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At least 145 records · Page 8Linked to original sources

National assessment of nor’easter-induced coastal erosion hazards: mid- and northeast Atlantic coast

Beaches serve as a natural buffer between the ocean and inland communities, ecosystems, and natural resources. However, these dynamic environments move and change in response to winds, waves, and currents. During extreme storms, changes to beaches can be great, and the results are sometimes catastrophic. Lives may be lost, communities destroyed, and millions of dollars spent on rebuilding. During storms, large waves may erode beaches, and high storm surge may shift the erosive force of the waves higher on the beach. In some cases, the combined effects of waves and surge may cause overwash (when waves and surge overtop the dune, transporting sediment inland) or flooding. Buildings and infrastructure on or near a dune can be undermined during wave attack and subsequent erosion. A number of strong northeast storms—storms with winds tending to blow from the northeast direction—referred to as nor’easters, have hit the mid- and northeast Atlantic coast of the United States in recent years (February 2013 and January 2015). Waves from these storms caused severe erosion, flooding, and undermining of roads in many areas along the northeast Atlantic coast. Waves overtopping a dune can transport water and sand inland, covering roads and blocking evacuation routes or impeding emergency relief. If storm surge inundates barrier island dunes, currents flowing across the island can create a breach, or a new inlet, completely severing evacuation routes. Extreme coastal changes caused by hurricanes or nor’easters may increase the vulnerability of communities both during a storm and to future storms. For example, when sand dunes are substantially eroded, inland structures are exposed to storm surge and waves. On barrier islands, absent or low dunes allow water to flow inland across the island.

Delaware, Maine, Maryland, Massachusetts, New Hamp

Organic and isotopic indicators for sorting of sedimentary organic matter along a marginal submarine canyon

Submarine canyons are incised features of many continental margins that can have significant influence on the hydrodynamic distribution of sediments and organic matter eroded and deposited from the continents. Baltimore Canyon, on the mid-Atlantic margin of the United States, contains a complex set of sedimentary processes that simultaneously create unique benthic habitats and control the deposition of organic matter. Along the canyon axis, loci of net erosion, net deposition, and intense winnowing each host diverse faunal assemblages and varying mixtures of sedimentary organic matter derived both from production in the overlying water column and from mobilized sediments. Bioavailable components of this deposited organic matter sustain benthic communities, while recalcitrant components can contribute to long-term carbon burial in the deep sea. However, commonly employed bulk geochemical analyses provide little information about the relative bioavailability or depositional history of sedimentary organic matter. Here we employ a range of organic and isotopic analyses to explore in more detail how canyon-specific sediment dynamics determine the sorting of organic matter from shelf to open ocean. In combination with bulk geochemical characteristics, we subjected surface sediments from water depths of ∼200–1200 m in Baltimore Canyon to a sequential extraction procedure, isolating nonpolar and polar lipid classes, an acid-soluble fraction, and an acid-insoluble fraction. Each class was analyzed for carbon and nitrogen quantities and stable isotope ratios, and radiocarbon content where possible, along with compound-specific carbon and nitrogen isotope analysis of individual amino acids in the acid-hydrolysed fraction. We find different organic matter sources and depositional history recorded in the properties of younger, bioavailable organic matter components (polar lipids, amino acids) in comparison to the older, more recalcitrant components (nonpolar lipids, acid-insoluble fraction). These differences in source and bioavailability of organic matter vary along the canyon, correlating with grain size and erosion/deposition dynamics, and may help shape the benthic faunal assemblages. Additionally, our results suggest that determining the relative concentrations of acid-soluble and acid-insoluble organic matter may provide an easily accessible method to improve our understanding of the nutritional quality of sediments for benthic fauna than more commonly used bulk carbon or nitrogen concentrations.

