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Reconnaissance engineering geology of the Haines area, Alaska, with emphasis on evaluation of earthquake and other geologic hazards

The Alaska earthquake of March 27, 1964, brought into sharp focus the need for engineering geologic studies in urban areas. Study of the Haines area constitutes an integral part of an overall program to evaluate earthquake and other geologic hazards in most of the larger Alaska coastal communities. The evaluations of geologic hazards that follow, although based only upon reconnaissance studies and, therefore, subject to revision, will provide broad guidelines useful in city and land-use planning. It is hoped that the knowledge gained will result in new facilities being built in the best possible geologic environments and being designed so as to minimize future loss of life and property damage. Haines, which is in the northern part of southeastern Alaska approximately 75 miles northwest of Juneau, had a population, of about 700 people in 1970. It is built at the northern end of the Chilkat Peninsula and lies within the Coast Mountains of the Pacific Mountain system. The climate is predominantly marine and is characterized by mild winters and cool summers. The mapped area described in this report comprises about 17 square miles of land; deep fiords constitute most of the remaining mapped area that is evaluated in this study. The Haines area was covered by glacier ice at least once and probably several times during the Pleistocene Epoch. The presence of emergent marine deposits, several hundred feet above sea level, demonstrates that the land has been uplifted relative to sea level since the last major deglaciation of the region about 10,000 years ago. The rate of relative uplift of the land at Haines during the past 39 years is 2.26 cm per year. Most or all of this uplift appears to be due to rebound as a result of deglaciation. Both bedrock and surficial deposits are present in the area. Metamorphic and igneous rocks constitute the exposed bedrock. The metamorphic rocks consist of metabasalt of Mesozoic age and pyroxenite of probable early middle Cretaceous age. The igneous rocks consist of diorite and quartz diorite (tonalite) of Cretaceous age. Sedimentary rocks of Tertiary age may be present in the mapped area but are not exposed. The surficial deposits of Quaternary age,-have been divided into the following map units on the basis of time Of deposition, mode of origin, and grain size: (1) undifferentiated drift deposits, (2) outwash and Ice-contact deposits; (3) elevated fine-grained marine deposits, (4) elevated shore and delta deposits, (5) alluvial fan deposits, (6) colluvial deposits, (7) modern beach deposits, (8) Chilkat River flood-plain and delta deposits, and (9) manmade fill. Offshore deposits are described but are not mapped. Southeastern Alaska lies within the tectonically active belt that rims the northern Pacific Basin and has been active since at least early Paleozoic time. The outcrop pattern is the result of late Mesozoic and Tertiary deformational, metamorphic, and intrusive events. Large-scale faulting has been common. The two most prominent inferred fault systems in southeastern Alaska and surrounding regions are: (1) The Denali fault system and (2) the Fairweather-Queen Charlotte Islands fault system. In the general area of Haines, rocks of Mesozoic age northeast of Chilkat River have a simple monoclinal structure. Paleozoic-Mesozoic rocks southwest of Chilkat River are gently to rather complexly folded. Several major and numerous minor faults probably transect the general area of Haines but their exact location and character can only be inferred because their traces are coincident to the long axes of fiords and river valleys, where they are concealed by water or by valley-floor deposits. Inferred faults in or near the Haines mapped area are: (1) Chilkat River fault, (2) Chilkoot fault, (3) Takhin fault, and (4) faults in the saddle area at Haines. Southeastern Alaska lies in one of the two most seismically active zones in Alaska, a State where 6 percent of the world's shallow earthqua

Open-File Report

Fish conservation in streams of the agrarian Mississippi Alluvial Valley: Conceptual model, management actions, and field verification

The effects of agriculture and flood control practices accrued over more than a century have impaired aquatic habitats and their fish communities in the Mississippi Alluvial Valley, the historic floodplain of the Lower Mississippi River prior to leveeing. As a first step to conservation planning and adaptive management, we developed and tested a conceptual model of how changes to this floodplain have affected stream environments and fish assemblages. The model is deliberately simple in structure because it needs to be understood by stakeholders ranging from engineers to farmers who must remain engaged to ensure effective conservation. Testing involved multivariate correlative analyses that included descriptors of land setting, water quality, and fish assemblages representing 376 stream samples taken over two decades and ranging in Strahler stream order from 1 to 8. The conceptual model was adequately corroborated by empirical data, but with unexplained variability that is not uncommon in field surveys where gear biases, temporal biases, and scale biases prevent accurate characterizations. Our conceptual model distinguishes three types of conservation actions relevant to large agricultural floodplains: reforestation of large parcels and riparian zone conservation, in-channel interventions and connectivity preservation, and flow augmentation. Complete restoration of the floodplain may not be an acceptable option to the agriculture community. However, in most cases the application of even the most basic measures can support the return of sensitive aquatic species. We suggest that together these types of conservation actions can bring improved water properties to impacted reaches, higher reach biodiversity, more intolerant species, and more rheophilic fishes.

