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Case definitions for wildlife diseases

Welcome to the first manual of “Case Definitions for Wildlife Diseases,” a “living” electronic publication. The plan is to add and update this manual’s case definitions periodically as warranted; thus, this manual will never be completed, and readers should download the latest versions of specific chapters (that is, definitions) when available. Constructive suggestions from readers are welcome and will help guide adjustments as this project progresses. The purpose of this manual is to provide case definitions for selected diseases of importance to wildlife in Canada and the United States. Case definitions provide standard sets of criteria for classifying the degree of certainty of a particular diagnosis and help improve surveillance data quality and comparability. Better data and standardization allow for improved data sharing, which increases geographic and species surveillance coverage and permits more robust analyses. The definitions included in this manual have been developed by veterinary pathologists, epidemiologists, and wildlife biologists primarily from the U.S. Geological Survey National Wildlife Health Center (NWHC) and Canadian Wildlife Health Cooperative (CWHC). Pathologists from each organization reviewed and finalized the definitions. Each case definition has been peer reviewed by two scientific experts before publication. This manual begins with the case definition template. This generic template includes four sections: “Individual, Place, and Time Criteria for Diagnosis and Testing,” “Field Criteria for Diagnosis,” “Laboratory Criteria for Diagnosis,” and “Epidemiological Linkage Criteria for Diagnosis” and can be used to guide development of new case definitions. Information in each section is then combined to provide an overall case classification. Disease diagnoses are classified as “Confirmed,” “Presumptive,” or “Suspected;” and evidence of a pathogen or toxin is classified as “Exposed” or “Present/Detected.” Each subsequent chapter is then a case definition for a specific disease of wildlife, and infectious and non-infectious diseases are included.

Techniques and Methods

Multiple stressor effects in relation to declining amphibian populations

Original research discusses the protocols and approaches to studying the effects of multiple environmental stressors on amphibian populations and gives new perspectives on this complicated subject. This new publication integrates a variety of stressors that can act in concert and may ultimately cause a decline in amphibian populations. Sixteen peer-reviewed papers cover: Toxicity Assessment examines methods, which range from long-established laboratory approaches for evaluating adverse chemical effects to amphibians, to methods that link chemicals in surface waters, sediments, and soils with adverse effects observed among amphibians in the field. Field and Laboratory Studies illustrates studies in the evaluation of multiple stressor effects that may lead to declining amphibian populations. A range of laboratory and field studies of chemicals, such as herbicides, insecticides, chlorinated organic compounds, metals, and complex mixtures are also included. Causal Analysis demonstrates the range of tools currently available for evaluating "cause-effect" relationships between environmental stressors and declining amphibian populations. Audience: This new publication is a must-have for scientists and resource management professionals from diverse fields, including ecotoxicology, chemistry, ecology, field biology, conservation biology, and natural resource management.

Special Technical Report

Use of wildlife webcams - Literature review and annotated bibliography

The U.S. Fish and Wildlife Service National Conservation Training Center requested a literature review product that would serve as a resource to natural resource professionals interested in using webcams to connect people with nature. The literature review focused on the effects on the public of viewing wildlife through webcams and on information regarding installation and use of webcams. We searched the peer reviewed, published literature for three topics: wildlife cameras, virtual tourism, and technological nature. Very few publications directly addressed the effect of viewing wildlife webcams. The review of information on installation and use of cameras yielded information about many aspects of the use of remote photography, but not much specifically regarding webcams. Aspects of wildlife camera use covered in the literature review include: camera options, image retrieval, system maintenance and monitoring, time to assemble, power source, light source, camera mount, frequency of image recording, consequences for animals, and equipment security. Webcam technology is relatively new and more publication regarding the use of the technology is needed. Future research should specifically study the effect that viewing wildlife through webcams has on the viewers' conservation attitudes, behaviors, and sense of connectedness to nature.