Delaware, New Jersey

Variational analysis of drifter positions and model outputs for the reconstruction of surface currents in the central Adriatic during fall 2002

In this paper we present an application of a variational method for the reconstruction of the velocity field in a coastal flow in the central Adriatic Sea, using in situ data from surface drifters and outputs from the ROMS circulation model. The variational approach, previously developed and tested for mesoscale open ocean flows, has been improved and adapted to account for inhomogeneities on boundary current dynamics over complex bathymetry and coastline and for weak Lagrangian persistence in coastal flows. The velocity reconstruction is performed using nine drifter trajectories over 45 d, and a hierarchy of indirect tests is introduced to evaluate the results as the real ocean state is not known. For internal consistency and impact of the analysis, three diagnostics characterizing the particle prediction and transport, in terms of residence times in various zones and export rates from the boundary current toward the interior, show that the reconstruction is quite effective. A qualitative comparison with sea color data from the MODIS satellite images shows that the reconstruction significantly improves the description of the boundary current with respect to the ROMS model first guess, capturing its main features and its exchanges with the interior when sampled by the drifters. Copyright 2008 by the American Geophysical Union.

Journal of Geophysical Research C: Oceans

Simulating post-dam removal effects of hatchery operations and disease on juvenile Chinook salmon (Oncorhynchus tshawytscha) production in the Lower Klamath River, California

Executive Summary The Federal Energy Regulatory Commission has been considering the approval to breach four dams on lower Klamath River in southern Oregon and northern California. Approval of this application would allow for Strikeouts indicate text deletion hereafter. decommissioning and dam removal, beginning as early as 2023. This action would affect Klamath River salmon ( Oncorhynchus ssp.) populations, a critical food source for federally endangered Southern Resident Killer Whales ( Orcinus orca ). In the long run, reintroduction of salmon populations to the upper Klamath River Basin may increase salmon abundance available to Southern Resident Killer Whales, but in the near term, it is uncertain how changes in hatchery management and disease-caused mortality by the myxosporean parasite Ceratonova shasta will influence abundance of salmon populations entering the ocean. To assess this uncertainty, we used the Stream Salmonid Simulator (S3) to simulate population dynamics of juvenile Chinook salmon ( Oncorhynchus tshawytscha ) for nine different population sources that rear and migrate through the Klamath River. S3 is a spatially explicit population model that runs on a daily time-step and simulates daily growth, survival, and movement of juvenile Chinook salmon from the time of spawning through ocean entry. The key features of this model relevant to this report include (1) a C. shasta disease submodel; (2) a temperature-dependent bioenergetics model that calculates daily growth rates; (3) size-dependent movement; (4) density-dependent dynamics that are influenced by the effect of flow on suitable habitat area; and (5) habitat, river flow, and water temperature specific to each scenario. We constructed and ran four scenarios: two scenarios for dams in place (Dams In) and dams removed (Dams Out), and given these dam-removal conditions, a low- and high-spore scenario for C. shasta . Each scenario was run for nine water years representing a range of conditions from dry to wet. Previously published daily river flows and water temperatures for Dams In and Dams Out provided physical inputs for each scenario. Daily spore concentrations were simulated using a three-part mechanistic model that used river discharge, water temperature, and the prevalence of infection (POI) of hatchery-origin Chinook salmon juveniles with C. shasta in the previous year 3 . We constructed two spore scenarios for each Dams In and Dams Out scenario, a “Low Spore” scenario and a “High Spore” scenario resulting in four scenarios for comparison. Spore scenarios were established by setting the prior-year POI of hatchery fish to 0.15 and 0.75 in the estimation of spore concentrations. Hatchery releases under Dams Out differed from those under the current Dams In scenario. Hatchery releases under the Dams Out scenario were modified to emulate changes in hatchery production that would occur under Dams Out conditions. This included moving hatchery production and releases from Iron Gate Dam to a proposed hatchery at Fall Creek, which would be located about 11 kilometers (km) upstream of Iron Gate Dam. It is anticipated that the Fall Creek hatchery would produce fewer fish at smaller and larger sizes at different release timings. For salmon inputs, we used observed historical abundance of main-stem spawners from brood year 2009 and juvenile salmon entering from tributaries in water year 2010, which represented an average return year for the 2005–18 period. Main-stem spawning was allowed to shift upstream from Iron Gate Dam under the Dams Out scenario. We also included hatchery-origin fish as natural spawners that would have otherwise returned to Iron Gate Hatchery in the first 3 years following dam removal. The S3 model simulated considerably higher total abundance for Dams Out relative to the respective Dams In scenarios, and higher abundance for the Low Spore scenario relative to the High Spore scenario. The difference in abundance between the four combinations of the dam-removal and spore scenarios varied among population groups. For main-stem natural production, juvenile abundance at ocean entry was 2–3 times higher for Dams Out scenarios than for Dams In scenarios, and juvenile abundance for High Spore scenarios was lower than that for the Dams Out Low Spores scenario. For hatchery releases, abundance at ocean entry was similar between Dams In and Dams Out scenarios for most water years, despite lower release sizes from Fall Creek Hatchery under Dams Out. For tributary populations, abundance for the High Spore scenarios was consistently lower than for the Low Spore scenarios, but differences between dam-removal scenarios varied among water years, with Dams Out scenarios having similar or higher abundance than Dams In scenarios, and dry water years having the largest difference between Dams In and Dams Out scenarios. We determined that different factors affected the response of each population group. For main-stem natural production, survival from fry emergence to ocean entry was higher under Dams Out scenarios compared to Dams In scenarios because juveniles emerged later and tended to arrive at the ocean sooner and at larger sizes, causing the population to have less time-dependent in-river mortality. Owing to their late release timing, hatchery populations had high disease-caused mortality in Dams In and Dams Out High Spore scenarios. Furthermore, a high proportion of infected fish (those that would be expected to die at some future point) survived to the ocean. Iron Gate Hatchery fish had lower survival rates than releases from Fall Creek Hatchery because the last mid-June release group from the 2010 Iron Gate Hatchery release incurred nearly total mortality in most water years owing to water temperatures exceeding 24 degrees Celsius. Our analysis shows how the S3 model was able to track different populations and provide insights on how the differential response of each population combined to influence the simulated number of juvenile Chinook salmon arriving at the Pacific Ocean where they become available as a food source for Southern Resident Killer Whales.