Mississippi Alluvial Valle

Earthquakes and tsunami

Earthquakes occur as a burst of sudden ground shaking created by the release of accumulated stress along a fault, often influenced by movement of the world’s tectonic plates. Ground shaking from an earthquake can generate additional hazards, including landslides, liquefaction, and tsunami. According to the 2019 “Global Assessment Report on Disaster Risk Reduction”, earthquakes combined with tsunami are the most damaging environmental hazards globally. Impacts of earthquakes and tsunami on people have increased around the world as human development of built infrastructure continues to expand. Adverse earthquake and tsunami impacts can be reduced through strategies including land-use planning, engineering, mitigation and preparedness, emergency planning, warnings, and exercises. The specific disaster risk reduction approaches taken will depend on the country, considering the geography, built environment, and social and cultural contexts. Wherever the location, it is important that such measures are considered and implemented holistically, as singular approaches may not be effective in addressing earthquake and tsunami challenges.

Book chapter

Moving forward with imperfect information

This chapter summarized the scope of what is known and not known about climate in the Southwestern United States. There is now more evidence and more agreement among climate scientists about the physical climate and related impacts in the Southwest compared with that represented in the 2009 National Climate Assessment (Karl, Melillo, and Peterson 2009). However, there remain uncertainties about the climate system, the complexities within climate models, the related impacts to the biophysical environment, and the use of climate information on decision making. Uncertainty is introduced in each step of the climate planning-an-response process--in the scenarios used to drive the climate models, the information used to construct the models, and the interpretation and use of the model' data for planning and decision making (Figure 19.1). There are server key challenge, drawn from recommendations of the authors of this report, that contribute to these uncertainties in the Southwest: - There is a dearth of climate observations at high elevations and on the lands of Native nations. - There is limited understanding of the influence of climate change on natural variability (e.g. El Niño-Southern Oscillations, Pacific Decadal Oscillation), extreme events (droughts, floods), and the marine layer align coastal California. - Climate models, downscaling, and resulting projection of the physical climate are imperfect. Representing the influence of the diverse topography of the Southwest on regional climate is a particular challenge. - The impacts of climate change on key components of the natural ecosystems (including species and terrestrial ecosystems) are ill-defined. - The adaptive capacity of decision-making entities and legal systems to handle climate impacts is unclear. This creates a challenge for identifying vulnerabilities to climate in the Southwest. - Regulation, legislation, and political and social responses too climate all play important roles in our ability to adapt to climate impacts and mitigate greenhouse gas (GHG) emissions. - Climate change is one of multiple stresses affecting the physical, biological, social, and economic systems of the Southwest, with population growth (and its related resource consumption, pollution, and land-sue changes) being particularly important.

