by the USGS have become standard techniques used by numerous Federal, State, and local agencies and by private enterprises. The USGS has implemented a program designed to ensure that all scientific work done by or for USGS Water Science Centers is done in accordance with a quality-assurance plan. The implementation of a groundwater quality-assurance plan will enhance groundwater data collected by the USGS. This report is a quality-assurance plan for groundwater activities conducted by the USGS Dakota Water Science Center and is meant to complement qualityassurance plans for surface-water and water-quality activities and similar plans for the Dakota Water Science Center and general project activities throughout the USGS.

Open-File Report

Storage analyses for water supply

This manual briefly describes various methods of storage analysis and recommends one method for use by the U.S. Geological Survey to produce draft-storage relations useful to planners and designers. The recommended method is described in detail.

Techniques of Water-Resources Investigations

Fluvial sediment study of Fishtrap and Dewey Lakes drainage basins, Kentucky-Virginia

Fourteen drainage basins above Fishtrap and Dewey Lakes in the Levisa Fork and Johns Creek drainage basins of eastern Kentucky and southwestern Virginia were studied to determine sedimentation rates and origin of sediment entering the two lakes. The basins ranged in size from 1.68 to 297 square miles. Sediment yields ranged from 2,890 to 21,000 tons per square mile where surface-mining techniques predominated, and from 732 to 3 ,470 tons per square mile where underground mining methods predominated. Yields, in terms of tons per acre-foot of runoff, ranged from 2.2 to 15 for surface-mined areas, and from 0.5 to 2.7 for underground-mined areas. Water and sediment discharges from direct runoff during storms were compared for selected surface-mined and underground-mined areas. Data points of two extensively surface-mined areas, one from the current project and one from a previous project in Beaver Creek basin, McCreary County, Kentucky, grouped similarly in magnitude and by season. Disturbed areas from mining activities determined from aerial photographs reached 17 percent in one study area where extensive surface mining was being practiced. For most areas where underground mining was practiced, percentage disturbed area was almost negligible. Trap efficiency of Fishtrap Lake was 89 percent, and was 62 percent for Dewey Lake. Average annual deposition rates were 464 and 146 acre-feet for Fishtrap and Dewey Lakes, respectively. The chemical quality of water in the Levisa Fork basin has been altered by man 's activities.

Kentucky, Virginia

Interrogating process deficiencies in large-scale hydrologic models with interpretable machine learning

Large-scale hydrologic models are increasingly being developed for operational use in the forecasting and planning of water resources. However, the predictive strength of such models depends on how well they resolve various functions of catchment hydrology, which are influenced by gradients in climate, topography, soils, and land use. Most assessments of hydrologic model uncertainty have been limited to traditional statistical methods. Here, we present a proof-of-concept approach that uses interpretable machine learning techniques to provide post hoc assessment of model sensitivity and process deficiency in hydrologic models. We train a random forest model to predict the Kling–Gupta efficiency (KGE) of National Water Model (NWM) and National Hydrologic Model (NHM) streamflow predictions for 4383 stream gauges in the conterminous United States. Thereafter, we explain the local and global controls that 48 catchment attributes exert on KGE prediction using interpretable Shapley values. Overall, we find that soil water content is the most impactful feature controlling successful model performance, suggesting that soil water storage is difficult for hydrologic models to resolve, particularly for arid locations. We identify nonlinear thresholds beyond which predictive performance decreases for NWM and NHM. For example, soil water content less than 210 mm, precipitation less than 900 mm yr −1 , road density greater than 5 km km −2 , and lake area percent greater than 10 % contributed to lower KGE values. These results suggest that improvements in how these influential processes are represented could result in the largest increases in NWM and NHM predictive performance. This study demonstrates the utility of interrogating process-based models using data-driven techniques, which has broad applicability and potential for improving the next generation of large-scale hydrologic models.

conterminous United States

Western pond turtle: Biology, sampling techniques, inventory and monitoring, conservation, and management: Northwest Fauna No. 7

One of only two native, freshwater turtle species in the western United States, western pond turtles are declining in portions of their original range. Declines are mostly due to habitat loss, introduction of non-native species, pollution, and lack of connectivity among populations. USGS zoologist R. Bruce Bury and colleagues from the U.S. Forest Service, California State University, and other agencies compiled and edited a new review and field manual of this charismatic species. Objectives were to determine its current distribution and abundance, summarize and evaluate population features, review techniques to detect population and habitat changes, and improve monitoring for long-term trends. Methods described in the manual should improve consistency, efficiency, and accuracy of survey data, resulting in improved management and conservation efforts.

Book

Populations, productivity, and feeding habits of seabirds on St. Lawrence Island, Alaska: Final report

A field camp was established at Kongkok Bay near the southwest cape of St. Lawrence Island and occupied continuously from 24 May to 2 September 1987. Permanent study plots were selected for both cliff and crevice-nesting species, and regular observations were made throughout the breeding season to document attendance patterns, breeding phenology, and success. Periodic collections of adults offshore and of chick meals in the colonies were used to determine the food habits of study species. Additional plots for population monitoring of murres and kittiwakes were established in colonies near Savoonga on the north side of the island, and counts were made there between 23 July and 1 August. Shore based work was supplemented with offshore studies of seabird foraging distribution from the USFWS vessel TIGLAX between 18 August and 3 September 1987. Populations of all study species in the Kongkok Bay area increased since the last study of seabirds there (murres 20, kittiwakes 87, Least Auklets 8, Crested Auklets 442). Pelagic Cormorants, Common Murres, and Thick-billed Murres exhibited average, or above average, breeding success at Kongkok in 1987. Black-legged Kittiwakes exhibited near-total reproductive failure. Crested and Least Auklets had high levels of breeding success after the effects of observer disturbance were taken into account. Predation by microtine rodents and foxes was a significant source of chick mortality on auklets. Feeding concentrations were found primarily north of Gambell in the Anadyr Strait or western Chirikof Basin. Kittiwakes were dispersed widely over the study area. Diets of all species studied were normal and, with the exception of kittiwakes, there was no evidence of problems in obtaining food. Current methods for assessing population changes in cliff-nesting species are considered adequate, but better techniques are needed for crevice-nesting auklets. Time-lapse photography offers the greatest potential for monitoring auklet numbers. A protocol is suggested for monitoring populations of murres, kittiwakes, and auklets at colonies in the Bering and Chukchi Seas. It calls for annual visits to selected colonies during two stages of the nesting cycle to assess numbers and breeding productivity. The breeding failure of Black-legged Kittiwakes on St. Lawrence Island in 1987 was part of a pervasive syndrome of failure in this species observed throughout the Bering Sea and Gulf of Alaska in recent years. The causes of recurrent, widespread breeding failure need to be identified if kittiwakes are to have a role in area-wide population monitoring during the period of Alaskan development by the oil and gas industry.

Alaska