California

Does what go up also come down? Using a recruitment model to balance alewife nutrient import and export

Migrating adult Alewives Alosa pseudoharengus are a source of marine-derived nutrients on the East Coast of North America, importing nitrogen and phosphorus into freshwater habitats. Juvenile migrants subsequently transport freshwater-derived nutrients into the ocean. We developed a deterministic model to explore the theoretical nutrient dynamics of Alewife migrations at differing spawner abundances. Net nutrient balance was calculated relative to these abundances along the spawner–recruit curve. The ecological consequences of these subsidies in a particular watershed depend on the magnitude of adult escapement relative to the habitat’s carrying capacity for juveniles. At low escapement levels and assuming complete habitat access, the number of recruits produced per spawner was high and juvenile nutrient export dominated. At high escapement levels, fewer recruits were produced per spawner because recruitment is density dependent. As a result, adult nutrient import dominated. At varying levels of freshwater productivity and fisheries mortality for upstream spawners, this trend remained the same while the magnitude of the endpoints changed. Productivity level was the major determinant of export, while fisheries mortality had the strongest effect on adult import. The dynamics of this nutrient trade-off are important for managers to consider as a recovering population will likely shift from net export to net import as escapement increases. This transition will be sensitive to both harvest rates and to fish passage efficacy at dams and other barriers.

Marine and Coastal Fisheries: Dynamics, Management

From sample to sonde to Sentinel-2: Insights from a multi-scale chlorophyll-a monitoring effort in the Hudson River, New York

Monitoring cyanobacteria and other nuisance phytoplankton in the Hudson River is of great interest given its societal and ecological importance. Satellite remote sensing provides a cost-effective method to monitor chlorophyll- a (chl-a), a common proxy for algal biomass; however, the dynamic nature of rivers complicates approaches traditionally applied to lakes and oceans. During 2021–2023, we collected discrete samples for laboratory measurement of chl-a and measured in situ chl-a fluorescence during a series of longitudinal boat surveys along a 220-km reach of the lower Hudson River. Surveys were timed to coincide with Sentinel-2 satellite overpasses. We first investigated relations between laboratory-measured chl-a concentration and field-measured chl-a fluorescence, observing a weak correlation ( r 2 = 0.25) that improved substantially after splitting data by day (mean r 2 = 0.53). Separately, to estimate chl-a fluorescence using satellite data, we developed a series of random forest models leveraging the rich fluorescence dataset collected. We tested three model types: individual day models, leave-one-out models trained on all days except a holdout test day, and a single pooled model trained on all days. Generally, individual day models exhibited lowest error (mean of mean absolute error [MAE] = 0.16 relative fluorescence units [RFU]), followed by the single pooled model (MAE = 0.22 RFU). Daily holdout models showed highest error (mean MAE = 0.40 RFU); this approach was intended to represent model performance on a day unseen in the training set, providing a more conservative estimate of performance than the more traditional pooled approach. Findings from both analyses emphasize the importance of considering temporal variability when modeling riverine systems.