Book chapter

Atlantic Salmon (Salmo salar) climate scenario planning pilot report

Scenario planning is a structured process that embraces uncertainty and explores plausible alternative future conditions under different assumptions to help manage risk and prioritize actions ( Schwartz 1996, Peterson et al . 2003). It has been used by a variety of organizations to explore and help prepare for the future, lends itself well to exploring the uncertainty surrounding changing environmental conditions, and is widely applicable to natural resource management issues. The conservation and management of protected resources for example, can be particularly challenging when the rate and magnitude of climate-related changes, and the response of species to those changes, are uncertain (NMFS 2016). The structured process of scenario planning can help resource managers navigate through potentially paralyzing uncertainties, manage risk, and evaluate/prioritize management actions associated with adapting to, and managing for, climate change (Moore et al . 2013). Atlantic salmon ( Salmo salar ) is a species highly vulnerable to climate change in the Northeast Atlantic (Hare et al . 2016a). Based on this and the above reasons, a scenario planning initiative was piloted by NOAA Fisheries to explore what the agency can do to improve U.S.Atlantic salmon population resilience to changing climate conditions in riverine, estuarine(transition), and marine environments across its current range (U.S. headwaters to Greenland). Project objectives were: 1) to better understand the challenges of managing Atlantic salmon in a changing climate; 2) to identify and discuss potential management actions and research activities that can be undertaken to increase our understanding of the drivers of Atlantic salmon productivity and resilience; 3) to increase collaborations and coordination related to the speciesrecovery; and 4) to explore how scenario planning can be used to support decisions. Outcomes from this initiative included, but were not limited to, the identification of high priority research and management actions to further collaborations and efforts to recover this species. The identified high priority actions were those that could be undertaken in the near-term(1-5 years) using current resources and in consideration of potential future conditions. Examples of identified actions by habitat (not in order of priority) included: 1) synthesize and refine range-wide life stage specific quantitative environmental thresholds for temperature, flow, etc.; 2) assess watershed habitat productivity; 3) assess forage fish and survival connection and options for marine migration monitoring; and 4) reduce dam-associated indirect estuarine mortality rate. In addition, a number of high priority climate-related actions were included in the revised Atlantic Salmon Recovery Plan (USFWS and NMFS 2019, Appendix 16) and at least two newly NOAA Fisheries funded projects are now underway (1. conduct range-wide habitat analysis and synthesize life stage specific quantitative thresholds and 2. identify locations of cold water refugia under a changing climate). This is the first use of the scenario planning process (NPS 2013) by NOAA Fisheries. This report documents an important example of applying scenario planning to marine species/environments and may serve as a useful reference for other case studies.

Atlantic Ocean

An Assessment of the Potential Effects of Aquifer Storage and Recovery on Mercury Cycling in South Florida

Mercury contamination in the environment is a global concern, especially in areas with abundant wetlands, such as south Florida. As the causal factors of this concern improve, scientists find that many factors that do not necessarily affect mercury concentrations, such as flooding and drying cycles, or changes to carbon and sulfate loading, can profoundly affect net mercury toxicity. Especially important are ecological factors that alter the conversion of mercury to methylmercury, which is the most bioaccumulative and toxic form of mercury in the environment. Resource managers, therefore, need to be aware of possible deleterious affects to mercury toxicity that could result from land and water management decisions. Several aspects of the Comprehensive Everglades Restoration Plan (CERP), including the planned Aquifer Storage and Recovery (ASR) program, have the potential to affect the abundance of methylmercury. In response to these concerns, the U.S. Geological Survey and U.S. Army Corps of Engineers collaborated on a study to evaluate how the proposed ASR program may affect mercury cycling and toxicity. This project was conducted as an initial assessment of the possible effects of the CERP ASR program on mercury in the south Florida environment. A twofold approach was employed: field sampling and controlled laboratory benchmark experiments. The field sampling survey collected ground-water samples from the Floridan and surficial aquifer systems for the ASR program to determine existing levels of mercury and methylmercury. Laboratory experiments, on the other hand, were designed to determine how the injected surface water would interact with the aquifer during storage periods. Overall, very low levels of mercury and methylmercury (mean values of 0.41 and 0.07 nanograms per liter, respectively) were observed in ground-water samples collected from the Floridan and surficial aquifer systems. These results indicate that 'recovered water' from the CERP ASR program would not represent a significant additional direct load of mercury and methyl-mercury to ASR 'receiving waters'. Net production of methylmercury, however, can result from additions of sulfate or natural organic carbon. Thus, because the Upper Floridan aquifer generally has elevated concentrations of sulfate (relative to ambient Everglades conditions) and surface waters near Lake Okeechobee (the assumed target for ASR receiving waters) are elevated in organic carbon and sulfate, at least some potential for increased methylmercury production might arise from the release of recovered ASR water to locations in or near the Everglades.

