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At least 145 records · Page 8Linked to original sources

Toward a social-ecological theory of forest macrosystems for improved ecosystem management

The implications of cumulative land-use decisions and shifting climate on forests, require us to integrate our understanding of ecosystems, markets, policy, and resource management into a social-ecological system. Humans play a central role in macrosystem dynamics, which complicates ecological theories that do not explicitly include human interactions. These dynamics also impact ecological services and related markets, which challenges economic theory. Here, we use two forest macroscale management initiatives to develop a theoretical understanding of how management interacts with ecological functions and services at these scales and how the multiple large-scale management goals work either in consort or conflict with other forest functions and services. We suggest that calling upon theories developed for organismal ecology, ecosystem ecology, and ecological economics adds to our understanding of social-ecological macrosystems. To initiate progress, we propose future research questions to add rigor to macrosystem-scale studies: (1) What are the ecosystem functions that operate at macroscales, their necessary structural components, and how do we observe them? (2) How do systems at one scale respond if altered at another scale? (3) How do we both effectively measure these components and interactions, and communicate that information in a meaningful manner for policy and management across different scales?

Forests

Framework for monitoring shrubland community integrity in California Mediterranean type ecosystems: Information for policy makers and land managers

Shrublands in Mediterranean‐type ecosystems worldwide support important ecosystem services including high levels of biodiversity and are threatened by multiple factors in heavily used landscapes. Use, conservation, and management of these landscapes involve diverse stakeholders, making decision processes complex. To be effective, management and land use decisions should be informed by current information on ecosystem quality and resilience. However, obtaining this information is often a challenge due to the extent of landscapes involved. Here we present a conceptual integrity monitoring framework based on simple easily observable ecosystem components readily understood by nonspecialists. Community integrity is defined by plant functional group based on relative proportion of shrubs and nonnative annual grasses. The ability to use these straightforward metrics results from four factors: relatively good alignment of characteristic bird, mammal, and insect communities with shrub cover, positive feedback between annual grasses and short fire intervals, the inhibitory effect of annual grasses on shrub seedling establishment, and similar functional group response to different disturbances. Two additional metrics, indicator species and shrub species diversity, capture subtle yet persistent signatures of disturbance on integrity not reflected in functional group composition. The framework is designed to: categorize habitats into ecosystem integrity classes, forecast likely integrity class changes caused by threats and environmental conditions, and provide a simple reporting mechanism that can be overlain with data on conservation status and vulnerabilities. The proposed framework includes a pilot phase to validate empirical relationships, thresholds, and sampling efficiency. The accessibility of these metrics to nonspecialists is anticipated to enhance communication among stakeholders and thus facilitate problem solving. Leveraging monitoring and mapping programs driven by other needs (e.g., species conservation and fire management) affords meaningful opportunities to offset program costs.

California

Visitor and community survey results for Prime Hook National Wildlife Refuge: Completion report

This study was commissioned by the Northeast Region of the U.S. Fish and Wildlife Service (USFWS) in support of the Comprehensive Conservation Planning at Prime Hook National Wildlife Refuge (Prime Hook NWR or Refuge). The National Wildlife Refuge Improvement Act of 1997 (Public Law 105-57, USC668dd) mandates a Comprehensive Conservation Plan (CCP) for every refuge in the system. A refuge CCP outlines goals, objectives, and management strategies for all refuge programs over the next 15 years, while providing opportunities for compatible, wildlifedependent public uses. The plan evaluates refuge wildlife, habitat, land protection, and visitor service priorities during the planning process. The National Environmental Policy Act (NEPA; Public Law 91-190:852-859.42, U.S.C. and as Amended (P.L. 94-52 and P.L. 94-83) 42 U.S.C. 4321-4347) mandates that the CCP for each refuge must contain an analysis of social and economic conditions (the affected environment) and evaluate social and economic results from likely management scenarios. In addition, public review and comment on alternatives for future management is required. To that end, this research was conducted by the Policy Analysis and Science Assistance Branch (PASA) of the U.S. Geological Survey/Fort Collins Science Center in order to determine how current and proposed CCP planning strategies for Prime Hook NWR could affect: Visitor use Visitor experiences Visitor spending Community residents’ perceptions and opinions Data for this study were collected using a survey administered to visitors to Prime Hook NWR and individuals living in the communities surrounding the Refuge. Surveys were randomly distributed to both consumptive and nonconsumptive use visitors over a one year period (September 2004 to September 2005) to account for seasonal variation in Refuge use. Three hundred thirty-two visitor surveys were returned for a response rate of 80 percent with a confidence interval of ± 5.4. Surveys were also distributed to a stratified random sample of community members in adjacent and surrounding areas (Slaughter Beach, Broadkill Beach, Prime Hook Beach, Milton, Lewes, Milford, and surrounding communities). Four hundred ninety-one surveys from the overall community sample were returned for a response rate of 39 percent with a ± 4.4 confidence interval. Community member results were weighted by U.S. Census Bureau data to correct for age and gender bias, and for community proportionality.