Open-File Report

Abstracts of the Annual Meeting of Planetary Geologic Mappers, Nampa, Idaho 2006

Approximately 18 people attended this year's mappers meeting, and many more submitted abstracts and maps in absentia. The meeting was held on the campus of Northwest Nazarene University (NNU), and was graciously hosted by NNU's School of Health and Science. Planetary mapper Dr. Jim Zimbelman is an alumnus of NNU, and he was pivotal in organizing the meeting at this location. Oral and poster presentations were given on Friday, June 30. Drs. Bill Bonnichsen and Marty Godchaux led field excursions on July 1 and 2. USGS Astrogeology Team Chief Scientist Lisa Gaddis led the meeting with a brief discussion of the status of the planetary mapping program at USGS, and a more detailed description of the Lunar Mapping Program. She indicated that there is now a functioning website (http://astrogeology.usgs.gov/Projects/PlanetaryMapping/Lunar/) which shows which lunar quadrangles are available to be mapped. Like other USGS-published maps, proposals to complete a lunar geologic map must be submitted to the regular Planetary Geology & Geophysics (PGG) program for peer review. Jim Skinner (USGS) later presented the progress of the 1:2.5M-scale map of the lunar Copernicus quadrangle, and demonstrated the wide range of data that are available to support these maps. Gaddis and Skinner encouraged the community to submit proposals for generating lunar geologic maps, and reminded us that, as for all planetary maps, the project must be science-driven. Venus mapper Jim Zimbelman of the Smithsonian Institution (SI) presented the progress for his V-15 and V-16 quadrangles; Vicki Hansen (University of Minnesota Duluth) showed her preliminary work on V-45. Zimbelman addressed an issue that has been plaguing the community: 'delinquent Venus mappers'. In short, there were a number of Venus maps funded in the early 1990s under the Venus Data Analysis Program (VDAP). Unfortunately, funding for this program was cut before many Venus maps could be completed, resulting in about 10 Venus maps that were initially assigned but have shown little or no progress in many years. Zimbelman announced that he was not going to be able to complete quadrangle V-27 that he was assigned under VDAP, and was therefore returning that quadrangle to the community; he invited people to propose to PGG to map this quadrangle. Dave Williams of Arizona State University (ASU) reported on the progress of his global Io map. His mapping team recently received the completed, controlled global mosaic (using Voyager and Galileo images) from the USGS; this will be the basemap for their geologic mapping. Furthermore, the three team members (Laszlo Keszthelyi, David Crown and Dave Williams) have calibrated their individual mapping techniques by each mapping the same region for comparison. Thomas Doggett (ASU) showed progress on the global Europa map that was awarded to Ron Greeley. There was some consternation expressed on the methodology for determining relative ages of the lineaments; it was suggested that Vicki Hansen contact Patricio Figueredo (Exxon) directly, because Figueredo is the one who has been developing the lineament mapping techniques. Mars remains the most popular planet to map. Kevin Williams (SI) and Corey Fortezzo (SI) presented progress on their 1:500K maps in the Margaritifer Terra region of Mars. Jim Zimbelman described his 1:1M Medusae Fossae map, which is nearing completion. Peter Mouginis-Mark (University of Hawai'i) reported progress on his 1:200K maps of Tooting crater and of the Olympus Mons summit caldera. Jim Skinner discussed the progress of his and Ken Herkenhoff?s (USGS) map (1:500K) on the Olympia Cavi region of Mars? north pole, and Eric Kolb (USGS) presented work that he and Ken Tanaka (USGS) are completing on the Martian south pole. David Crown of the Planetary Science Institute (PSI) reported on numerous 1:500K and 1:1M maps in the Hellas and Hesperia regions of Mars. Frank Chuang (PSI) discussed progress on mapping the Deuteronilus Mensae reg

Open-File Report

Development of the Wildlife Adaptation Menu for Resource Managers

The Climate Change Response Framework is an example of a collaborative, cross-boundary approach to create a set of tools, partnerships, and actions to support climate-informed conservation and land management. Historically, this effort has focused on the needs of forest managers and forestry professionals. In recent years, however, there has been increasing demand for science and tools to address climate change adaptation in wildlife management and conservation. Not only do wildlife and resource managers need the best available science, it must also be presented in a usable format with feasible options within the purview of an individual manager. The research team is first completing a comprehensive review of peer-reviewed studies to summarize what wildlife-related management actions currently exist in climate change adaptation. They will then develop and test a “menu” of climate change adaptation actions that are suitable for wildlife management in terrestrial ecosystems. This Wildlife Adaptation Menu will be modeled off existing adaptation menus for Forestry and Urban Forestry, and it will be designed to be used in conjunction with the Adaptation Workbook . In addition to a menu of adaption strategies and approaches, the scientists will also identify site-level tactics and develop case studies demonstrating the use and implementation of the menu. To ensure that information and tools meet the needs of managers, the team is involving and integrating input from wildlife managers at every step of the process. Managers will be involved in scoping the project, testing the menu, and implementing the menu.