Scientific Investigations Report

The role of photogeologic mapping in traverse planning: Lessons from DRATS 2010 activities

We produced a 1:24,000 scale photogeologic map of the Desert Research and Technology Studies (DRATS) 2010 simulated lunar mission traverse area and surrounding environments located within the northeastern part of the San Francisco Volcanic Field (SFVF), north-central Arizona. To mimic an exploratory mission, we approached the region “blindly” by rejecting prior knowledge or preconceived notions of the regional geologic setting and focused instead only on image and topographic base maps that were intended to be equivalent to pre-cursor mission “orbital returns”. We used photogeologic mapping techniques equivalent to those employed during the construction of modern planetary geologic maps. Based on image and topographic base maps, we identified 4 surficial units (talus, channel, dissected, and plains units), 5 volcanic units (older cone, younger cone, older flow, younger flow, and block field units), and 5 basement units (grey-toned mottled, red-toned platy, red-toned layered, light-toned slabby, and light-toned layered units). Comparison of our remote-based map units with published field-based map units indicates that the two techniques yield pervasively similar results of contrasting detail, with higher accuracies linked to remote-based units that have high topographic relief and tonal contrast relative to adjacent units. We list key scientific questions that remained after photogeologic mapping and prior to DRATS activities and identify 13 specific observations that the crew and science team would need to make in order to address those questions and refine the interpreted geologic context. We translated potential observations into 62 recommended sites for visitation and observation during the mission traverse. The production and use of a mission-specific photogeologic map for DRATS 2010 activities resulted in strategic and tactical recommendations regarding observational context and hypothesis tracking over the course of an exploratory mission.

Acta Astronautica

Coastal sensitivity to sea level rise— A focus on the Mid-Atlantic Region

This Synthesis and Assessment Product (SAP), developed as part of the U.S. Climate Change Science Program, examines potential effects of sea-level rise from climate change during the twenty-first century, with a focus on the mid-Atlantic coast of the United States. Using scientific literature and policy-related documents, the SAP describes the physical environments; potential changes to coastal environments, wetlands, and vulnerable species; societal impacts and implications of sea-level rise; decisions that may be sensitive to sea-level rise; opportunities for adaptation; and institutional barriers to adaptation. The SAP also outlines the policy context in the mid-Atlantic region and describes the implications of sea-level rise impacts for other regions of the United States. Finally, this SAP discusses ways natural and social science research can improve understanding and prediction of potential impacts to aid planning and decision making. Projections of sea-level rise for the twenty-first century vary widely, ranging from several centimeters to more than a meter. Rising sea level can inundate low areas and increase flooding, coastal erosion, wetland loss, and saltwater intrusion into estuaries and freshwater aquifers. Existing elevation data for the mid-Atlantic United States do not provide the degree of confidence needed for local decision making. Systematic nationwide collection of high-resolution elevation data would improve the ability to conduct detailed assessments in support of planning. The coastal zone is dynamic and the response of coastal areas to sea-level rise is more complex than simple inundation. Much of the United States consists of coastal environments and landforms such as barrier islands and wetlands that will respond to sea-level rise by changing shape, size, or position. The combined effects of sea-level rise and other climate change factors such as storms may cause rapid and irreversible coastal change. All these changes will affect coastal habitats and species. Increasing population and development in coastal areas also affects the ability of natural ecosystems to adjust to sea-level rise. Coastal communities and property owners have responded to coastal hazards by erecting shore protection structures, elevating land and buildings, or relocating inland. Accelerated sea-level rise would increase the costs and environmental impacts of these responses. Shoreline armoring can eliminate the land along the shore to which the public has access; beach nourishment projects often increase access to the shore. Preparing for sea-level rise can be justified in many cases, because the cost of preparing now is small compared to the cost of reacting later. Examples include wetland protection, flood insurance, longlived infrastructure, and coastal land-use planning. Nevertheless, preparing for sea-level rise has been the exception rather than the rule. Most coastal institutions were based on the implicit assumption that sea level and shorelines are stable. Efforts to plan for sea-level rise can be thwarted by several institutional biases, including government policies that encourage coastal development, flood insurance maps that do not consider sea-level rise, federal policies that prefer shoreline armoring over soft shore protection, and lack of plans delineating which areas would be protected or not as sea level rises. The prospect of accelerated sea-level rise and increased vulnerability in coastal regions underscores the immediate need for improving our scientific understanding of and ability to predict the effects of sea-level rise on natural systems and society. These actions, combined with development of decision support tools for taking adaptive actions and an effective public education program, can lessen the economic and environmental impacts of sea-level rise.