Delaware

Using public litigation records to identify priority science needs for managing public lands

Relevant science is essential for effective natural resource decision making, including on public lands managed by the United States Department of the Interior (DOI) Bureau of Land Management (BLM), that cover 1/10th of the United States. Most of the BLM’s management decisions require analyses under the National Environmental Policy Act, and the use of science in these decisions is often challenged. Using coproduction, we assembled an interagency team of scientists and resource managers to develop a method for using public litigation to identify priority science needs for the BLM. We searched publicly available case documents finalized from 2015–2019 in Wyoming, Colorado, Utah, and New Mexico within federal courts and the DOI Office of Hearings and Appeals, and identified 108 case documents that involved challenges to the BLM’s use of science. We retained 48 case documents that contained at least one challenge about the BLM’s use of science for a specific resource. We categorized all challenges in each case document according to the proposed action, affected resource, type of science challenged (data about resources, science relevant to potential impacts, methods for analyzing potential impacts, and mitigation actions), and specific nature of the challenge (e.g., challenging direct effects analysis). We identified priority science needs based on the frequency of challenges, the number of states where similar challenges occurred, whether the BLM lost the challenge, and whether the case was remanded. Top needs related to oil and gas development actions and included science about effects on air quality and climate, water, and socioeconomics; data for air quality and climate; and methods for analyzing potential impacts to cultural resources and air quality and climate. The BLM can use this information to prioritize actions (e.g., funding new research or science syntheses) to strengthen its science foundation for decision-making.

Colorado, New Mexico, Utah, Wyoming

GRACEnet: addressing policy needs through coordinated cross-location research

GRACEnet (Greenhouse gas Reduction through Agricultural Carbon Enhancement network) was conceived to build upon ongoing USDA Agricultural Research Service (ARS) research to improve soil productivity, while addressing the challenges and opportunities of interest in C sequestration from a climate change perspective. The vision for GRACEnet was and remains: Knowledge and information used to implement scientifically based agricultural management practices from the field to national policy scales on C sequestration, greenhouse gas (GHG) emissions, and environmental benefits. The national focus of GRACEnet uses a standardized approach by ARS laboratories and university and land manager (e.g. farmer and rancher) cooperators to assess C sequestration and GHG emission from different crop and grassland systems. Since 2002, GRACEnet has significantly expanded GHG mitigation science and delivered usable information to agricultural research and policy organizations. Recent developments suggest GRACEnet will have international impact by contributing leadership and technical guidance for the Global Research Alliance on Agricultural Greenhouse Gases.

