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REVISED<br />

FINAL<br />

VOLUME I<br />

Ecological Risk Assessment<br />

for<br />

<strong>Bolsa</strong> <strong>Chica</strong><br />

<strong>Lowlands</strong> <strong>Project</strong><br />

Huntington Beach, California<br />

1448-10181-97D068(TS)<br />

Prepared for<br />

U.S. Fish and Wildlife Service<br />

Region One<br />

Prepared by<br />

July 2002<br />

<strong>Bolsa</strong> <strong>Chica</strong> E062002010SAC


Contents<br />

Section<br />

Page<br />

Executive Summary......................................................................................................................ES-1<br />

Introduction and <strong>Project</strong> Approach (Section 1)............................................................ ES-2<br />

Problem Formulation (Section 2).................................................................................... ES-3<br />

Analysis (Section 3) .......................................................................................................... ES-3<br />

Exposure Characterization (Section 3.1) ....................................................................... ES-4<br />

Ecological Effects Characterization (Section 3.2) ......................................................... ES-8<br />

Risk Characterization (Section 4) ................................................................................. ES-10<br />

Conclusions and Recommendations (Section 5) ........................................................ ES-11<br />

1. Introduction..................................................................................................................................1-1<br />

<strong>1.1</strong> Objectives and Scope.....................................................................................................1-3<br />

1.2 <strong>Project</strong> Approach ...........................................................................................................1-4<br />

1.3 Guidance.........................................................................................................................1-6<br />

1.4 Assumptions ..................................................................................................................1-6<br />

1.5 Organization of the ERA Report .................................................................................1-8<br />

2. Problem Formulation..................................................................................................................2-1<br />

2.1 Site Background.............................................................................................................2-1<br />

2.<strong>1.1</strong> Location/Setting............................................................................................2-1<br />

2.1.2 Climate............................................................................................................2-2<br />

2.1.3 Site History.....................................................................................................2-2<br />

2.1.4 Previous Investigations ................................................................................2-4<br />

2.2 Ecological Characterization..........................................................................................2-5<br />

2.2.1 Identification of Habitats..............................................................................2-5<br />

2.2.2 Identification of Potential Ecological Receptors........................................2-6<br />

2.3 Chemicals of Potential Ecological Concern ...............................................................2-8<br />

2.3.1 Preliminary Data Evaluation .......................................................................2-8<br />

2.3.2 Preliminary Background Evaluation ..........................................................2-9<br />

2.3.3 Preliminary Evaluation of Chemical Contamination.............................2-10<br />

2.4 Assessment Endpoints and Measures ......................................................................2-11<br />

2.4.1 Assessment Endpoints................................................................................2-12<br />

2.4.2 Risk Hypotheses ..........................................................................................2-12<br />

2.4.3 Measures.......................................................................................................2-13<br />

2.5 Ecological Conceptual Site Model.............................................................................2-14<br />

2.5.1 Identification of Representative Species ..................................................2-14<br />

2.5.2 Exposure Pathway Inclusion/Exclusion..................................................2-17<br />

2.6 Biota Sampling in Nearby Areas ...............................................................................2-18<br />

SAC/143368(CONTENTS.DOC) i ERA REPORT<br />

7/31/02


CONTENTS<br />

3. Analysis......................................................................................................................................... 3-1<br />

3.1 Exposure Characterization .......................................................................................... 3-1<br />

3.<strong>1.1</strong> Field Sampling and Analysis....................................................................... 3-1<br />

3.1.2 Data Evaluation............................................................................................. 3-6<br />

3.1.3 Background Evaluation.............................................................................. 3-12<br />

3.1.4 Exposure Analysis ...................................................................................... 3-18<br />

3.1.5 Exposure Profile .......................................................................................... 3-24<br />

3.2 Ecological Effects Characterization .......................................................................... 3-25<br />

3.2.1 Ecological Response Analysis ................................................................... 3-25<br />

3.2.2 Stressor-Response Profile........................................................................... 3-37<br />

4. Risk Characterization................................................................................................................. 4-1<br />

4.1 Risk Estimation.............................................................................................................. 4-1<br />

4.<strong>1.1</strong> Sediment /Soil – Terrestrial Receptors ...................................................... 4-3<br />

4.1.2 Sediment/Soil – Aquatic and Semi-Aquatic Receptors........................... 4-6<br />

4.1.3 Surface Water – Aquatic Receptors .......................................................... 4-15<br />

4.2 Risk Description .......................................................................................................... 4-19<br />

4.2.1 <strong>Bolsa</strong> Bay ...................................................................................................... 4-19<br />

4.2.2 Full Tidal ...................................................................................................... 4-20<br />

4.2.3 Future Full Tidal ......................................................................................... 4-20<br />

4.2.4 Garden Grove-Wintersburg Flood Control Channel............................. 4-21<br />

4.2.5 Gas Plant Pond Area................................................................................... 4-21<br />

4.2.6 Muted Tidal Plus Rabbit Island ................................................................ 4-22<br />

4.2.7 Seasonal Ponds............................................................................................ 4-23<br />

4.3 Uncertainty Analysis .................................................................................................. 4-23<br />

4.3.1 Problem Formulation ................................................................................. 4-24<br />

4.3.2 Analysis ........................................................................................................ 4-24<br />

4.3.3 Risk Characterization ................................................................................. 4-27<br />

4.3.4 Overall Uncertainty .................................................................................... 4-28<br />

5. Summary, Conclusions, and Recommendations .................................................................. 5-1<br />

5.1 Summary ........................................................................................................................ 5-1<br />

Problem Formulation ............................................................................................ 5-2<br />

Exposure Characterization ................................................................................... 5-2<br />

Ecological Effects Characterization ..................................................................... 5-4<br />

Risk Characterization ............................................................................................ 5-4<br />

5.2 Conclusion ..................................................................................................................... 5-6<br />

5.3 Recommendations......................................................................................................... 5-7<br />

6. References..................................................................................................................................... 6-1<br />