Final Report

U.S. Geological Survey Fundamental Science Practices

The USGS has a long and proud tradition of objective, unbiased science in service to the Nation. A reputation for impartiality and excellence is one of our most important assets. To help preserve this vital asset, in 2004 the Executive Leadership Team (ELT) of the USGS was charged by the Director to develop a set of fundamental science practices, philosophical premises, and operational principles as the foundation for all USGS research and monitoring activities. In a concept document, 'Fundamental Science Practices of the U.S. Geological Survey', the ELT proposed 'a set of fundamental principles to underlie USGS science practices.' The document noted that protecting the reputation of USGS science for quality and objectivity requires the following key elements: - Clearly articulated, Bureau-wide fundamental science practices. - A shared understanding at all levels of the organization that the health and future of the USGS depend on following these practices. - The investment of budget, time, and people to ensure that the USGS reputation and high-quality standards are maintained. The USGS Fundamental Science Practices (FSP) encompass all elements of research investigations, including data collection, experimentation, analysis, writing results, peer review, management review, and Bureau approval and publication of information products. The focus of FSP is on how science is carried out and how products are produced and disseminated. FSP is not designed to address the question of what work the USGS should do; that is addressed in USGS science planning handbooks and other documents. Building from longstanding existing USGS policies and the ELT concept document, in May 2006, FSP policies were developed with input from all parts of the organization and were subsequently incorporated into the Bureau's Survey Manual. In developing an implementation plan for FSP policy, the intent was to recognize and incorporate the best of USGS current practices to obtain the optimum overall program for our science. In January 2009, the USGS moved to full implementation of FSP. The FSP Advisory Committee (FSPAC) was formed to serve as the Bureau's working and standing committee to ensure the objectivity and quality of the Bureau's science information products and to provide support for the full implementation of FSP.

Circular

Assessing risk for enhanced cyanobacteria, phytoplankton, and pathogens with changes in water level regime with potential application to Lake Powell and Lake Mead: A mixed methods literature review

Water levels in freshwater reservoirs worldwide are changing due to altered climate, management practices, and increasing human demand for water. In the desert southwestern USA, managers are considering significant changes to reservoir operation strategies and water management in response to consumptive use and ongoing drought. To inform reservoir management decision-making, we reviewed current peer-reviewed literature to identify the effects of decreasing or increasing water level on phytoplankton, cyanobacteria, Escherichia coli , and Naegleria spp. We identified 34 studies containing 42 individual waterbodies that investigated the effects of water level increases or decreases on phytoplankton or cyanobacteria. We found that water level decreases resulted in a higher likelihood of increased cyanobacteria, and that phytoplankton were more likely to decrease in response to water level increases. Most of the waterbodies included in the literature review were eutrophic or hypereutrophic, underscoring the need to explore the effects of water level fluctuations on oligotrophic systems. We only identified five studies on E. coli through our review, and no studies on Naegleria spp. We supplemented our review with regional white papers and case studies within the Colorado River Basin and the Rio Grande River Basin to highlight relevant research. Prior and ongoing research highlights the need to explore impacts of water level fluctuations on phytoplankton and cyanobacteria to guide future management decision-making.

Arizona, Utah, Nevada

Considerations for creating equitable and inclusive communication campaigns associated with ShakeAlert, the earthquake early warning system for the West Coast of the USA

Purpose The 2019 Global Assessment Report on Disaster Risk Reduction (GAR) cites earthquakes as the most damaging natural hazard globally, causing billions of dollars of damage and killing thousands of people. Earthquakes have the potential to drastically impact physical, social and economic landscapes; to reduce this risk, earthquake early warning (EEW) systems have been developed. However, these technical EEW systems do not operate in a vacuum; the inequities in social systems, along with the needs of diverse populations, must be considered when developing these systems and their associated communication campaigns. Design/methodology/approach This article reviews aspects of social vulnerability as they relate to ShakeAlert, the EEW system for the USA. The authors identified two theories (relationship management theory and mute group theory) to inform self-reflective questions for agencies managing campaigns for EEW systems, which can assist in the development of more inclusive communication practices. Finally, the authors suggest this work contributes to important conversations about diversity, equity and inclusion (DEI) issues within early warning systems and earthquake preparedness campaigns in general. Findings To increase inclusivity, Macnamara (2012) argues that self-reflective questioning while analyzing perspective, philosophy and approaches for a campaign can help. Specific to EEW campaigns, developers may find self-reflective questions a useful approach to increase inclusion. These questions are guided by two theories and are explored in the paper. Research limitations/implications Several research limitations exist. First, this work explores two theories to develop a combined theoretical model for self-reflective questions. Further research is required to determine if this approach and the combination of these two theories have adequately informed the development of the reflective questions. Orginality/value The authors could find little peer-reviewed work examining DEI for EEW systems, and ShakeAlert in particular. While articles on early warning systems exist that explore aspects of this, EEW and ShakeAlert, with its very limited time frames for warnings, creates unique challenges.