New Jersey, New York

Tsunami modelling with adaptively refined finite volume methods

Numerical modelling of transoceanic tsunami propagation, together with the detailed modelling of inundation of small-scale coastal regions, poses a number of algorithmic challenges. The depth-averaged shallow water equations can be used to reduce this to a time-dependent problem in two space dimensions, but even so it is crucial to use adaptive mesh refinement in order to efficiently handle the vast differences in spatial scales. This must be done in a 'wellbalanced' manner that accurately captures very small perturbations to the steady state of the ocean at rest. Inundation can be modelled by allowing cells to dynamically change from dry to wet, but this must also be done carefully near refinement boundaries. We discuss these issues in the context of Riemann-solver-based finite volume methods for tsunami modelling. Several examples are presented using the GeoClaw software, and sample codes are available to accompany the paper. The techniques discussed also apply to a variety of other geophysical flows. ?? 2011 Cambridge University Press.

Acta Numerica

Representing the function and sensitivity of coastal interfaces in Earth system models

Along coastal interfaces, components of the Earth system interact to regulate ecosystem functions and Earth’s climate. Between the land and ocean, diverse coastal ecosystem types transform, store, and transport material. A dynamic two-way exchange of energy and matter is driven by hydrological and marine processes such as river and groundwater discharge, tides, waves, and storms. Global models lack representation of coastal processes and related feedbacks on Earth’s climate and ecosystems, impeding their predictions of coastal and global response to change. We recommend leveraging existing monitoring networks and regional models to develop and validate global models that include the coastal interface.

Nature Communications

Ocean connectivity drives trophic support for consumers in an intermittently closed coastal lagoon

Estuarine food webs are complex, as marine, freshwater, and terrestrial inputs combine and contribute variable amounts of organic material. Seasonal fluctuations in precipitation amplify the dynamism inherent to estuarine food webs, particularly in lagoonal estuaries, which can be seasonally closed and disconnected from the ocean in low-runoff periods (bar-built lagoons). Despite their abundance along coastlines in Mediterranean climates, the organic matter sources fueling bar-built lagoon food webs are poorly understood, particularly with respect to seasonal hydrologic variability, episodic marine connections, and internal nutrient cycling. In this study, we evaluate the food web of a bar-built lagoon with respect to seasonal differences in lagoon water quality, the sources of organic matter which support consumers, and the trophic ecology of resident fishes. Observed water quality conditions reflected biogeochemical processes associated with salinity-driven stratification and high lagoon residence times and were associated with strong seasonal differences in the contribution of different organic matter sources to lagoon consumers. A variety of organic matter sources supported consumers; marine inputs were important to lagoon food webs in spring when the lagoon was open, while summer food webs were largely driven by phytoplankton which was likely fueled by internal nutrient cycling. Fish diets were largely comprised of crustaceans and fish eggs, with clearly defined trophic niches in spring but high overlap in summer. This study demonstrates that the seasonal changes in bar-built lagoon food webs are largely dependent on ocean connectivity and internal cycling within the lagoon, rather than watershed processes as is typical for many estuaries.

California

The problem of groundwater discharge into the seas

Introductory Note: The dynamic equilibrium of the various factors involved in the world water balance or budget is the central scientific problem of the International Hydrological Decade. One of the potentially vital elements of the balance is groundwater discharge to the oceans. To paraphrase the authors of the following Russian publication, the world water budget can't be properly balanced, statically or dynamically, until there are improved values for the amount of groundwater that is discharged directly to oceans, seas, and enclosed lakes. The following report, with its bibliography, presents some Russian approaches to the problem and provides a few bits of numerical information. The report was translated by Frank W. Trainer of the U.S. Geological Survey. The text has been slightly reduced in the interests of saving space but the bibliography is given in full and has been transcribed into more or less standard U.S. Geological Survey bibliographical style. ©1971. American Geophysical Union. All Rights Reserved.