Appendices<br />

A<br />

B<br />

C<br />

D<br />

E<br />

Field Sampling and Analysis Methods<br />

Core Logs<br />

Quality Assurance <strong>Project</strong> Plan<br />

Analytical Data<br />

Background Evaluation<br />

ERA REPORT ii SAC/143368(CONTENTS.DOC)<br />

7/31/02


F<br />

G<br />

H<br />

I<br />

Bioassay Reports<br />

Bioassay-Derived Effect Levels<br />

Stressor-Response Relationships<br />

Risk Estimates<br />

Tables<br />

ES-1<br />

ES-2<br />

ES-3<br />

Chemicals of Ecological Concern in Sediment/Soil – Terrestrial Receptors<br />

Chemicals of Ecological Concern in Sediment/Soil – Aquatic Plants and<br />

Invertebrates, and Semi-Aquatic Birds<br />

Chemicals of Ecological Concern in Surface Water – Aquatic Receptors<br />

2-1 List of Species Potentially Occurring<br />

2-2 List of Special-Status Species Potentially Occurring in the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong><br />

2-3 Site-Wide Chemicals of Potential Ecological Concern<br />

2-4 Preliminary Chemicals of Potential Ecological Concern in Soil, Sediment and Biota<br />

2-5 Detected Concentrations in Soils – 1996<br />

2-6 Detected Concentrations in Sediment – 1996<br />

2-7 Range of Detected Concentrations in Surface Water – 1996<br />

2-8 Detected Concentrations in Benthic Infauna Tissue –1996<br />

2-9 Detected Concentration in Fish Tissue - 1996<br />

3-1 Chemicals Detected in Sediment/Soil, Surface Water, and Biological Tissues<br />

3-2 Summary Statistics for Chemicals Detected in Soil/Sediment<br />

3-3 Summary Statistics for Chemicals Detected in Surface Water<br />

3-4 Summary Statistics for Chemicals Detected in Terrestrial Plant Tissue<br />

3-5 Summary Statistics for Chemicals Detected in Terrestrial Invertebrates Tissue<br />

3-6 Summary Statistics for Chemicals Detected in Stilt Eggs<br />

3-7 Summary Statistics for Chemicals Detected in Small Mammals<br />

3-8 Summary Statistics for Chemicals Detected in Aquatic Invertebrate Tissue<br />

3-9 Summary Statistics for Chemicals Detected in Fish<br />

3-10 Background Levels for Selected Inorganic Constituents in Surface and Subsurface<br />

Sediments (mg/kg dw)<br />

3-11 Exposure Parameters for Bird and Mammal Receptors<br />

3-12 Summary Statistics for Soil-to-Biota Bioaccumulation Factors for <strong>Bolsa</strong> <strong>Chica</strong><br />

3-13 Summary Statistics for Water-to-Biota Bioaccumulation Factors for <strong>Bolsa</strong> <strong>Chica</strong><br />

3-14 Summary of Toxicity Test Results<br />

3-15 Univariate Regression of Amphipod Survival (Number of Individuals) on<br />

Untransformed and Natural Log Transformed Concentrations in Sediment<br />

3-16 Univariate Regression of Amphipod Survival (Number of Individuals) on<br />

Untransformed and Natural Log Transformed Concentrations in Sediment<br />

3-17 Summary of F-tests for Comparisons of Amphipod Mortality Regression Models by<br />

Test Media Adjustment Groups by Analyte<br />

3-18 Univariate Regression of Mytilus Development on Untransformed and Natural Log<br />

Transformed Concentrations in Pore Water<br />

3-19 Summary of LC 50 s and LC 20 s for Chemical Concentrations in Sediment<br />

3-20 Summary of LC 50 s and LC 20 s for Chemical Concentrations in Sediment<br />

SAC/143368(CONTENTS.DOC) iii ERA REPORT<br />

7/31/02


CONTENTS<br />

3-21 Summary of EC 50 s and EC 20 s for Chemical Concentrations in Pore Water<br />

3-22 Correlation Matrix Among Analytes Associated with Amphipod Toxicity That Were<br />

Detected in Sediments<br />

3-23 Summary of Proportion of Variance Accounted for by the First Nine Principal<br />

Components for Analytes Detected in Sediments<br />

3-24 Summary of Correlations Between Principal Component Scores for the Nine Primary<br />

Components and Analytes Associated with Amphipod Toxicity Detected in<br />

Sediment (Only those analytes with significant correlations [p


3-5a Selenium (Se) Values (Including Non-Detects) in Sediments<br />

3-5b Detected Selenium (Se) Values in Sediments<br />

3-6a Silver (Ag) Values (Including Non-Detects) in Sediments<br />

3-6b Detected Silver (Ag) Values in Sediments<br />

3-7 Random Sampling Results for Metals Exceeding at Least One Screening Level<br />

3-8 Random Sampling Results for Metals Exceeding ER-M<br />

3-9 Random Sampling Results for Petroleum Hydrocarbons Exceeding at Least One<br />

Screening Level<br />

3-10 Random Sampling Results for Petroleum Hydrocarbons Exceeding LC50<br />

3-11 Random Sampling Results for Chlorinated Pesticides Exceeding at Least One<br />

Screening Level<br />

3-12 Random Sampling Results for Chlorinated Pesticides Exceeding ER-M<br />

3-13 Random Sampling Results for PCBs Exceeding at Least One Screening Level<br />

3-14 Random Sampling Results for PCBs Exceeding ER-M<br />

3-15 Random Sampling Results for Phthalate Exceeding at Least One Screening Level<br />