West Coast

Roadside rights-of-way as pollinator habitat: A literature review

Pollination of crops and naturally - occurring flowering plants is a critical ecosystem service provided by managed and unmanaged animal pollinators. Insects are the most studied pollinators, particularly managed honey bees, unmanaged wild bees, and butterflies. Bees and butterflies thrive in early - successional habitat featuring grasses, exposed soil, wildfl owers, and shrubs, which is consistently found within transportation and utility rights - of - way (ROW). However, intensive management of ROW can reduce the amount of high - quality pollinator habitat; such practices include frequent mowing, broadcast herbicide use, and planting non - native cool season grasses. Here, we review peer - reviewed academic and non - peer reviewed gray literature describing ROW management practices and their effects on pollinator populations , focusing on applications of th e se practi ces in landscapes similar to t hose found in Main e and the nor theast Unit ed States ; that is, lan dscapes that are h e avily forested and inter spersed with agriculture, develop ed areas, and wetlands . T he li terature consistently recommend s these management practices to provide pollinator habitat in ROW and promote plant and pollinator diversity and abundance : 1) Reduce mowing frequency and time mowing to pollinator activity. 2) Target herbicide applications to undesirable plant sp ecies using backpack sprayers. 3) Plant native seeds, seedlings, or shrubs, leaving some exposed soil for nesting. We considered threats to plants and pollinators associated with ROW, including traffic volume and mortality, noise, light, and air pollution, and habitat fragmentation. The literature suggests that these threats vary widely across road sizes, types, and landscape context, and the overall negative impacts do not outweigh the potential benefits of promoting pollinator habitat in ROW. Landscape co ntext also influences the composition of ROW plant and pollinator communities. In Maine, agriculture and grassland in the surrounding generally reduced bumble bee and butterfly abundance in Priority 1 ROW sites. Many state Departments of Transportation ha ve incorporated integrative vegetation management (IVM) principles into ROW management, and we summarize a number of case studies here. Restoration projects in high - visibility areas are common; further, these can lead to public support for additional polli nator habitat enhancement. Implementing new management practices can be difficult, therefore we discuss strategies to aid in successful adoption, including gathering public support, collaborations between public and private agencies, and innovative funding opportunities. While assessing vegetation management impacts on bee and butterfly communities in ROW is a rapidly expanding area of research, there are still many gaps in current knowledge. We conclude this report by addressing these gaps and provide sugg estions for further study.

Maine

Unlearning Racism in Geoscience (URGE): Summary of U.S. Geological Survey URGE pod deliverables

The U.S. Geological Survey (USGS) is in a unique position to be a leader in diversity, equity, inclusion, and accessibility in the Earth sciences. As one of the largest geoscience employers, the USGS wields significant community influence and has a responsibility to adopt and implement robust, unbiased policies so that the science it is charged to deliver is better connected to the diverse communities it serves. Meaningful and effective improvements in implementation of diversity, equity, inclusion, and accessibility principles made within the USGS will be seen across the geoscience community. Despite this opportunity, however, the community, including the USGS, has struggled to diversify the geoscience workforce, which does not reflect the Nation’s diversity. This disparity suggests that the implementation of past policies did not achieve their desired outcomes in sustainable ways. The persistent lack of diversity across the geosciences and the racial justice protests of 2020 motivated a group of geoscience scholars to launch a global, virtual initiative known as Unlearning Racism in Geoscience (URGE) in the winter of 2021. The 16-week facilitated URGE curriculum was designed to highlight existing literature, share expert opinions, and foster discussion within groups (pods) around the world to build action plans for affecting change within their home institutions ( https://urgeoscience.org/ ). Whereas most of the approximately 4,500 participants were university faculty and students or from professional societies and nonprofit organizations, 6 pods totaling over 120 participants from the USGS joined the program—the largest participation of any Federal science agency. Summarizing the recommendations of over 100 USGS employees across the USGS who participated in URGE, this Circular represents a grassroots plan for making the USGS workforce more diverse and inclusive. To identify how peer-reviewed best practices could be implemented at the USGS, participants read existing literature, reviewed USGS policies and procedures, explored new and existing demographic data, and listened to and discussed primary interviews with scholars, all facilitated by the URGE program. This Circular leverages the efforts and momentum of the USGS URGE participants to catalyze and support positive, systemic change throughout the organization in a holistic way that represents an achievable departure from past policies that fell short of success. These recommendations are starting points. Reflecting the overall lack of diversity in the USGS workforce, the USGS URGE participants were predominantly White, meaning recommendations in this document can and should continue to evolve to include the lived perspectives and input from the broader USGS community. Finally, this summary document only highlights some of the key findings of these working groups. Additional details that may be more suitable to specific USGS Centers and programs can be found in the primary documents developed by each USGS URGE pod; a list of all registered pods can be found at https://urgeoscience.org/pods/ .

Circular

Field Manual of Wildlife Diseases

Welcome to a new version of the “Field Manual of Wildlife Diseases.” Unlike the previous printed versions of this publication, this new version is being developed as a “living“ electronic publication. Content will periodically be added and (or) updated as warranted, and it will always be reviewed by scientific experts (“peer reviewed”) before it is released. Thus, this publication will never be completed, and readers should download revised versions of specific chapters, glossaries, and the appendixes whenever they visit the publication Web site. The purpose of this manual is to provide information that will enhance the ecological understanding and comfort level of nonspecialists so that they can address various aspects of wildlife disease within the context of wildlife conservation and management. Other readers, from students to science professionals, may also find the information presented to be of interest and value. Constructive suggestions from readers will help guide adjustments as this project progresses. We begin this new manual with introductory contextual and historical background about the convergence of wildlife disease with wildlife management as a wildlife conservation concern (section A, chap. 1). The remainder of the publication is focused on pragmatic information and considerations for addressing various aspects of wildlife disease. Section B focuses on concepts associated with disease surveillance and response to outbreaks, and section C deals with specific techniques for disease surveillance and investigation. Section D, “Diseases of Wild Birds,” and others that follow will address diseases of concern in various species groups. Electronic links facilitate timely access to a wide variety of supplemental information and processes relevant to content in this new version of the “Field Manual of Wildlife Diseases.”