Eos, Transactions, American Geophysical Union

Oil and ice in the Arctic Ocean: Possible large-scale interactions

The diffusion and transport mechanisms generated by the pack ice dynamics of the Beaufort Sea, combined with the slow rate of biodegradation of oil under Arctic conditions, would combine to diffuse an oil spill over the sea and eventually deposit the oil on the ice surface, where it would lower the natural albedo over a large area.

Science

The role of model dynamics in ensemble Kalman filter performance for chaotic systems

The ensemble Kalman filter (EnKF) is susceptible to losing track of observations, or ‘diverging’, when applied to large chaotic systems such as atmospheric and ocean models. Past studies have demonstrated the adverse impact of sampling error during the filter’s update step. We examine how system dynamics affect EnKF performance, and whether the absence of certain dynamic features in the ensemble may lead to divergence. The EnKF is applied to a simple chaotic model, and ensembles are checked against singular vectors of the tangent linear model, corresponding to short-term growth and Lyapunov vectors, corresponding to long-term growth. Results show that the ensemble strongly aligns itself with the subspace spanned by unstable Lyapunov vectors. Furthermore, the filter avoids divergence only if the full linearized long-term unstable subspace is spanned. However, short-term dynamics also become important as nonlinearity in the system increases. Non-linear movement prevents errors in the long-term stable subspace from decaying indefinitely. If these errors then undergo linear intermittent growth, a small ensemble may fail to properly represent all important modes, causing filter divergence. A combination of long and short-term growth dynamics are thus critical to EnKF performance. These findings can help in developing practical robust filters based on model dynamics.

Tellus, Series A: Dynamic Meteorology and Oceanogr

Measuring contemporary crustal motions; NASA’s Crustal Dynamics Project

In the early and middle 1970's, two new space-based geodetic techniques became available that offered unprecedented accuracy in the measurement of distances over long baselines. As described below, Satellite Laser Ranging (SLR) and Very Long Baseline Interferometry (VLBI) provided a capability to determine in relatively short periods of time the inter-site distance between two observing stations to a level of several centimeters, even if they were separated by thousands or tens of thousands of kilometers. During the 1980's the two techniques have evolved to the point where baselines can now be routinely measured to a level below one centimeter. This is a tenfold improvement in about ten years. Perhaps more important than providing the measurement capability are the consequences of this capability when applied over a few years: the motion of any one site with respect to another can be monitored at the level of better than a cm/yr. This has made possible, for the first time, direct measurement of the motion of the Earth's tectonic plates and of the deformation of its crust in active plate boundary regions. Because such measurements have the potential for providing important information on the mechanisms that drive plates and cause them to slip during earthquakes, a coordinated federal program for the application of this space technology to crustal dynamics and earthquake research was established in 1979. The participating agencies were the National Aeronautics and Space Administration (NASA), the National Oceanic and Atmospheric Administration (NOAA), the United States Geological Survey (USGS), the National Science Foundation (NSF), and the Defense Mapping Agency. NASA formed the Crustal Dynamics Project to further develop the SLR and VLBI techniques, to implement global networks of stations with the cooperation of many different countries, and to conduct measurements of plate motions and regional deformations. this project has grown into an international effort to collect information directly relevant to understanding the threat of the earthquake hazard as well as fundamental research about the crust and upper mantle. In this article we describe briefly the two space geodetic techniques and how they are used by the Crustal Dynamics Project, show some of the very exciting results that have emerged at the halfway point in the project's life, describe the availability and utilization of the data being collected, and consider what the future may hold when measurement accuracies eventually exceed even those now available and when other international groups become more heavily involved.