3-16 Random Sampling Results for Phthalate Exceeding LC50<br />

3-17 Arsenic in Sediment vs. Amphipod Toxicity<br />

3-18 Barium in Sediment vs. Amphipod Toxicity<br />

3-19 Chromium in Sediment vs. Amphipod Toxicity<br />

3-20 Lead in Sediment vs. Amphipod Toxicity<br />

3-21 Nickel in Sediment vs. Amphipod Toxicity<br />

3-22 Aldrin in Sediment vs. Amphipod Toxicity<br />

3-23 Chrysene in Sediment vs. Amphipod Toxicity<br />

3-24 4,4'-DDE in Sediment vs. Amphipod Toxicity<br />

3-25 Low MW PAHs in Sediment vs. Amphipod Toxicity<br />

3-26 Phenanthrene in Sediment vs. Amphipod Toxicity<br />

3-27 TPH Diesel in Sediment vs. Amphipod Toxicity<br />

3-28 Waste Oil in Sediment vs. Amphipod Toxicity<br />

3-29 Arsenic in Pore Water vs. Mytilus Toxicity<br />

3-30 Lead in Pore Water vs. Mytilus Toxicity<br />

3-31 Acenaphthene in Pore Water vs. Mytilus Toxicity<br />

3-32 BHC alpha in Pore Water vs. Mytilus Toxicity<br />

3-33 Chrysene in Pore Water vs. Mytilus Toxicity<br />

3-34 Endosulfan Sulfate in Pore Water vs. Mytilus Toxicity<br />

3-35 Fluorene in Pore Water vs. Mytilus Toxicity<br />

3-36 High MW PAHs in Pore Water vs. Mytilus Toxicity<br />

3-37 Total PAHs in Pore Water vs. Mytilus Toxicity<br />

4-1 Selection of Chemicals of Ecological Concern<br />

SAC/143368(CONTENTS.DOC) v ERA REPORT<br />

7/31/02


Executive Summary<br />

The <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> are located in Orange County, California and comprise<br />

approximately 1,200 acres of estuarine, marine and upland habitat. Since the 1920s, much of<br />

the area has been used for oil and gas exploration, production, and processing. The site and<br />

adjacent areas have also been used for agriculture, cattle grazing, as a wildlife refuge, and<br />

for recreational hunting and fishing. The historical site activity as well as urban runoff<br />

draining into the <strong>Lowlands</strong> has resulted in contamination or physical disturbance of the<br />

plants, wildlife or their habitat on the site.<br />

This Ecological Risk Assessment was conducted in anticipation of proposed clean-up and<br />

restoration of the <strong>Lowlands</strong> to a functioning estuarine system and to improve wildlife<br />

habitat. It is anticipated that once clean-up and restoration activities are complete, the site<br />

will become a state or federal wildlife refuge, as well as serving as mitigation for habitat<br />

losses elsewhere. The anticipated future use of the <strong>Lowlands</strong> served as the focus for the<br />

development of the ecological management goals for the site, which are as follows:<br />

• Sediment, surface water quality, and food source conditions capable of supporting<br />

terrestrial, aquatic, and semi-aquatic plant and wildlife populations that would typically<br />

be found in Full Tidal and Managed Tidal coastal wetland habitats, and non-tidal<br />

Seasonal Ponds<br />

• Sediment, surface water quality, and food source conditions supportive of individuals<br />

of special-status biota and migratory birds protected under the Migratory Bird Treaty<br />

Act likely to be found in Full Tidal and Managed Tidal coastal wetland habitats, and<br />

non-tidal Seasonal Ponds<br />

As part of this restoration effort, the nature and extent of contamination on the site is being<br />

investigated and evaluated. Two important elements of the investigation include an:<br />

• Ecological Risk Assessment (ERA) (this document) to evaluate contaminants present at<br />

the site at concentrations that present a risk to fish, wildlife or their habitat. The ERA<br />

identifies exposure pathways and associated site-specific assessment endpoints. The<br />

ERA also characterizes the ecological effects of the contaminants of concern. This and<br />

other information and analysis in the ERA has been or will be used to (among other<br />

things): (a) assess the nature of the contamination at the site and identify the general<br />

areas of the site that contain contamination (b) assess the nature, characteristics, and<br />

sensitivities of the natural resources at the site (c) determine the extent to which the<br />

contamination threatens to impact natural resources at the site and (d) identify the types<br />

or routes of exposure to the contamination that pose an unacceptable risk; and<br />

• Confirmatory Sampling Program (CSP) to delineate the extent of on-site contamination<br />

and the bounds of needed clean-up efforts. (The CSP was not completed at the time of<br />

publication of this report.)<br />

SAC/143368(ES.DOC) ES-1 ERA REPORT<br />

7/31/02


EXECUTIVE SUMMARY<br />

Two important outcomes of the ERA are identification of (a) chemicals that will be<br />

considered for further evaluation or remediation and (b) chemicals that need not be<br />

considered any further. Chemicals that should be retained for further evaluation or<br />

remediation are referred to as Chemicals of Ecological Concern (COECs) and are listed in<br />

Tables ES-1 to ES-3.<br />

The results of this ERA will be used as a tool used to establish clean-up criteria for portions<br />

of the property affected by on-site contamination. It builds on previously available<br />

information about the site (including ecological and chemical characterization, as well as<br />

planned restoration), which was used to plan and conduct the current work.<br />

Additionally, delineation of boundaries around the contaminated portions of the site will be<br />

completed as part of the future activities including through the CSP and the development of<br />

the remediation plan. It is important to note that this baseline ERA does not assess the<br />

overall areal extent of the contamination, generate or identify remediation goals or clean-up<br />

concentrations, or identify the sensitive habitat areas to be protected from disturbance. The<br />

development of clean-up goals is a complex risk management process that involves an<br />

evaluation of the information contained in the ERA and a range of other factors, such as<br />

technical feasibility and appropriate levels of risk.<br />

In the future, the information and analysis in this baseline ERA will be used as a tool to<br />

evaluate the ecological impacts of alternative remediation strategies and establish clean-up<br />

levels that will protect the natural resources at risk. Possible interim steps also include<br />

removal of hot spots and other interim risk reduction measures.<br />

Introduction and <strong>Project</strong> Approach (Section 1)<br />

The ecological risks at this site were evaluated using a phased/tiered approach consistent<br />

with established methodologies, adapted to the specific needs of the <strong>Bolsa</strong> <strong>Chica</strong> project as<br />

described in the CSP/ERA Work Plan and the revised work plan for the project (CH2M<br />

HILL, 1998a and 2000). The Work Plan as well as the Scoping Assessment (CH2M HILL,<br />

1998b) and Ecological Effects Characterization Report (CH2M HILL, 1999) outline the<br />

various phases of the ERA for the <strong>Lowlands</strong> and provide preliminary results. The project<br />

approach and content of the various reports are summarized in Section 1.2 of this report.<br />