Techniques and Methods

Management of the brown-headed cowbird: Implications for endangered species and agricultural damage mitigation

The brown-headed cowbird ( Molothrus ater ; cowbird) is unique among North American blackbirds (Icteridae) because it is managed to mitigate the negative effects on endangered songbirds and economic losses in agricultural crops. Cowbird brood parasitism can further affect species that are considered threatened or endangered due to anthropogenic land uses. Historically, cowbirds have often been culled without addressing ultimate causes of songbird population declines. Similar to other North American blackbirds, cowbirds depredate agricultural crops, albeit at a lower rate reported for other blackbird species. Conflicting information exists on the extent of agricultural damage caused by cowbirds and the effectiveness of mitigation measures for application to management. In this paper, we reviewed the progress that has been made in cowbird management from approximately 2005 to 2020 in relation to endangered species. We also reviewed losses to the rice ( Oryza sativa ) crop attributed to cowbirds and the programs designed to reduce depredation. Of the 4 songbird species in which cowbirds have been managed, both the Kirtland’s warbler ( Dendroica kirtlandii ) and black-capped vireo ( Vireo atricapilla ) have been removed from the endangered species list following population increases in response to habitat expansion. Cowbird trapping has ceased for Kirtland’s warbler but continues for the vireo. In contrast, least Bell’s vireo ( V. bellii pusillus ) and southwestern willow flycatcher ( Empidonax traillii extimus ) still require cowbird control after modest increases in suitable habitat. Our review of rice depredation by cowbirds revealed models that have been created to determine the number of cowbirds that can be taken to decrease rice loss have been useful but require refinement with new data that incorporate cowbird population changes in the rice growing region, dietary preference studies, and current information on population sex ratios and female cowbird egg laying. Once this information has been gathered, bioenergetic and economic models would increase our understanding of the damage caused by cowbirds.

California

Desert tortoise annotated bibliography, 1991-2015

Introduction Agassiz’s desert tortoise, Gopherus agassizii , was considered a single species for 150 years after its discovery by James Cooper (1861), with a geographic range extending from southeastern California, southern Nevada, and southwestern Utah southward into northern Sinaloa, Mexico (Murphy and others, 2011). What was once G. agassizii is now recognized as a complex composed of three sister species, G. agassizii , G. morafkai , and G. evgoodei (Murphy and others, 2011; Edwards and others, 2016) (fig. 1). The geographic range of Agassiz’s Desert Tortoise ( G. agassizii ) is now limited to north and west of the Colorado River (Murphy and others, 2011), with the exception of a small population in northwestern Arizona (Edwards and others, 2015). This annotated bibliography is based on peer-reviewed journal articles published between January 1991 and December 2015 on Agassiz’s Desert Tortoise, with the geographic range as defined by Murphy and others (2011). Studies pertaining to other species of Gopherus (e.g., G. morafkai ), were included only when associated with G. agassizii . In addition to articles pertaining directly to desert tortoises, we compiled articles concerning threats to desert tortoises and the habitats they occupy. Similarly, we only included studies that encompass other habitat types when they were directly compared with habitats of G. agassizii . Agassiz’s Desert Tortoise (hereinafter called desert tortoise) is a state- and federally-listed threatened species (U.S. Fish and Wildlife Service, 1990; California Department of Fish and Game, 2015). The first population federally listed as threatened occurred on the Beaver Dam Slope, Utah (U.S. Fish and Wildlife Service, 1980). In 1990, the entire geographic range north and west of the Colorado River was federally listed as threatened (U.S. Fish and Wildlife Service, 1990), with the exception being a small population in northwestern Arizona. The purpose of this annotated bibliography is to support recovery efforts for the species, because populations have continued to decline in spite of designation of critical habitat and publication of a recovery plan (U.S. Fish and Wildlife Service, 1994). For example, between 2005 and 2014, populations in critical habitats declined about 50% (U.S. Fish and Wildlife Service, 2015).