Report

Hydrology of the San Luis Valley, south-central Colorado

An investigation of the water resources of the Colorado part of the San Luis Valley was begun in 1966 by the U.S. Geological Survey, in cooperation with the Colorado Water Conservation Board. (See index map, fig. 1). The purpose of the investigation is to provide information for planning and implementing improved water-development and management practices. The major water problems in the San Luis Valley include (1) waterlogging, (2) waste of water by nonbeneficial evapotranspiration, (3) deterioration of ground-water chemical quality, and (4) failure of Colorado to deliver water to New Mexico and Texas in accordance with the Rio Grande Compact. This report describes the hydrologic environment, extent of water-resource development, and some of the problems related to that development. Information presented is based on data collected from 1966 to 1968 and on previous studies. Subsequent reports are planned as the investigation progresses. The San Luis Valley extends about 100 miles from Poncha Pass near the northeast corner of Saguache County, Colo., to a point about 16 miles south of the Colorado-New Mexico State line. The total area is 3,125 square miles, of which about 3,000 are in Colorado. The valley is nearly flat except for the San Luis Hills and a few other small areas. The Colorado part of the San Luis Valley, which is described in this report, has an average altitude of about 7,700 feet. Bounding the valley on the west are the San Juan Mountains and on the east the Sangre de Cristo Mountains. Most of the valley floor is bordered by alluvial fans deposited by streams originating in the mountains, the most extensive being the Rio Grande fan (see block diagram, fig. 2 in pocket). Most of the streamflow is derived from snowmelt from 4,700 square miles of watershed in the surrounding mountains. The northern half of the San Luis Valley is internally drained and is referred to as the closed basin. The lowest part of this area is known locally as the "sump." The remainder of the valley is drained by the Rio Grande and its tributaries. The climate of the San Luis Valley is arid, and a successful agricultural economy would not be possible without irrigation. It is characterized by cold winters, moderate summers, and much sunshine. The average annual precipitation on the valley floor ranges from 7 to 10 inches. More than half the precipitation occurs from July to September. Moisture deficiency in the valley is shown by the graph comparing pan evaporation and precipitation {fig. 3}. For the years 1961-67 average pan evaporation for the period April through September was 52.25 inches, but average precipitation for the period was only 5.02 inches. Average annual precipitation was 7.8 inches. Owing to the short growing season (90-120 days), crops a.re restricted mainly to barley, oats, potatoes, and other vegetables.

Colorado

Towards a refined definition of “tidal influence” for the coastal wetland sciences

The astronomical tide relates to lunar (and to a lesser extent solar) influences on rising and falling water bodies, and is a key control of many coastal processes. However, tides manifest along coastal margins in different ways to muddle application beyond Sir Isaac Newton’s first descriptions. Here, we argue that tide, or specifically “tidal,” has not been adequately defined for the coastal wetland sciences to facilitate contemporary interdisciplinary distinction for rapidly changing coastlines and future climate adaptation planning. We provide a brief history of the tidal concept, and we describe tides in a diversity of uncommonly recognized marginal coastal environments. Common astronomical tide manifestations are described through hydrographic examples, then expanded to include those tidal environments exposed additionally to fluvial, meteorological (wind), or groundwater influences. Our expanded definition of “tidal” is intended to be a forward-looking construct as environments will inevitably change with sea-level rise, water extraction, and anthropogenic flow alteration. Our definition of wetland tidal influence, which we broaden, includes those “wetlands affected by astronomic water level fluctuations within coastally restricted environments causing frequent or infrequent surface inundation or groundwater tidal variation that affects the biogeochemistry of the soil (e.g., ion exchange capacity, oxygen state, mineralization processes)”. Astronomic water level fluctuations are often amplified or dampened by non-astronomical events, such as wind. Expanding the definition of what is considered tidal by the scientific community is critical for improved understanding of coastal wetland function and the suite of ecosystem services they provide people and society, including climate mitigation opportunity, management, and adaptation.

Wetlands

Implications of physics-based M9 ground motions on liquefaction-induced damage in the Cascadia Subduction Zone: Looking forward and backward