Specific objectives of this Final ERA Report include updating previous information in the<br />

Problem Formulation (Section 2.0) and Analysis (Section 3.0) portions of this report and<br />

conducting the final phase of the ERA (the Risk Characterization, Section 4.0) using the<br />

results of the ERA Sampling and Analyses, Focused Sampling and Analyses, and previously<br />

available information from the Phase II Environmental Assessment (Tetra Tech, 1996).<br />

The data collected from all those investigations were analyzed and evaluated to help refine<br />

and focus the identification of ecotoxicological risk drivers at the site. The ERA uses a wide<br />

range of commonly utilized tools to evaluate the ecological risks related to site<br />

contamination. Some of these tools include site-specific toxicity tests, site-specific<br />

bioaccumulation tests, statistical analysis, a review of published literature values and<br />

several phases of on-site sampling.<br />

ERA REPORT ES-2 SAC/143368(ES.DOC)<br />

7/31/02


EXECUTIVE SUMMARY<br />

The ERA report evaluates the risk that the on-site contamination poses to aquatic and<br />

terrestrial plant and animal species that currently use the site and are likely to use the site<br />

after the restoration. The report evaluates potential exposure of receptors to chemicals at the<br />

site through the development of Exposure Point Concentrations and the calculation of<br />

potential dietary exposure of birds and mammals (as doses) through the food chain uptake<br />

model. The Exposure Point Concentrations are a function of chemical concentrations<br />

detected at the site and the manner in which the receptors are exposed to the chemicals. The<br />

report also develops Reference Toxicity Values (RTVs) which are chemical concentrations in<br />

sediment, water, or dietary dosages that are expected to be associated with adverse effects<br />

on biota based on site-specific toxicity studies, site-specific bioaccumulation studies and<br />

published literature values. Finally, the ERA compares the anticipated exposure (the<br />

Exposure Point Concentration or dose) to the RTV (which is a measure of potential harm) to<br />

reach conclusions about which chemicals of potential ecological concern (COPECs) pose a<br />

risk sufficient to retain the chemical for further evaluation or remediation. Chemicals that<br />

are present at sufficiently high concentrations (typically above the RTV) are placed on the<br />

list of Chemicals of Ecological Concern or COECs. Chemicals that are not placed on the<br />

COEC list are not considered to pose an ecological risk at the site, based on available<br />

information, and are not intended to be carried forward for further analysis. A graphical<br />

representation of this approach is shown in figure ES-1.<br />

Problem Formulation (Section 2)<br />

The Problem Formulation section of the ERA presents information that is used to focus the<br />

evaluation of ecological risks at the site. The end product of the section is a preliminary<br />

conceptual site model for ecological risks at the site.<br />

The ERA incorporates and relies on the extensive information already available about<br />

conditions at the site including site background, habitats found onsite, and the results of<br />

previous sampling conducted at selected locations throughout the site. This information is<br />

found in Sections 2.1 and 2.2 of this report.<br />

Previous sampling had indicated that concentrations of a number of chemicals exceeded<br />

levels that could be expected to cause adverse effects in fish, wildlife, or their habitats. As a<br />

result, there was a need for more comprehensive sampling and evaluation of cleanup/restoration<br />

needs. The available information was reviewed to select potential ecological<br />

receptors, determine chemicals of potential ecological concern (COPECs), and identify<br />

pathways through which the receptors could be exposed to the COPECs. The receptors that<br />

were selected included aquatic and terrestrial plant and animal species that currently use<br />

the site and are likely to occur there under future conditions. COPECs identified for further<br />

evaluation were those that exceeded screening-level benchmark values (levels that could be<br />

associated with adverse effects) for sediment, water, or biological tissues. The results of<br />

these evaluations are found in detail in Sections 2.2 through 2.6 of this report.<br />

Analysis (Section 3)<br />

This section presents the technical evaluation of chemical and ecological data to determine<br />

potential for ecological exposure and adverse effects.<br />

SAC/143368(ES.DOC) ES-3 ERA REPORT<br />

7/31/02


EXECUTIVE SUMMARY<br />

Exposure Characterization (Section 3.1)<br />

The Exposure Characterization contains a summary of the results of the ERA Sampling and<br />

Analyses, Focused Sampling and Analyses, and Phase II Environmental Assessment (Tetra<br />

Tech, 1996). The summary identifies the different types or “suites” of analyses and detection<br />

limits performed on sediment/soil, pore water, surface water, and biota tissue. The<br />

detection limits were chosen to be sufficiently low to allow for meaningful analysis. The<br />

data were evaluated for use in the ERA, subjected to a background evaluation for inorganic<br />

chemicals in sediment, and then used in the various evaluations to develop an exposure<br />

profile and stressor-response profile. These steps are described below.<br />

Field Sampling and Analysis: The preparation of the ERA involved several different<br />

sampling investigations that were conducted throughout the <strong>Lowlands</strong>. In addition to<br />

sampling conducted in 1996 for the Phase II Environmental Assessment (Tetra Tech, 1996)<br />

and sampling conducted to characterize soil/sediment within the dredge footprint for the<br />

proposed restoration of the site (Kinnetic Laboratories/ToxScan, Inc. and CH2M HILL,<br />

1999), we conducted two main phases of sampling and analysis specifically for the ERA.<br />

These two phases of ERA-related sampling are described below, and the results of all<br />

sampling (including the Tetra Tech investigation and the dredge-material characterization)<br />

are included in the project database that is included as Appendix D of this report.<br />

1. The ERA Sampling and Analyses phase in 1998-1999 was designed to complete<br />

sampling for areas away from known or suspected sources of contamination (“random<br />

sampling” locations), to conduct toxicity bioassays and bioaccumulation studies using<br />

site-collected sediment and water from both “random” and “focused” sampling areas,<br />

and to analyze field-collected biota for chemicals that bioaccumulate.<br />

Random sampling of sediment was conducted by taking samples at a density of about<br />

one core per 4 acres throughout the site, but with at least one core per Cell. (The site has<br />

been divided into units called “Cells.” These Cells vary in size from 1 to over 100 acres.)<br />