Earthquakes & Volcanoes (USGS)

Population trends and distribution of Common Murre Uria aalge colonies in Washington, 1996-2015

Periodic assessments of population trends and changes in spatial distribution are valuable for managing marine birds and their breeding habitats, particularly when evaluating long-term response to threats such as oil spills, predation pressure, and changing ocean conditions. We evaluated recent trends in abundance and distribution of the Common Murre Uria aalge within Copalis, Quillayute Needles, and Flattery Rocks National Wildlife Refuges, which include all murre colonies in Washington except one, off-refuge, on Tatoosh Island. In 1996-2001 and 2010-2015, aerial photographic surveys were conducted during the incubation phase (mid-June through mid-July) each year. Using images from film (1996-2001) and digital (2010-2015) cameras that included all parts of each colony, we manually counted murres. We estimated population trend as annual percent change in whole-colony counts using an overdispersed Poisson regression model. Overall, numbers of murres counted at breeding colonies in Washington increased by 8.8% per year (95% CI 3.0%-14.9%) during 1996–2015. The overall statewide increase was driven by an increase at colonies in northern Washington of approximately 11% per year (95% CI 4.5%-17.8%). Despite an increasing trend, abundance remains lower than levels in the late 1970s, and the spatial distribution has changed. Colonies in southern Washington - where murres were historically the most abundant - are no longer active, or only minimally so, whereas colonies in the north - which were rarely active in the early 1970s - are now the largest. There was high variability in spatial distribution among years, a pattern that indicates a need for coordinated monitoring and movement studies throughout the California Current System to understand dispersal and colonization. Our results indicate that future management of refuge islands could protect both current and historic colony locations, given the patterns of colony dynamics and the uncertainty about long-term effects of a changing ocean ecosystem and predation pressure on the status of murres.

Washington

Dynamics of seabird colonies vulnerable to sea-level rise at French Frigate Shoals, Hawai`i

Globally, seabirds are vulnerable to anthropogenic threats both at sea and on land. Seabirds typically nest colonially and show strong site fidelity; therefore, conservation strategies could benefit from an understanding of the population dynamics and vulnerability of breeding colonies to climate change. More than 350 atolls exist across the Pacific Ocean; while they provide nesting habitat for many seabirds, they are also vulnerable to sea-level rise. We used French Frigate Shoals, the largest atoll in the Hawaiian Archipelago, as a case study to explore seabird colony dynamics and the potential consequences of sea-level rise. We compiled a unique combination of data sets: historical observations of islands and seabirds, a 30-year time series of population abundance, LiDAR- (light detection and ranging) derived elevations, and satellite imagery. To model population dynamics for ten species at Tern Island from 1980 to 2009, we used the Gompertz model with parameters for the population growth rate, density dependence, process variation, and observation error. We used a Bayesian approach to estimate the parameters. All species increased in a pattern that provided evidence of density dependence. Density dependence may exacerbate the consequences of sea-level rise on seabirds because species that are already near the carrying capacity of the nesting habitat will be limited more than species that still have space for population growth. Laysan Albatross ( Phoebastria immutabilis ), Great Frigatebird ( Fregata minor ), Red-tailed Tropicbird ( Phaethon rubricauda ), Masked Booby ( Sula dactylatra ), Gray-backed Tern ( Onychoprion lunatus ), and White Tern ( Gygis alba ) are likely already at carrying capacity at Tern Island and therefore are most likely to be negatively impacted by sea-level rise. We project 12% of French Frigate Shoals (excluding La Perouse Pinnacle) will be inundated with +1.0 m sea-level rise or 32% with +2.0 m. Gray-backed Terns that nest along the coastal perimeters of islands and shrub-nesting species that are habitat limited are especially vulnerable to sea-level rise. However, at Tern Island, seawalls and habitat creation may mitigate projected seabird population declines due to habitat loss. We predict substantial losses in seabird nesting habitat across the low-lying Hawaiian Islands by 2100 and emphasize the need to restore higher elevation seabird colonies.