Given the likelihood of future M9 Cascadia Subduction Zone (CSZ) earthquakes, various estimates of the resulting, regional ground motions have been made, including a suite of 30 physics-based simulations that reflect key modeling uncertainties. However, because the last CSZ interface rupture occurred in 1700 CE, the shaking expected in such an event is especially uncertain, as are the impacts to the built and living environments. Like other coseismic impacts, soil liquefaction poses a significant threat and must be considered by any scenario study used to inform planning and response, or to focus mitigation resources. Liquefaction is also notable for its potential to “ground truth” ground-motion estimates, given that its presence or absence in the geologic record can provide constraint on the intensities of shaking in past events. It is thus an important phenomenon looking both forward and backward. Accordingly, using recent physics-based simulations, this study (1) predicts liquefaction in M9 CSZ ruptures at 400 locations in Oregon, Washington, and British Columbia (BC) using an array of cone-penetration-test based models and (2) uses paleoliquefaction evidence at ten sites spanning from Southern Oregon to Vancouver, BC to constrain possible ground-motion intensities experienced in the 1700 CE earthquake. The forward predictions indicate that liquefaction in M9 events could be pervasive in the region and affect numerous population hubs, with the potential for damage across hundreds of square kilometers. The backward analyses suggest that 1700 CE ground-motion intensities may have been less than expected from M9 simulations in some northern portions of the CSZ (e.g. Seattle), given the paucity of 1700 CE liquefaction evidence in these areas. Ultimately, further discovery and analysis of CSZ paleoliquefaction, or lack thereof, will confirm or modify this possibility and the conclusions drawn herein.

Oregon, Washington

The ecological - Societal underpinnings of Everglades restoration

The biotic integrity of the Florida Everglades, a wetland of immense international importance, is threatened as a result of decades of human manipulation for drainage and development. Past management of the system only exacerbated the problems associated with nutrient enrichment and disruption of regional hydrology. The Comprehensive Everglades Restoration Plan (CERP) now being implemented by Federal and State governments is an attempt to strike a balance between the needs of the environment with the complex management of water and the seemingly unbridled economic growth of southern Florida. CERP is expected to reverse negative environmental trends by "getting the water right", but successful Everglades restoration will require both geochemical and hydrologic intervention on a massive scale. This will produce ecological trade-offs and will require new and innovative scientific measures to (1) reduce total phosphorus concentrations within the remaining marsh to 10 ??g/L or lower; (2) quantify and link ecological benefits to the restoration of depths, hydroperiods, and flow velocities; and (3) compensate for ecological, economic, and hydrologic uncertainties in the CERP through adaptive management. ?? The Ecological Society of America.

Conference Paper

Science support for evaluating natural recovery of polychlorinated biphenyl concentrations in fish from Crab Orchard Lake, Crab Orchard National Wildlife Refuge, Illinois

Introduction Crab Orchard Lake in southern Illinois is one of the largest and most popular recreational lakes in the state. Construction of the nearly 7,000-acre reservoir in the late 1930s created employment opportunities through the Works Progress Administration, and the lake itself was intended to supply water, control flooding, and provide recreational opportunities for local communities (Stall, 1954). In 1942, the Department of War appropriated or purchased more than 20,000 acres of land around Crab Orchard Lake and constructed the Illinois Ordnance Plant, which manufactured bombs and anti-tank mines during World War II. After the war, an Act of Congress transferred the property to the U.S. Department of the Interior. Crab Orchard National Wildlife Refuge was established on August 5, 1947, for the joint purposes of wildlife conservation, agriculture, recreation, and industry. Production of explosives continued, but new industries also moved onsite. More than 200 tenants have held leases with Crab Orchard National Wildlife Refuge and have operated a variety of manufacturing plants (electrical components, plated metal parts, ink, machined parts, painted products, and boats) on-site. Soils, water, and sediments in several areas of the refuge were contaminated with hazardous substances from handling and disposal methods that are no longer acceptable environmental practice (for example, direct discharge to surface water, use of unlined landfills). Polychlorinated biphenyl (PCB) contamination at the refuge was identified in the 1970s, and a PCB-based fish-consumption advisory has been in effect since 1988 for Crab Orchard Lake. The present advisory covers common carp ( Cyprinus carpio ) and channel catfish ( Ictalurus punctatus ); see Illinois Department of Public Health (2017). Some of the most contaminated areas of the refuge were actively remediated, and natural ecosystem recovery processes are expected to further reduce residual PCB concentrations in the lake. The U.S. Fish and Wildlife Service sought technical support to understand environmental drivers of current (2017) PCB residues in fish tissue and patterns in PCB residues through time to inform the fish-consumption advisory for Crab Orchard Lake. This project is planned in two phases (Tasks 1 and 2); the first phase is included in this report. Task 1, reported here, includes a review of existing literature and a brief overview focused on environmental and biochemical/physiological processes that drive PCB residues in fish tissue. This review specifically targets processes that are relevant for freshwater lacustrine environments such as those at Crab Orchard Lake. In addition to discussions of environmental fate, metabolism, and accumulation of PCBs, this review includes a brief scientifically based explanation of approaches used to establish fish-consumption advisories. A planned second task (Task 2) will include a compilation and summary of existing data on PCB residues in fish tissue samples from Crab Orchard Lake. This summary will also place Crab Orchard Lake data in a broader geographic context through a comparison with fish data from other Midwestern lakes. When Task 1 and Task 2 are complete, resource managers will have (a) a synthesis of existing literature that characterizes the processes influencing the fate of residual PCBs remaining in systems such as Crab Orchard Lake, (b) a summary of natural PCB attenuation processes for use in risk communication with the public, and (c) a summary of existing data on PCBs in fish tissues from Crab Orchard Lake, including exploratory plots of tissue residues through time. Overall, this project will provide data to help resource managers better understand the ecological and public health consequences of residual PCBs in Crab Orchard Lake.