For Cells larger than 4 acres in size, up to six cores from contiguous areas within the Cell<br />

were composited to reduce analytical costs. Surface sediment (0- to 6-inch depth) from<br />

these cores was analyzed to evaluate potential exposure of ecological receptors. A subset<br />

of the surface sediment samples also was used for sediment bioassays (using amphipods<br />

and polychaete worms [Nereis]), and for extraction of pore water for bioassays with<br />

bivalve larvae. Subsurface sediments (18- to 24-inch and 42- to 48-inch depth intervals<br />

combined) were analyzed to determine whether buried wastes were present. To obtain<br />

sediment or pore water for conducting bioassays from the Focused Sampling locations,<br />

this sampling effort also included limited sampling from selected locations of the<br />

Focused Sampling program (such as waste sumps, pipelines, maintenance areas, and<br />

stormwater inflow areas).<br />

2. The Focused Sampling and Analysis phase of the ERA occurred in 2000. The program<br />

was designed to allow for more detailed analyses of previously sampled “random”<br />

locations (sampled as part of the ERA Sampling and Analyses described previously),<br />

and to identify the nature of contamination associated with previously identified sources<br />

(such as sumps, wells, pipelines, maintenance areas, etc.) and potential sources. The<br />

ERA REPORT ES-4 SAC/143368(ES.DOC)<br />

7/31/02


EXECUTIVE SUMMARY<br />

“focused sampling” locations were divided into three main categories that were<br />

sampled as follows:<br />

a) Random Follow-up Sites: Most of the Random Follow-up sampling locations were<br />

re-sampled to a depth of 0.5 foot below ground surface (bgs). If the bottom<br />

composite sample during random sampling exceeded any of the criteria for resampling,<br />

samples were advanced to the original project depth of 6 feet bgs. Only<br />

those constituents that exceeded specified criteria for any particular sample were<br />

reanalyzed.<br />

b) Previously Uncharacterized sites (Clean-up Agreement and Release [CAR] sites):<br />

Sampling of the CAR sites was conducted by taking samples at a density of one core<br />

per acre and analyzing them individually. For those CAR sites that were smaller<br />

than 1 acre, two borings were collected and were analyzed individually. However, if<br />

the CAR site was smaller than 0.1 acre, two borings were collected, the two top<br />

samples were composited together, and the two middle/bottom samples were<br />

composited together for analysis. All borings were advanced to 6 feet bgs. Samples<br />

from each boring were retrieved from three intervals: 0- to 6-inches, 30- to 36-inches,<br />

and 66- to 72-inches. The middle and bottom interval from each boring were<br />

combined into a single sample.<br />

c) Partially Characterized sites: Sampling of the Partially Characterized sites varied<br />

from one kind of facility or feature to another. Sampling rates for all of these sites<br />

were based on the estimated area or linear length of those facilities and features.<br />

Prior to making the final decisions on sampling rates, constituent lists to use, and<br />

depths below the ground surface, all Tetra Tech and CH2M HILL data were matched<br />

to the list of facilities and features. These data were then used to determine whether<br />

any additional characterization was needed. Boring depth varied by site. Surface<br />

sediment (0 to 6-inch depth) from all Partially Characterized sites was analyzed. No<br />

compositing was conducted on any of the Partially Characterized sites.<br />

The results of the ERA will be used to focus the future sampling at the site during<br />

implementation of the CSP. For example, the suite of analytes will be reduced from the suite<br />

used in prior sampling efforts because particular analytes are not found to be of concern to<br />

plants, animals or their habitat on the <strong>Bolsa</strong> site. In addition, the analysis of information in<br />

the ERA may allow further reductions in the COEC list due to co-locations of chemicals with<br />

other COECs or other factors. Higher detection limits for some analytes may be appropriate<br />

if higher concentrations would be sufficient to detect levels of concern.<br />

The analytical data for soil and sediment were combined as a single exposure medium<br />

because both media will become sediment under the post-restoration habitat types for the<br />

<strong>Lowlands</strong>, and their character varies seasonally.<br />

Evaluation Areas: The <strong>Lowlands</strong> were divided into areas with similar habitat types under<br />

current and/or post-restoration conditions for evaluation of potential risks. The specific<br />

Cells included in each area are:<br />

• <strong>Bolsa</strong> Bay – Inner <strong>Bolsa</strong> Bay (Cell IB) and Outer <strong>Bolsa</strong> Bay (Cell OB)<br />

• Full Tidal – Cells 1, 1A, 3 through 8, 15 through 18, 43, 44, 51, 58, 59, 61, and 62<br />

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EXECUTIVE SUMMARY<br />

• Future Full Tidal – Cells 14, 19 through 40, and 63<br />

• Garden Grove – Wintersburg Flood Control Channel – Cell 52<br />

• Gas Plant Pond Area – offsite areas down gradient from the former Gas Plant, south of<br />

Cells 11 and 12<br />

• Muted Tidal plus Rabbit Island – Cells 41, 42, 45 through 50, 53, 55, 60, 66, and 67<br />

• Seasonal Ponds – Cells 2, 9 through 13<br />

• Sitewide (biota only) – terrestrial invertebrates that were composited from throughout<br />

the <strong>Lowlands</strong><br />

Background Evaluation: The evaluation of background levels for inorganic constituents in<br />

sediments was completed using samples collected from onsite focused and random sample<br />

locations (including those within the proposed dredge area footprint). Maximum<br />

concentrations of chemicals considered to be background levels in surface and subsurface<br />

sediments and a combined value for all sediments were estimated; this was accomplished<br />

using cumulative distribution plots in which detected and non-detected results were<br />

evaluated together and separately to distinguish the impact of non-detected results on the<br />

distribution and estimated background concentrations. Maximum background values for<br />

the combined data set were estimated for arsenic (11 mg/Kg), barium (110 mg/Kg),<br />

beryllium (0.94 mg/Kg), cadmium (0.66 mg/Kg), chromium (43 mg/Kg), cobalt (10.1<br />