Book chapter

Sources and risk factors for nitrate and microbial contamination of private household wells in the fractured dolomite aquifer of northeastern Wisconsin

Background: Groundwater quality in the Silurian dolomite aquifer in northeastern Wisconsin, USA, has become contentious as dairy farms and exurban development expand. Objectives: We investigated private household wells in the region, determining the extent, sources, and risk factors of nitrate and microbial contamination. Methods: Total coliforms, Escherichia coli , and nitrate were evaluated by synoptic sampling during groundwater recharge and no-recharge periods. Additional seasonal sampling measured genetic markers of human and bovine fecal-associated microbes and enteric zoonotic pathogens. We constructed multivariable regression models of detection probability (log-binomial) and concentration (gamma) for each contaminant to identify risk factors related to land use, precipitation, hydrogeology, and well construction. Results: Total coliforms and nitrate were strongly associated with depth-to-bedrock at well sites and nearby agricultural land use, but not septic systems. Both human wastewater and cattle manure contributed to well contamination. Rotavirus group A, Cryptosporidium , and Salmonella were the most frequently detected pathogens. Wells positive for human fecal markers were associated with depth-to-groundwater and number of septic system drainfield within 229 m "> 229 m 229m . Manure-contaminated wells were associated with groundwater recharge and the area size of nearby agricultural land. Wells positive for any fecal-associated microbe, regardless of source, were associated with septic system density and manure storage proximity modified by bedrock depth. Well construction was generally not related to contamination, indicating land use, groundwater recharge, and bedrock depth were the most important risk factors. Discussion: These findings may inform policies to minimize contamination of the Silurian dolomite aquifer, a major water supply for the U.S. and Canadian Great Lakes region.

Wisconsin

Sustainable wetland management and support of ecosystem services

This article is a follow-up on a previous piece in the National Wetlands Newsletter in which we outlined problems associated with a static, local approach to wetland management versus an alternative that proposes a temporal and geomorphic approach (Euliss et al. 2009). We extend that concept by drawing on companion papers recently published in the journal Wetlands (Euliss et al. 2008, Smith et al. 2008). Here we highlight reasons for the failure of many managed wetlands to provide a suite of ecosystem services (e.g., carbon storage, diodiversity, ground-water recharge, contaminant filtering, floodwater storage). Our principal theme is that wetland management is best approached by giving consideration to the hydrogeomorphic processes that maintain productive ecosystems and by removing physical and social impediments to those processes. Traditional management actions are often oriented toward maintaining static conditions in wetlands without considering the temporal cycles that wetlands need to undergo or achieve productivity for specific groups of wildlife, such as waterfowl. Possibly more often, a manager's ability to influence hydrogeomorphic processes is restricted by activities in surrounding watersheds. These could be dams, for example, which do not allow management of flood-pulse processes essential to productivity of riparian systems. In most cases, sediments and nutrients associated with land use in contributing watersheds complicate management of wetlands for a suite of services, including wildlife. Economic or policy forces far-removed from a wetland often interact to prevent occurrence of basic ecosystem processes. Our message is consistent with recommendation of supply-side sustainability of Allen et al. (2002) in which ecosystems are managed "for the system that produces outputs rather than the outputs themselves."

National Wetlands Newsletter

Identifying determinants of nations' wetland management programs using structural equation modeling: An exploratory analysis

Integrated management and policy models suggest that solutions to environmental issues may be linked to the socioeconomic and political Characteristics of a nation. In this study, we empirically explore these suggestions by applying them to the wetland management activities of nations. Structural equation modeling was used to evaluate a model of national wetland management effort and one of national wetland protection. Using five predictor variables of social capital, economic capital, environmental and political characteristics, and land-use pressure, the multivariate models were able to explain 60% of the variation in nations' wetland protection efforts based on data from 90 nations, as defined by level of participation, in the international wetland convention. Social capital had the largest direct effect on wetland protection efforts, suggesting that increased social development may eventually lead to better wetland protection. In contrast, increasing economic development had a negative linear relationship with wetland protection efforts, suggesting the need for explicit wetland protection programs as nations continue to focus on economic development. Government, environmental characteristics, and land-use pressure also had a positive direct effect on wetland protection, and mediated the effect of social capital on wetland protection. Explicit wetland protection policies, combined with a focus on social development, would lead to better wetland protection at the national level.