Illinois

Forensic applications of nitrogen and oxygen isotopes in tracing nitrate sources in urban environments

Ground and surface waters in urban areas are susceptible to nitrate contamination from septic systems, leaking sewer lines, and fertilizer applications. Source identification is a primary step toward a successful remediation plan in affected areas. In this respect, nitrogen and oxygen isotope ratios of nitrate, in conjunction with hydrologic data and water chemistry, have proven valuable in urban studies from Austin, Texas, and Tacoma, Washington. In Austin, stream water was sampled during stremflow and baseflow conditions to assess surface and subsurface sources of nitrate, respectively. In Tacoma, well waters were sampled in adjacent sewered and un-sewered areas to determine if locally high nitrate concentrations were caused by septic systems in the un-sewered areas. In both studies, sewage was identified as a nitrate source and mixing between sewage and other sources of nitrate was apparent. In addition to source identification, combined nitrogen and oxygen isotopes were important in determining the significance of denitrification, which can complicate source assessment by reducing nitrate concentrations and increasing ??15N values. The two studies illustrate the value of nitrogen and oxygen isotopes of nitrate for forensic applications in urban areas. ?? Published by Elsevier Science Ltd. on behalf of AEHS.

Environmental Forensics

A multi-disciplinary approach to the removal of emerging contaminants in municipal wastewater treatment plans in New York State, 2003-2004

Across the United States, there is a rapidly growing awareness of the occurrence and the toxicological impacts of natural and synthetic trace compounds in the environment. These trace compounds, referred to as emerging contaminants (ECs), are reported to cause a range of negative impacts in the environment, such as adverse effects on biota in receiving streams and interference with the normal functions of the endocrine system, which controls growth and development in living organisms. Wastewater treatment plants (WWTPs) have been identified as a key collection point for ECs in the water cycle and potentially an ideal location at which to treat to remove them, thereby mitigating their release into the environment ( Figure 1 ). This presents wastewater industry professionals with both a significant opportunity and a tremendous challenge: to identify cost effective treatment processes that can remove or reduce these contaminants before they are released into the environment. Although WWTPs have been identified as strategic focal points and potential treatment locations for the removal of ECs from the environment, little is known about the nature, variability, transport and fate of this class of compounds in typical wastewaters and treatment facilities in the United States. Furthermore few studies have been performed to monitor or understand the capability of conventional or innovative wastewater treatment processes to remove or reduce the concentrations of a wide variety of ECs at wastewater facilities. This study was designed to provide baseline information on this topic. While other studies have examined the occurrence of a limited number of representative contaminants in the environment (generally five to 10 compounds), this study is unique in that it provides information on a comprehensive list of ECs (63 ECs in total, Contaminant List in Appendix A, not included here) in the wastewater collection and treatment systems for four diverse communities over a two-year period. (It should be noted that the study is ongoing and additional data are pending but only 18 months of data are presented in this paper). The study was conducted in two phases. Phase 1 was designed to provide information concerning the general character and concentration of ECs commonly detected in wastewaters, the variability over a prolonged period of time, the transport and fate of ECs through typical wastewater treatment plants operating with a range of conventional technologies and the impact of WWTP discharges on receiving streams. It also provided guidance in understanding the capability of distinct wastewater treatment processes or technologies to reduce or remove ECs. The second phase of the study focused on one of the most common wastewater treatment processes operated in the United States, the Activated Sludge process. Using four controlled parallel activated sludge pilots, a more detailed assessment of the impact of Sludge Retention Time (SRT) on the reduction or removal of ECs was performed.