mg/Kg), copper (26.1 mg/Kg), lead (48 mg/Kg), mercury (0.28 mg/Kg), nickel (30 mg/Kg),<br />

selenium (0.54 mg/Kg), silver (0.22 mg/Kg), thallium (0.61 mg/Kg), vanadium (75 mg/Kg),<br />

and zinc (103 mg/Kg).<br />

Exposure Analysis and Exposure Profile: The exposure profile established a relationship<br />

between stressors and potential receptors through: (1) identification of potential sources of<br />

chemical stressors (the COPECs) and their spatial distribution across the site, (2) calculation<br />

of exposure point concentrations for various exposure media and receptors based on the<br />

most likely exposure scenario for each species, and (3) calculation of reasonable maximum<br />

daily dosages for chemical intake through the food chain from abiotic and biotic sources by<br />

terrestrial and semi-aquatic birds and terrestrial mammals.<br />

Sources: The primary sources of COPECs include oil and gas production, non-point source<br />

pollution, and historic farming and hunting activities on or near the site.<br />

Exposure Point Concentrations: A conservative approach was used to define the exposure<br />

point concentrations for receptors in the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong>. The exposure point<br />

concentrations for abiotic media (intake or contact with sediment/soil, surface water, and<br />

pore water) were calculated based on the mobility of the receptor being evaluated. For<br />

sedentary organisms such as plants and invertebrates, the exposure was based on the<br />

maximum detected concentrations for each detected chemical in each evaluation area. In<br />

contrast, for the mobile receptors such as birds and mammals, the exposure point<br />

concentrations were based on the 95th percent upper confidence limits (UCLs) of the<br />

arithmetic mean. (If a 95th UCL could not be calculated, the maximum detected<br />

concentration was used.)<br />

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EXECUTIVE SUMMARY<br />

Exposure point concentrations for the biota component of the diets for terrestrial and semiaquatic<br />

birds and terrestrial mammals were calculated based on tissue samples collected<br />

throughout each of the evaluation areas. This combination of tissue data was used primarily<br />

because the mobile higher trophic level receptors are not limited to foraging within a single<br />

cell and may forage throughout the site. Tissue concentrations for field-collected terrestrial<br />

plants, terrestrial invertebrates, bird eggs, small mammals, and fish were combined based<br />

on tissue type. A 95th percent UCL of the arithmetic mean was then calculated for the<br />

combined tissue group. However, different species of field-collected aquatic invertebrates<br />

were not combined because different representative species would not feed on all the aquatic<br />

invertebrates collected. The exposure point concentration for each aquatic invertebrate<br />

species was either the 95th percent UCL of the arithmetic mean or the maximum detected<br />

value, following the same rules as were applied to the other exposure media.<br />

The use of maximum exposure concentrations as described above was carefully considered<br />

along with the less conservative alternative approach of using the 95th percent UCL of the<br />

mean. The selected approach is consistent with standard practice. Plants and invertebrates<br />

are immobile or relatively sedentary receptors – it is not reasonable to assume that they<br />

spatially average their exposure over the medium in which they reside (Suter et al. 2000). To<br />

determine which chemicals at the site may require clean-up, the maximum concentration is<br />

the most appropriate exposure measure. This approach is particularly appropriate at this<br />

site because the site is intended to serve as mitigation habitat, and because it will become a<br />

wildlife refuge once remediation is complete.<br />

Food chain uptake or exposure: Contact with chemical stressors by various receptors must<br />

take into account various exposure areas and pathways. Exposure point concentrations for<br />

abiotic (sediment/soil and surface water) and biotic (field-collected plants, invertebrates,<br />

bird eggs, small mammals, and fish) exposure media were calculated based on the most<br />

likely exposure area and pathways for selected representative species. These species and<br />

pathways include:<br />

• Terrestrial plants – Direct contact via root uptake from sediment/soil<br />

• Terrestrial invertebrates – Direct contact with and ingestion of sediment/soil<br />

• Belding's savannah sparrow – Ingestion of terrestrial plants, terrestrial invertebrates,<br />

and sediment/soil, and surface water<br />

• American kestrel – Ingestion of terrestrial invertebrates, small mammals, and<br />

sediment/soil, and surface water<br />

• Black-necked stilt – Ingestion of aquatic invertebrates, sediment/soil, and surface water<br />

• Least tern – Ingestion of fish, sediment/soil, and surface water<br />

• Black-crowned night-heron – Ingestion of aquatic invertebrates, fish, small mammals,<br />

sediment/soil, and surface water<br />

• Western harvest mouse – Ingestion of terrestrial plants, invertebrates, sediment/soil,<br />

and surface water<br />

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EXECUTIVE SUMMARY<br />

• Coyote – Ingestion of terrestrial plants, bird eggs, small mammals, sediment/soil, and<br />

surface water<br />

• Aquatic plants – Direct contact via root uptake from sediment/soil and surface water<br />

• Aquatic macroinvertebrates – Direct contact with and ingestion of sediments/soil<br />

• Fish – Direct contact with surface water<br />

Reasonable maximum daily dosages were calculated for intake of the exposure media<br />

mentioned above by terrestrial and semi-aquatic birds and terrestrial mammals.<br />

Ecological Effects Characterization (Section 3.2)<br />

The Ecological Effects Characterization focused on (1) evaluating site-specific effects data to<br />

determine the potential adverse effects that may result from different concentrations of<br />

chemical stressors, and (2) establishing a link between these effects and the assessment<br />

endpoints and ecological conceptual site model. The product of this portion of the ERA was<br />

the stressor-response profile that was combined with the exposure profile (described above)<br />

to conduct the Risk Characterization.<br />

Site-specific effects data that were evaluated consisted primarily of toxicity and<br />

bioaccumulation bioassays. The toxicity bioassays were used to evaluate responses to the<br />

mixture of chemicals present in sediment, pore water, or surface water. The bioaccumulation<br />

bioassays were used to evaluate the potential for significant bioaccumulation of chemicals<br />

from sediment into the food chain. The results of sediment and pore water bioassays were<br />

also combined with the corresponding chemical analyses to calculate effect levels through<br />

regression analyses. Toxicological information from literature sources, toxicity databases,<br />

and wildlife toxicological reviews was also reviewed for terrestrial and semi-aquatic<br />

receptors to identify RTVs for each chemical and representative species.<br />

The toxicity bioassays were conducted with marine amphipods and polychaete worms<br />