Environmental Management

The ecology of dust

Wind erosion and associated dust emissions play a fundamental role in many ecological processes and provide important biogeochemical connectivity at scales ranging from individual plants up to the entire globe. Yet, most ecological studies do not explicitly consider dust‐driven processes, perhaps because most relevant research on aeolian (wind‐driven) processes has been presented in a geosciences rather than an ecological context. To bridge this disciplinary gap, we provide a general overview of the ecological importance of dust, examine complex interactions between wind erosion and ecosystem dynamics from the scale of plants and surrounding space to regional and global scales, and highlight specific examples of how disturbance affects these interactions and their consequences. It is likely that changes in climate and intensification of land use will lead to increased dust production from many drylands. To address these issues, environmental scientists, land managers, and policy makers need to consider wind erosion and dust emissions more explicitly in resource management decisions.

Frontiers in Ecology and the Environment

The quality of our nation's waters: Nutrients and pesticides

This report is the first in a series of nontechnical publications, 'The quality of our nation's waters,' designed to describe major findings of the National Water-Quality Assessment Program regarding water-quality issues of regional and national concern. Sources, seasonal and geographic patterns of occurrence, and long-term trends are evaluated for nutrients and pesticides in streams and ground water and for pesticides in bed sediment and fish tissue from 20 major river basins and (or) aquifer systems across the conterminous United States. Implications of these national findings relative to water policies and strategies are presented. Issues discussed include relationships of nutrients and pesticides to natural features, land and chemical use, and resource-management practices; effects on human and aquatic health; considerations for development of water-quality standards; and approaches to modeling.

Circular

Map showing outstanding natural and historic landmarks in the greater Denver area, Front Range Urban Corridor, Colorado

The preservation and protection of landmarks of outstanding natural and historical significance has become a matter of increasing public concern as man's ability to alter the landscape has increased. Congress expressed its concern in 1969 in its passage of the National Environmental Policy Act. The purpose of this report is to identify and inventory such landmarks. Appropriate consideration in land-use planning and development can then follow.

Colorado

Using landscape ecology to test hypotheses about large-scale abundance patterns in migratory birds

The hypothesis that Neotropical migrant birds may be undergoing widespread declines due to land use activities on the breeding grounds has been examined primarily by synthesizing results from local studies. Growing concern for the cumulative influence of land use activities on ecological systems has heightened the need for large—scale studies to complement what has been observed at local scales. We investigated possible landscape effects on Neotropical migrant bird populations for the eastern United States by linking two large—scale inventories designed to monitor breeding—bird abundances and land use patterns. The null hypothesis of no relation between landscape structure and Neotropical migrant abundance was tested by correlating measures of landscape structure with bird abundance, while controlling for the geographic distance among samples. Neotropical migrants as a group were more sensitive to landscape structure than either temperate migrants or permanent residents. Neotropical migrants tended to be more abundant in landscapes with a greater proportion of forest and wetland habitats, fewer edge habitats, larger forest patches, and with forest habitats well dispersed throughout the scene. Permanent residents showed few correlations with landscape structure and temperate migrants were associated with habitat diversity and edge attributes rather than with the amount, size, and dispersion of forest habitats. The association between Neotropical migrant abundance and forest fragmentation differed among physiographic strata, suggesting that landscape context affects observed relations between bird abundance and landscape structure. Finally, associations between landscape structure and temporal trends in Neotropical migrant abundance were counter to those observed in space. Trends in Neotropical migrant abundance were negatively correlated with forest habitats. These results suggest that extrapolation of patterns observed in some landscapes is not likely to hold regionally, and that conservation policies must consider the variation in landscape structure associations observed among different types of bird species and in physiographic strata with varying land use histories.

Ecology

Dynamics of land-use change and conservation in the Prairie Pothole Region of the United States: environmental and economic implications with linkages to rural community well-being