Open-File Report

Hydraulic, geochemical, and thermal monitoring of an aquifer system in the vicinity of Mammoth Lakes, Mono County, California, 2015–17

Since 2014, the U.S. Geological Survey has been working in cooperation with the Bureau of Land Management, Mono County, Ormat Technologies, Inc., and the Mammoth Community Water District to design and implement a groundwater-monitoring program for the proposed Casa Diablo IV Geothermal Power Project in Long Valley Caldera, California, to characterize baseline groundwater-level, water-temperature, and water-chemistry conditions at dedicated monitoring wells and municipal supply wells. The publicly available data and the analyses provided here represent quality-assured and peer-reviewed information to help with the management of the thermal and non-thermal water resources beneath and in the vicinity of the town of Mammoth Lakes, California. The methods of data collection for continuous water levels and quarterly water-temperature profiles for two 600-foot-deep monitoring wells during 2016 through 2017 are discussed. Also discussed are the methods of water-sample collection and characterizations of the water chemistry in numerous wells in the multilayered aquifer system beneath Mammoth Lakes. Additionally, the methodology used to develop digital (mathematical) filters to remove or reduce the effects of barometric pressure and solid Earth tides on the continuous water-level records is discussed. Digitally filtered water levels for a 2017 flow test of a deep geothermal production well are described, and various aquifer responses observed during the flow test are discussed. These are further considered in a companion evaluation of potential physical and chemical influences on the water-level data collected during the flow test. The digitally filtered water-level data indicated that some hydraulic communication exists between the deep geothermal aquifer and shallow groundwater aquifer at the location of the flow test, northeast of Mammoth Lakes. Groundwater-chemistry data from three wells indicated that shallow groundwater naturally mixes with a small component of geothermal water along the northern periphery of the shallow aquifer system at Mammoth Lakes.

California

Proceedings of the fourth conference on research in California's National Parks

The papers in this proceedings were selected from the 63 presentations given at the Fourth Biennial Conference on Research in National Parks in California. The overall theme for this meeting was a recurring one: “The Integration of Research into National Park Service Resource Management Decisions.” The conference was held at the University of California, Davis, on 10-12 September 1991 and was sponsored by the National Park Service Cooperative Park Studies Unit and the Institute of Ecology at the University of California, Davis. This proceedings highlights a variety of research and resource management efforts to improve the stewardship of our most treasured landscapes. In the future, it will become increasingly more important for federal and state agencies, university scientists and students, and the public to cooperate fully to improve the quantity and quality of science and resource management programs in units of the National Park System. As many of the papers in this proceedings attest, we must look beyond the political boundaries of protected landscapes to incorporate entire ecosystems. Competing resource uses inside and outside parklands must be reexamined to weave a common thread of biological conservation. As scientists, our studies must bridge the gap from plots to landscapes and from landscapes to regions. Our studies must built on information from species and populations to ecosystems and the processes that influence them. The papers in this proceedings are modest but important contribution to those ideals. Each paper represents original research and has been peer-reviewed. Many agencies, institutions, and individuals contributed in the development of this product. In the planning stages, National Park Service Western Region scientists provided advice and assistance in structuring the conference format. University of California, Davis, graduate students, directed by Sharon Lynch, assisted with logistics at the meeting, and provided general assistance with the paper sessions. We thank the students, technicians, and support staff who labored unselfishly behind the scenes to collect data and transfer information important to the completion of each paper. Financial support for this publication was provided with funds from the Western Region Resource Management and Resource Program and the Washington Office Servicewide Publications Program of the National Park Service. We thank Denny Fenn, Stan Albright, Bruce Kilgore, Dave Cherry, Gene Hester, and Donna O'Leary of the National Park Service and Charles Goldman of the University of California, Davis, Institute of Ecology for their support throughout the development of the proceedings. Finally, we are entering into a new age of research in the U.S. Department of the Interior. Recently, plans were announced for the creation of the National Biological Survey, dedicated to improving the quantity and quality of research necessary for the wise stewardship of our natural resources and wildlands. We welcome our new partners and pledge our full support to both the new and old agencies. The papers presented here--and past research efforts in national parks--provide an important stepping stone to the future. While many of us will be transferred administratively to the National Biological Survey, our emotional ties to the National Park Service mission of preserving resources for future generations will remain with us forever.