(sediment); bivalve larvae (pore water); freshwater (Ceriodaphnia) and marine (Mysidopsis)<br />

invertebrates, and topsmelt fish (surface water). The test species were placed in sitecollected<br />

sediment, pore water, or surface water for a defined period of time that was<br />

considered to represent an acute or chronic exposure. Endpoints measured included<br />

survival and reburial for amphipods; survival of worms; survival and larval development<br />

for bivalves; survival and growth for fish; survival and reproduction for Ceriodaphnia;<br />

survival, growth, and fecundity for mysids. Results of the toxicity bioassays are<br />

summarized below:<br />

• Sediment – Amphipod survival ranged from 0 to 98 percent; reburial ranged from 22 to<br />

100 percent for those samples with surviving amphipods. Polychaete worm survival was<br />

not significantly affected in any of the tested sediments. Results were further evaluated<br />

using regression analyses (described below).<br />

• Pore water – Bivalve larvae No Observed Effect Concentrations (NOECs) for survival<br />

and development ranged from 0.098 to 100 percent of the test sample. Lowest Observed<br />

Effects Concentrations (LOECs) for survival and development ranged from 0.2 to<br />

100 percent sample. The EC 50 and LC 50 measurements ranged from 0.17 to 100 percent<br />

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EXECUTIVE SUMMARY<br />

sample. However, many of the lower sample percentages were the maximum tested<br />

concentrations as a result of salinity adjustments that were made to bring the pore water<br />

samples into the tolerance range for the tested species. Results were also further<br />

evaluated using regression analyses (described below).<br />

• Surface water – Topsmelt survival and growth were not significantly affected by any of<br />

the tested surface waters. Ceriodaphnia NOEC for survival and reproduction was<br />

50 percent sample and the LOEC for survival and reproduction was 100 percent sample.<br />

The Mysidopsis showed no toxic effects and the NOEC for survival, reproduction, and<br />

fecundity was 100 percent site sample.<br />

Bioaccumulation tests were conducted using polychaete worms and site-collected<br />

sediments. The results of this testing showed that there was significant bioaccumulation for<br />

several inorganic and organic analytes, as follows:<br />

• For inorganic analytes, significant bioaccumulation was observed for barium, cobalt,<br />

copper, lead, mercury, nickel, selenium, vanadium, and zinc.<br />

• For pesticides and PCBs, significant bioaccumulation was observed for BHC (beta and<br />

gamma), chlordane (alpha, gamma, and technical), 4,4’-DDD, 4,4’-DDE, dieldrin, and<br />

Aroclor 1254.<br />

• For PAHs, significant bioaccumulation was observed for acenaphthene, anthracene,<br />

chrysene, pyrene, and fluorene.<br />

Simple linear regression analyses were performed to determine which chemicals in<br />

sediment and pore water best explained amphipod and bivalve toxicity bioassay results.<br />

The toxicity bioassay results were combined with the corresponding chemical analytical<br />

data for sediment and pore water for each test replicate to determine whether a doseresponse<br />

relationship was present and to estimate site-specific survival LC 20 and LC 50 for<br />

amphipods exposed to sediment, and larval development EC 20 and EC 50 for bivalves<br />

exposed to pore water.<br />

In addition, correlation analyses were conducted to determine whether concentrations of<br />

many chemicals were correlated with each other in sediments. It was found that chemicals<br />

tended to occur in groupings, such as metals, petroleum-related compounds, and<br />

organochlorines (pesticides and PCBs). However, concentrations of chemicals in pore water<br />

were not significantly correlated with their concentrations in the sediment from which the pore<br />

water was extracted. This lack of correlation reduces the ability to predict pore water toxicity<br />

to receptors (such as bivalve larvae) on the basis of chemical concentrations in sediment.<br />

The stressor-response profile was the end product of the Ecological Effects Characterization.<br />

This profile established a link between receptors and potential adverse effects. Site-specific<br />

information from toxicity bioassays, bioaccumulation studies, and regression analyses, as<br />

well as literature toxicity information, were used to develop a list of reference toxicity<br />

values. These values are presented in Section 3 of this report and are summarized below:<br />

• NOECs, No Observed Adverse Effect Level (NOAELs), LOECs, Lowest Observed<br />

Adverse Effect Levels (LOAELs) (see Acronyms and Abbreviations) and other toxicitybased<br />

endpoints – Obtained from the literature for terrestrial receptors (plants,<br />

invertebrates, birds, and mammals)<br />

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EXECUTIVE SUMMARY<br />

• LC 20 and LC 50 for survival of aquatic invertebrates in sediment – Derived from the<br />

regression analyses conducted on amphipod toxicity bioassay results<br />

• NOECs for survival of aquatic invertebrates in sediment – Calculated from polychaete<br />

worm toxicity bioassay results<br />

• EC 20 and EC 50 for larval development of aquatic invertebrates in pore water – Derived<br />

from the regression analyses conducted on bivalve toxicity bioassay results<br />

• NOECs for survival and growth of fish in surface water – Calculated from fish toxicity<br />

bioassay results<br />

• NOECs and/or LOECs for survival/growth, reproduction, and/or fecundity of aquatic<br />

invertebrates in surface water– Calculated from Ceriodaphnia and Mysidopsis toxicity<br />

bioassay results<br />

Risk Characterization (Section 4)<br />

The Risk Characterization presents the evidence linking COPECs to potential adverse effects<br />

in the <strong>Lowlands</strong> including calculation of HQs and evaluation of site-specific toxicity<br />

bioassays and bioaccumulation studies to provide a weight-of-evidence for potential risks<br />

and identify COECs. The identification of COECs is presented in Figure ES-1. All COPECs<br />

that exceeded any available RTV as well as chemicals that showed significant<br />

bioaccumulation in Nereis clam worms were retained as COECs. The overall risk posed by a<br />