Rural America has changed dramatically over the last century, from having over half the population living in rural settings to only 20 percent residing in a rural area today, and outmigration of younger populations from rural communities remains a constant issue for local governing officials. A declining tax base and concurrent rising costs for maintenance and repair of aging infrastructure add further challenges to policy decisions. Reduced enrollment has caused school closures or mergers. Farm consolidation and technical advances reduced the demand for local labor. On the positive side, however, record-high commodity prices have amplified farm income to new heights. The increased revenues can lead to farmers spending additional money within the local region, while at the same time increased transportation of products has impacted local infrastructure such as roads and bridges. Such dynamics present challenges for municipal leaders charged with promoting economic development and balanced spending, while at the same time maintaining the way of life and rural character that are so important to area residents. The Prairie Pothole Region (PPR) of the United States covers much of the Northern Great Plains, including parts of North and South Dakota, Minnesota, Iowa, and a small part of Montana, and extends across a broad swath of Alberta and Saskatchewan. The region is defined largely by its rural character but has experienced extensive land conversion over the last century, with agricultural areas replacing native prairie habitat. Additional pressures arise from oil and gas development, global markets for agricultural production, and increased demands for biofuel feedstocks. Record-high commodity prices increase pressure on the native prairie as farmers look for new cropland acres. The volatility of commodity prices has raised fears over the intensity of land conversion to row-crop agriculture, the economic health and resiliency of rural communities, and ultimately, population dynamics and outmigration of younger generations. Land-use pressures are increased by the exponential growth of oil and gas production in the region, where some 8,200 wells are now in production within the Williston Basin of North Dakota, accompanied by increased population pressures on housing and municipal services. The U.S. Department of Agriculture’s Conservation Reserve Program (CRP)--a cropland retirement program with close to 4.8 million acres enrolled in the PPR--faces uncertainty in upcoming legislative actions, with a large majority of property enrollments scheduled to expire by 2017. The CRP historically has provided improved habitat conditions, reductions of soil damage through erosion and loss of nutrients, and sequestration of millions of tons of atmospheric carbon. In turn, wildlife-related recreation levels have increased in many parts of the PPR, with money spent in local communities. Contemporary resource-management and rural-development planning increasingly emphasize the need for diversification and integration of resource-extractive industries with nonmarket-based recreational and amenity values that tie into quality of life. Ultimately, each community is unique in its environmental, social, economic, and fiscal endowments. One rural-development policy may work better in one community than another. In addition, rural-development issues such as migration, job growth, and taxes are diverse in themselves. The goal of this report is to qualitatively and quantitatively discuss the economic impacts of land-use decisions in rural areas, particularly in the PPR.

Professional Paper

Using simulated historical time series to prioritize fuel treatments on landscapes across the United States: The LANDFIRE prototype project

Canopy and surface fuels in many fire-prone forests of the United States have increased over the last 70 years as a result of modern fire exclusion policies, grazing, and other land management activities. The Healthy Forest Restoration Act and National Fire Plan establish a national commitment to reduce fire hazard and restore fire-adapted ecosystems across the USA. The primary index used to prioritize treatment areas across the nation is Fire Regime Condition Class (FRCC) computed as departures of current conditions from the historical fire and landscape conditions. This paper describes a process that uses an extensive set of ecological models to map FRCC from a departure statistic computed from simulated time series of historical landscape composition. This mapping process uses a data-driven, biophysical approach where georeferenced field data, biogeochemical simulation models, and spatial data libraries are integrated using spatial statistical modeling to map environmental gradients that are then used to predict vegetation and fuels characteristics over space. These characteristics are then fed into a landscape fire and succession simulation model to simulate a time series of historical landscape compositions that are then compared to the composition of current landscapes to compute departure, and the FRCC values. Intermediate products from this process are then used to create ancillary vegetation, fuels, and fire regime layers that are useful in the eventual planning and implementation of fuel and restoration treatments at local scales. The complex integration of varied ecological models at different scales is described and problems encountered during the implementation of this process in the LANDFIRE prototype project are addressed.

Ecological Modelling

Coastal vulnerability assessment of the Northern Gulf of Mexico to sea-level rise and coastal change