Hawai'i

Short-term estuarine phytoplankton dynamics in response to hurricanes along the Gulf Coast of America: A Variational Autoencoder (VAE) approach with satellite and bio-optical observations

Hurricanes drive diverse estuarine phytoplankton responses and can trigger cascading ecological and physicochemical impacts. Capturing these short-term dynamics requires high spatiotemporal resolution. Here, we applied a globally-applicable coastal ocean color algorithm, Variational Autoencoder (VAE), to Sentinel-2 MSI imagery for chlorophyll- a (Chl- a ) estimation and validated its strong performance across the northern Gulf coast of America (GoA) estuaries, including Galveston Bay (TX), Barataria-Terrebonne Estuary (LA), Apalachicola Estuary (FL) and Tampa Bay (FL). The test set showed strong performance (MAE: 1.44 mg m −3 ; RMSE: 17.7 mg m −3 ; slope: 0.86; median symmetric accuracy: 30.33%). The validated VAE was then applied to 76 Sentinel-2 MSI images to assess phytoplankton biomass responses to hurricanes Harvey (2017), Michael (2018), Ida (2021), Francine (2024), Helene (2024), and Milton (2024) in the GoA estuaries. Results showed that hurricane disturbances on Chl- a typically lasted 3–5 weeks. Estuarine waters west (left) of hurricane tracks showed a rapid decline in Chl- a (∼5 mg m −3 ) due to elevated turbidity from heavy rainfall, and wind-driven flushing in the estuary, followed by a rebound over about two weeks, with Chl- a increasing approximately 10–15 mg m −3 above pre-storm levels. In contrast, right-side waters showed a slower response, likely from oligotrophic seawater intrusion driven by the hurricane's counterclockwise rotation. Post-storm observations showed increased freshwater phytoplankton like chlorophytes and cyanobacteria dominating estuaries, while shelf-waters exhibited elevated dinoflagellates (e.g., Karenia brevis bloom after Hurricane Milton). These results highlight the spatial heterogeneity of hurricane impacts on estuarine phytoplankton dynamics, which may trigger cascading effects on biogeochemical cycling and food webs, potentially prolonging ecosystem recovery.

Alabama, Florida, Louisiana, Mississippi, Texas

The elusive baseline of marine disease: Are diseases in ocean ecosystems increasing?

Disease outbreaks alter the structure and function of marine ecosystems, directly affecting vertebrates (mammals, turtles, fish), invertebrates (corals, crustaceans, echinoderms), and plants (seagrasses). Previous studies suggest a recent increase in marine disease. However, lack of baseline data in most communities prevents a direct test of this hypothesis. We developed a proxy to evaluate a prediction of the increasing disease hypothesis: the proportion of scientific publications reporting disease increased in recent decades. This represents, to our knowledge, the first quantitative use of normalized trends in the literature to investigate an ecological hypothesis. We searched a literature database for reports of parasites and disease (hereafter “disease”) in nine marine taxonomic groups from 1970 to 2001. Reports, normalized for research effort, increased in turtles, corals, mammals, urchins, and molluscs. No significant trends were detected for seagrasses, decapods, or sharks/rays (though disease occurred in these groups). Counter to the prediction, disease reports decreased in fishes. Formulating effective resource management policy requires understanding the basis and timing of marine disease events. Why disease outbreaks increased in some groups but not in others should be a priority for future investigation. The increase in several groups lends urgency to understanding disease dynamics, particularly since few viable options currently exist to mitigate disease in the oceans.

PLoS Biology

Characterizing operational signatures of reservoirs with the SWOT satellite by comparing natural lake and reservoir dynamics

Due to a lack of management operations data, hydrological models may represent reservoirs as natural lakes, leading to poor discharge predictions in regulated basins. To parse seasonal operational signatures, we compare the dynamics of natural lake and reservoir systems across North America using Surface Water and Ocean Topography (SWOT) satellite observations and derived discharge estimates. Overall, reservoirs and their adjacent river reaches exhibit significantly greater variability (in standard deviation) than their natural counterparts across almost all SWOT observed (e.g. water surface elevation) and inferred (e.g. discharge) variables. Natural lakes show strong same-day correlations between inflow and outflow discharge (median Spearman R = 0.8), whereas 76% of reservoirs exhibit maximum correlation when outflow is lagged, suggesting operations buffer seasonal flow variability. Our findings indicate operations not only affect reservoir dynamics themselves but also have upstream and downstream consequences, which, when integrated into models, will offer more realistic hydrologic conditions.

Environmental Research Letters