New York

Crop type classification, trends, and patterns of central California agricultural fields from 2005 to 2020

California produces many key agricultural products in the United States. Current geospatial agricultural datasets are limited in mapping accuracy, spatial context, or observation period. This study uses machine learning and high-resolution imagery to produce a time series of crop maps to assess crop type trends and patterns across central California from 2005 to 2020. National Agriculture Imagery Program and Landsat imagery were used to classify nine crop types that are common in the study region: grain crops, field crops, rice, citrus and subtropical, deciduous fruit and nut, vineyard, berry and vegetable, pasture, and fallow/young perennial crop types. To create labeled data, we sampled 1253 fields and manually identified crop types for each examined year using high-resolution imagery and Landsat normalized difference vegetation index time series. We applied a random forest machine learning algorithm in Google Earth Engine. Results show that the mean overall classification accuracy of the nine-class map was 93.1%, with individual accuracies ranging from 99.3% (rice) to 89.5% (fallow/young perennial). Mann–Kendall trend tests showed significant ( p less than 0.05) declines in field crop and pasture area during the study period, while deciduous fruit and nut, citrus and subtropical, and fallow/young perennial crop types experienced significant increases. At an aggregate level, there was a general shift from annual crop types to perennial crop types. These data provide a 16-year time span of spatially explicit crop type classifications, trends, and patterns in central California that can be used to aid managers and decision makers for resource planning or hazard mitigation.

California

California Deepwater Investigations and Groundtruthing (Cal DIG) I, volume 3 — Benthic habitat characterization offshore Morro Bay, California

Coastal and Marine Ecological Classification Standard (CMECS) geoform, substrate, and biotic component geographic information system (GIS) products were developed for the U.S. Exclusive Economic Zone (U.S. EEZ) of south-central California in the region of Santa Lucia Bank motivated by interest in development of offshore wind-energy capacity and infrastructure. The Bureau of Ocean Energy Management (BOEM), in coordination with the State of California and many other members of the California Task Force, issued calls for information in 2018 for the study area offshore of Morro Bay, California. The study area is in depths of 500 to 1,200 meters (m) and adjacent to a decommissioned nuclear power plant with a developed electric grid connection, and in an area of high wind resource. BOEM is the lead agency responsible for planning and leasing in the U.S. EEZ and funded this project to assess baseline conditions of, and the potential effects on, the seafloor environment. This project, carried out by the U.S. Geological Survey (USGS), resulted in three reports: one on biological analysis of seafloor video data, one on analysis of the geologic framework and hazards, and this report on seafloor habitat. The study area consists of 8,424 square kilometers (km 2 ) of multibeam echo sounder (MBES) data acquired during five surveys from 2016 to 2019. Remotely operated vehicle (ROV) video was acquired in 2019 to supervise the classification of the MBES data into habitats. Derivatives of the MBES data were classified into 16 unique biotopes, 6 substrate types, 28 modifier groups, and 22 geoforms. The study area substrate is predominantly soft sediment (mud and fine sand) covering 7,804 km 2 (92.7 percent) of the area. Mixed substrate areas on rocky banks, channel scarps, and the shelf break comprise 404 km 2 (4.8 percent) of the study area. Hard substrate areas are found predominantly on the tops and flanks of banks and on bank ridges that separate canyons incising the banks. Hard substrates comprise 211 km 2 of the study area (2.5 percent). After the bathymetry and backscatter raster images (rasters) were classified, manual editing was also done to remove noise artifacts. This effort was not completely successful and there are numerous erroneous small areas in the rasters that have been passed on to the CMECS polygon product. Nearly 120,000 annotations of organisms and their habitat were made from 25 video transects selected from 185 hours of ROV video. In total, 2,714 km 2 of seafloor were successfully assigned to biotopes. Some biotopes were assigned to separate areas spatially distant from the transects that define the biotope. Expected relations between physical habitat and biota such as the number of species and the substrate induration and rugosity were verified. Slope is typically a predictive variable and was used in the classification of habitat, but the ground truth used for biotic component analysis included very little steeply sloping area. Ground-truth ROV operations were reduced by the sea state; additional ground truth could improve the biotic results and increase confidence in the spatial distribution of classifications reported here.

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