A coastal vulnerability index (CVI) was used to map the relative vulnerability of the coast to future sea-level rise along the Northern Gulf of Mexico from Galveston, TX, to Panama City, FL. The CVI ranks the following in terms of their physical contribution to sea-level rise-related coastal change: geomorphology, regional coastal slope, rate of relative sea-level rise, historical shoreline change rate, mean tidal range, and mean significant wave height. The rankings for each variable are combined and an index value is calculated for 1-kilometer grid cells along the coast. The CVI highlights those regions where the physical effects of sea-level rise might be the greatest. The CVI assessment presented here builds on an earlier assessment conducted for the Gulf of Mexico. Recent higher resolution shoreline change, land loss, elevation, and subsidence data provide the foundation for a better assessment for the Northern Gulf of Mexico. The areas along the Northern Gulf of Mexico that are likely to be most vulnerable to sea-level rise are parts of the Louisiana Chenier Plain, Teche-Vermillion Basin, and the Mississippi barrier islands, as well as most of the Terrebonne and Barataria Bay region and the Chandeleur Islands. These very high vulnerability areas have the highest rates of relative sea-level rise and the highest rates of shoreline change or land area loss. The information provided by coastal vulnerability assessments can be used in long-term coastal management and policy decision making.

Open-File Report

The importance of ground water in the Great Lakes Region

Ground water is a major natural resource in the Great Lakes Region because it indirectly contributes more than 50 percent of the stream discharge to the Great Lakes. In addition, ground water is the source of drinking water for millions of people in the region, is an important source of supply for agriculture and many industries, and provides a relatively uniform supply of water in some ecologically sensitive areas to sustain plant and animal species. Therefore, to improve our understanding of water-resources issues in the Great Lakes Region, it is important to have a better understanding of the role that ground water plays in the overall hydrologic system of the lakes. The main ground-water resources issues in the Great Lakes Region are related to the amount of ground water, the interaction of ground water and surface water, changes in ground-water quality as development expands, and ecosystem health related to quantity and quality of water. Issues related to the amount of ground water Although the amount of water in the Great Lakes Region is vast, issues related to relatively small quantities of water are being raised more and more often. For example, even though the amount of ground water pumped in the region is small compared to the total amount of water present, ground water is an important source of public-water supply as well as an important source of supply for industrial, agricultural, and domestic needs. Less clearly understood, however, is the relation between the amount of streamflow discharging to the Great Lakes and the large portion of that flow that originates as ground water. The implications of this understanding for water- and land-use practices and, in turn, their effects on water quantity and quality, have not been fully incorporated into a policy framework. To help include information about the implications of the role that ground water plays in addressing regional water issues, a comprehensive analysis of indirect ground-water discharge to the Great Lakes is needed. Direct ground-water discharge to the Great Lakes is not a large factor in water-budget analyses for the Great Lakes. Locally, however, direct ground-water discharge to the Great Lakes may be important, even though the rates and places of discharge are not well known. A long-term evaluation of direct ground-water discharge to the Great Lakes would help place this hydrologic process in proper perspective. Near-shore areas with high rates of direct ground-water discharge may provide valuable habitat for aquatic organisms. Issues related to the interaction of ground water and surface water Withdrawal of ground water removes that water from the watershed when it is consumptively used or when the return flow is discharged to another drainage basin. Under these circumstances, pumping ground water constitutes a diversion of Great Lakes water. Alternatively, ground-water withdrawal could have the opposite effect of diverting ground-water flow into the watershed by altering the ground-water divides. In particular, as withdrawals associated with urban expansion increase, more accurate data on the amount and effects of ground-water use need to be collected. Data on the amounts of ground water pumped both within the watershed and outside, but near the watershed boundaries needs to be collected and evaluated for potential diversion of water to or from the Great Lakes. It is currently thought that both irrigation and ground-water withdrawals near the watershed boundaries constitute relatively small amounts of water; however, both rapidly changing farming practices and rapidly expanding urban communities could alter these amounts in a relatively short timeframe, especially during drought periods. At present, the effects of ground-water withdrawals have been quantified in detail at only a few urban locations. In addition to quantifying the amount of water pumped out of aquifers, it is also important to improve our knowledge of the amount of water that is recharging them. Ground-water recharge rates estimated in earlier studies cover only a small part of the Great Lakes Region. A comprehensive study of ground-water recharge rates for the entire watershed is needed to more completely determine the role of ground water in the hydrologic budget of the Great Lakes. Issues related to changes in ground-water quality as development expands Ground-water quality is as important as quantity for most water uses. As ground-water development proceeds, the possibility of altering the quality of ground water increases. The quality of ground water can be altered when water levels are drawn below the layer that confines the aquifer or by inducing water of lesser quality into an aquifer. Many local studies of these problems have been conducted, but few regional-scale analyses of changes in ground-water quality as a result of ground-water development have been done. Issues related to ecosystem health and quantity and quality of ground water Ground water is essential to maintain wetlands and to provide healthy habitat for other aquatic systems. Wetland hydrology is widely recognized as the primary influence on wetland ecology, development, and persistence, and information about hydrology is essential to understanding and quantifying wetland functions and processes. Studies of the role of ground water in selected wetlands in a range of physiographic settings throughout the Great Lakes watershed are needed to more fully understand the role of wetlands in the Great Lakes Region.