California

U.S. Geological Survey data strategy 2023–33

The U.S. Geological Survey (USGS) has long recognized the strategic importance and value of well-managed data assets as an integral component of scientific integrity and foundational to the advancement of scientific research, decision making, and public safety. The USGS investment in the science lifecycle, including collection of unbiased data assets, interpretation, peer review, interpretive publications, and data release, ultimately contributes to the transparency and availability of science. Foundational Government directives and laws, such as the Foundations for Evidence-Based Policymaking Act of 2018 (Public Law 115–435, 132 Stat. 5529) as well as Executive Order 13642, “Making Open and Machine Readable the New Default for Government Information,” provide a framework for addressing strategic data management. The USGS Data Strategy builds on that framework by outlining high-level goals and objectives that serve as a long-term, decadal guide toward achieving a broad, data-focused vision. Benefits of the USGS Data Strategy are many. The USGS will contribute to open science by increasing efficiencies in the consistent management of valuable data assets; driving innovation that results in modernized capabilities to ensure data are analysis ready; increasing data skills across the Bureau to enhance workforce data literacy; broadening capacity to understand and address needs of stakeholders; and measuring progress in producing findable, accessible, interoperable, and reusable (FAIR) data products. The major goals and objectives of the USGS Data Strategy promote maximizing the utility of USGS data based on stakeholder needs, promoting data innovation, coordinating common data practices, modernizing our USGS enterprise data architecture, and enhancing our data-centric culture. The goals and objectives in the strategy align with other Bureau strategic plans, guidance, and directives from the Department of the Interior and the Federal Government. This strategy is a key component to strengthen the Bureau’s data ecosystem to ensure a relevant, long-term capacity that supports internal needs and achieves its scientific mission in the most efficient and effective manner.

Circular

Spatially explicit habitat models for 28 fishes from the Upper Mississippi River System (AHAG 2.0)

Environmental management actions in the Upper Mississippi River System (UMRS) typically require pre-project assessments of predicted benefits under a range of project scenarios. The U.S. Army Corps of Engineers (USACE) now requires certified and peer-reviewed models to conduct these assessments. Previously, habitat benefits were estimated for fish communities in the UMRS using the Aquatic Habitat Appraisal Guide (AHAG v.1.0; AHAG from hereon). This spreadsheet-based model used a habitat suitability index (HSI) approach that drew heavily upon Habitat Evaluation Procedures (HEP; U.S. Fish and Wildlife Service, 1980) by the U.S. Fish and Wildlife Service (USFWS). The HSI approach requires developing species response curves for different environmental variables that seek to broadly represent habitat. The AHAG model uses species-specific response curves assembled from literature values, data from other ecosystems, or best professional judgment. A recent scientific review of the AHAG indicated that the model’s effectiveness is reduced by its dated approach to large river ecosystems, uncertainty regarding its data inputs and rationale for habitat-species response relationships, and lack of field validation (Abt Associates Inc., 2011). The reviewers made two major recommendations: (1) incorporate empirical data from the UMRS into defining the empirical response curves, and (2) conduct post-project biological evaluations to test pre-project benefits estimated by AHAG. Our objective was to address the first recommendation and generate updated response curves for AHAG using data from the Upper Mississippi River Restoration-Environmental Management Program (UMRR-EMP) Long Term Resource Monitoring Program (LTRMP) element. Fish community data have been collected by LTRMP (Gutreuter and others, 1995; Ratcliff and others, in press) for 20 years from 6 study reaches representing 1,930 kilometers of river and >140 species of fish. We modeled a subset of these data (28 different species; occurrences at sampling sites as observed in day electrofishing samples) using multiple logistic regression with presence/absence responses. Each species’ probability of occurrence, at each sample site, was modeled as a function of 17 environmental variables observed at each sample site by LTRMP standardized protocols. The modeling methods used (1) a forward-selection process to identify the most important predictors and their relative contributions to predictions; (2) partial methods on the predictor set to control variance inflation; and (3) diagnostics for LTRMP design elements that may influence model fits. Models were fit for 28 species, representing 3 habitat guilds (Lentic, Lotic, and Generalist). We intended to develop “systemic models” using data from all six LTRMP study reaches simultaneously; however, this proved impossible. Thus, we “regionalized” the models, creating two models for each species: “Upper Reach” models, using data from Pools 4, 8, and 13; and “Lower Reach” models, using data from Pool 26, the Open River Reach of the Mississippi River, and the La Grange reach of the Illinois River. A total of 56 models were attempted. For any given site-scale prediction, each model used data from the three LTRMP study reaches comprising the regional model to make predictions. For example, a site-scale prediction in Pool 8 was made using data from Pools 4, 8, and 13. This is the fundamental nature and trade-off of regionalizing these models for broad management application. Model fits were deemed “certifiably good” using the Hosmer and Lemeshow Goodness-of-Fit statistic (Hosmer and Lemeshow, 2000). This test post-partitions model predictions into 10 groups and conducts inferential tests on correspondences between observed and expected probability of occurrence across all partitions, under Chi-square distributional assumptions. This permits an inferential test of how well the models fit and a tool for reporting when they did not (and perhaps why). Our goal was to develop regionalized models, and to assess and describe circumstances when a good fit was not possible. Seven fish species composed the Lentic guild. Good fits were achieved for six Upper Reach models. In the Lower Reach, no model produced good fits for the Lentic guild. This was due to (1) lentic species being much less prominent in the Lower Reach study areas, and (2) those that do express greater prominence principally do so only in the La Grange reach of the Illinois River. Thus, developing Lower Reach models for Lentic species will require parsing La Grange from the other two Lower Reach study areas and fitting separate models. We did not do that as part of this study, but it could be done at a later time. Nine species comprised the Lotic guild. Good fits were achieved for seven Upper Reach models and six Lower Reach models. Four species had good fits for both regions (flathead catfish, blue sucker, sauger, and shorthead redhorse). Three species showed zoogeographic zonation, with a good model fit in one of the regions, but not in the region in which they were absent or rarely occurred (blue catfish, rock bass, and skipjack herring). Twelve species comprised the Generalist guild. Good fits were achieved for five Upper Reach models and eight Lower Reach models. Six species had good fits for both regions (brook silverside, emerald shiner, freshwater drum, logperch, longnose gar, and white bass). Two species showed zoogeographic zonation, with a good model fit in one of the regions, but not in the region in which they were absent or rarely occurred (red shiner and blackstripe topminnow). Poorly fit models were almost always due to the diagnostic variable “field station,” a surrogate for river mile. In these circumstances, the residuals for “field station” were non-randomly distributed and often strongly ordered. This indicates either fitting “pool scale” models for these species and regions, or explicitly model covariances between “field station” and the other predictors within the existing modeling framework. Further efforts on these models should seek to resolve these issues using one of these two approaches. In total, nine species, representing two of the three guilds (Lotic and Generalist), produced well-fit models for both regions. These nine species should comprise the basis for AHAG 2.0. Additional work, likely requiring downscaling of the regional models to pool-scale models, will be needed to incorporate additional species. Alternately, a regionalized AHAG could be comprised of those species, per region, that achieved well-fit models. The number of species and the composition of the regional species pools will differ among regions as a consequence. Each of these alternatives has both pros and cons, and managers are encouraged to consider them fully before further advancing this approach to modeling multi-species habitat suitability.