Lake Erie, Lake Huron, Lake Michigan, Lake Ontario

Delineating draft inventory analysis units for National Scenic and Historic Trails inventory, assessment, and monitoring programs

As of 2024, there are 32 National Scenic and Historic Trails (NSHTs) in the system administered by the Bureau of Land Management (BLM), National Park Service, and U.S. Department of Agriculture Forest Service. The BLM administers, manages, and protects 19 of these trails as part of its system of national conservation lands. Various laws, regulations, and policies require that the BLM conduct and maintain an inventory to protect trail-related resources, qualities, values, associated settings, and primary use or uses. There are set procedures for conducting inventory, assessment, and monitoring (IAM) of NSHTs, as outlined in volumes 1 and 2 of BLM Technical Reference 6280-1. One of the first steps in the IAM process is deciding the area along a trail to inventory. However, volumes 1 and 2 of BLM Technical Reference 6280-1 do not specify how the land area to be inventoried should be delineated. The BLM calls these focus areas for IAM efforts “inventory analysis units” (IAUs), which are defined as the geospatial boundary for the location of an inventory along a trail. This report reviews the approach used to delineate the IAUs for an inventory effort and identifies best practices for creating initial IAUs, termed “draft IAUs.” Draft IAUs would provide standardization across multiple management jurisdictions by applying the same parameters for their delineation. These draft IAUs would provide trail managers with an area surrounding NSHTs that would trigger the need for an inventory if a project were proposed within it and are meant to be refined during localized inventory efforts. The best practices herein are for creating draft IAUs using standard parameters for performing a viewshed analysis to identify a proxy of land to include in an initial inventory effort.

New Mexico

Long-term and widespread changes in agricultural practices influence ring-necked pheasant abundance in California

Declines in bird populations in agricultural regions of North America and Europe have been attributed to agricultural industrialization, increases in use of agrochemical application, and increased predation related to habitat modification. Based on count data compiled from Breeding Bird Survey (BBS) from 1974 to 2012, Christmas Bird Count (CBC) collected from 1914 to 2013, and hunter data from Annual Game Take Survey (AGTS) for years 1948–2010, ring-necked pheasants ( Phasianus colchicus ) in California have experienced substantial declines in agricultural environments. Using a modeling approach that integrates all three forms of survey data into a joint response abundance index, we found pheasant abundance was related to the amount of harvested and unharvested crop land, types of crops produced, amount of total pesticide applied, minimum temperature, precipitation, and numbers of avian competitors and predators. Specifically, major changes in agricultural practices over the last three decades were associated with declines in pheasant numbers and likely reflected widespread loss of habitat. For example, increases in cropland were associated with increased pheasant abundance during early years of study but this effect decreased through time, such that no association in recent years was evidenced. A post hoc analysis revealed that crops beneficial to pheasant abundance (e.g., barley) have declined substantially in recent decades and were replaced by less advantageous crops (e.g., nut trees). An additional analysis using a restricted data set (1990–2013) indicated recent negative impacts on pheasant numbers associated with land use practices were also associated with relatively high levels of pesticide application. Our results may provide valuable information for management policies aimed at reducing widespread declines in pheasant populations in California and may be applicable to other avian species within agricultural settings. Furthermore, this general analytical approach is not limited to pheasants and could be applied to other taxa for which multiple survey data sources exist.

California