Upper Mississippi River System

Climate change vulnerability assessment for the California coastal national monument—Trinidad and Point Arena-Stornetta units

Executive Summary The California Coastal National Monument protects islets, reefs, and rock outcropping habitats in six onshore units, including the Trinidad and Point Arena-Stornetta Units. The California Coastal National Monument provides crucial habitat for resident and migratory species of seabirds, marine mammals, and invertebrates, which includes several federally listed threatened and endangered species. Also, the California Coastal National Monument encompasses important tribal, cultural, and historical sites along the coastline of California. We used three approaches to assess the climate change vulnerability of the Trinidad and Point Arena-Stornetta Units: (1) a qualitative approach using peer-reviewed literature and previous work done in the Climate Change Vulnerability Assessment for the North-central California Coast and Ocean (Hutto and others, 2015), (2) interactive workshops with local stakeholders to identify specific resources, and (3) spatial analysis to estimate sea-level rise vulnerability for the rocky shoreline and key resources within the units. Information from stakeholder workshops held (in 2017) in the cities of Point Arena and Trinidad identified climate change impacts as an important management concern for the resilience, health, and ecosystem services of the California Coastal National Monument units. Impacts that were identified included sea-level rise, changes in precipitation and fog, warming oceans, and loss of species (birds, fisheries, marine mammals). Boat surveys were done for each unit to estimate the number of rocky features and the biota using the rocks. At the Trinidad Unit, 138 rocks were surveyed and 17 different wildlife species were observed, whereas at the Point Arena-Stornetta Unit, 40 rocks were surveyed and 10 different wildlife species were observed. Individual rocky features surveyed within the units were then ranked on sea-level rise exposure and vulnerability scales with 1 being the least vulnerable/exposed and 5 the most. Forty-nine and fifty-eight percent of surveyed rocks had a sea-level rise exposure ranking of 4 or 5 (high) for the Trinidad Unit and Point Arena-Stornetta Units respectively. Forty-eight percent of offshore rocks had a sea-level rise vulnerability score of 3 or greater (high) for the Trinidad Unit, and forty-three percent of rocks had a vulnerability score of 3 or greater for the Point Arena-Stornetta Unit. When examining guild use of vulnerable rocks (vulnerability score greater than 3), at the Trinidad Unit alcid species (here defined as common murres and pigeon guillemots) were observed on only 28 percent of vulnerable rocks, shorebirds on 30 percent, sea lions on 40 percent, gulls on 43 percent, seabirds on 58 percent, and mammals on 75 percent, whereas at the Point Arena-Stornetta Unit alcid species were observed on 0 percent of vulnerable rocks, gulls on 33 percent, seabirds on 57 percent, and mammals on 50 percent. Sea-level rise has the potential to submerge small low-relief offshore rocks and make them uninhabitable for birds and marine mammals but could provide more intertidal and subtidal rocky habitats. We found that nearly half of the offshore rocks at both sites are vulnerable and have the potential to realize this outcome; however, the larger and tall-relief rocks at these sites are less vulnerable to sea-level rise and are expected to continue to provide habitat for avian species.

California