COEC in a given medium and evaluation area was determined based on the types of RTVs<br />

that were exceeded (i.e., no-effect levels vs. low-effect levels and chronic effect levels vs.<br />

acute effect levels). The overall risk categories were defined as follows:<br />

• Unknown – RTVs were not available, so risk could not be quantified.<br />

• None – Exposure does not exceed any of the available RTVs.<br />

• Uncertain – Exposure exceeds a no-effect level, but risk could not be fully quantified<br />

because a low-effect level was not available (Category U).<br />

• Some Possible Risk – Exposure exceeds a no-effect level, but not a chronic low-effect<br />

level (Category C).<br />

• Possible Risk – Exposure exceeds a chronic low-effect level, but not an acute effect level<br />

(Category B).<br />

• Probable Risk – Exposure represents the highest level that could be quantified. Exposure<br />

exceeds an acute effect level or showed significant bioaccumulation in Nereis clam<br />

worms (Category A).<br />

The COECs in each medium for terrestrial and aquatic receptors are presented in Tables ES-<br />

1 through ES-3. The chemicals in sediment/soil showing potential for risk to terrestrial<br />

receptors consisted of metals, PAHs, and potentially dieldrin (Table ES-1). The highest level<br />

of risk that could be quantified for terrestrial receptors was Category B (possible risk)<br />

because RTVs were limited to chronic no-effect and low-effect levels; acute RTVs were not<br />

identified.<br />

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EXECUTIVE SUMMARY<br />

The chemicals in sediment/soil that showed the highest potential for risk (Category A) to<br />

aquatic receptors included metals, pesticides, some PAHs, and TPH-diesel and waste oil<br />

(Table ES-2). In addition, significant bioaccumulation of metals and pesticides in Nereis<br />

clam-worms was observed for several evaluation areas. All COECs that also had significant<br />

bioaccumulation were considered to pose a probable risk (Category A) based on<br />

comparisons to RTVs, with the exception of lead and vanadium in the Full Tidal area. These<br />

chemicals were estimated to pose a possible risk (Category B) to aquatic receptors.<br />

The chemicals in surface water that showed probable risk (Category A) to aquatic receptors<br />

were limited to copper and endrin as these two chemicals were the only ones that exceeded<br />

the CA-WQS acute level (Table ES-3). Possible risk (Category B) was estimated for several<br />

other metals, pesticides, and TPH-diesel and waste oil.<br />

Conclusions and Recommendations (Section 5)<br />

The overall conclusion to the ERA is that several chemicals pose various levels of risk to<br />

terrestrial and aquatic receptors. Most notably, metals, pesticides, PAHs, and TPH-diesel<br />

and waste oil consistently show possible (Category B) and probable (Category A) risks to<br />

receptors.<br />

COECs identified in each area of the <strong>Lowlands</strong> are recommended for further evaluation or<br />

remediation. Clean-up goals should be developed for each COEC based on the receptors<br />

that may be at risk. Once clean-up goals are drafted, the extent of contamination exceeding<br />

clean-up goals within each area should be determined so that clean-up efforts will focus<br />

only on those areas or portions of areas that cause risk.<br />

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SECTION 1<br />

Introduction<br />

This report presents the baseline Ecological Risk Assessment (ERA) for the <strong>Bolsa</strong> <strong>Chica</strong><br />

<strong>Lowlands</strong>. It provides a qualitative and quantitative evaluation of the actual or potential<br />

effects of chemical stressors related to historical activities on aquatic, semi-aquatic, and<br />

terrestrial biota (plants and animals) that inhabit or may use the <strong>Lowlands</strong>. The results of<br />

the ERA will provide the information necessary for the state and federal resource agencies<br />

to recommend no further action or remedial action at the project site. The objectives and<br />

approach used to complete this report are described in greater detail in Sections 1.2 and 1.3.<br />

The <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> are located in Orange County, California, (Figure 1-1) and<br />

comprise about 1,200 acres of estuarine/marine and upland habitat. The <strong>Lowlands</strong> lie east of<br />

the Pacific Coast Highway, between the higher elevation <strong>Bolsa</strong> <strong>Chica</strong> Mesa to the northwest<br />

and Huntington Mesa to the east-southeast. Historically, the site and adjacent areas have been<br />

used for agriculture, cattle grazing, as a wildlife refuge, and for recreational hunting and<br />

fishing. However, since the 1920s, much of the area has been used for oil and gas exploration,<br />

production, and processing. The earliest exploration occurred in the Edwards Thumb area<br />

beyond the eastern tip of the <strong>Lowlands</strong>; oil operations in the <strong>Lowlands</strong> did not start until the<br />

1940s (Klancher, 1999). The historical site activity as well as urban runoff draining into the<br />

<strong>Lowlands</strong> has resulted in contaminating the plants and wildlife or their habitat.<br />

The main focus of this project is to perform a baseline ERA for the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong><br />

(completed in this report) and to conduct a Confirmatory Sampling Program (CSP) (the final<br />

phase of which will be completed after this ERA report in final). This work is being<br />

conducted to characterize contamination within the <strong>Lowlands</strong> adequately and to help<br />

establish clean-up criteria for portions of the property affected by previous activities,<br />

primarily oil and gas production and urban runoff. It builds on previously available<br />

information, including ecological and chemical characterization as well as the proposed<br />

cleanup and restoration of the <strong>Lowlands</strong>.<br />

The proposed restoration plan includes a mix of Full Tidal and Managed Tidal coastal<br />

wetland habitats and non-tidal Seasonal Ponds (Figure 1-2). Once these habitats and ponds<br />

are provided, more of the project site can eventually become a state or federal wildlife<br />

refuge in addition to serving as mitigation for habitat losses elsewhere. Portions of the<br />

<strong>Lowlands</strong> are currently managed as an Ecological Reserve by the California Department of<br />

Fish and Game (including portions of Inner and Outer <strong>Bolsa</strong> Bay and the area delineated on<br />

Figure 1-2 as “Non-tidal Portion of Ecological Reserve”). The rest of the project area is not<br />

now managed as a wildlife refuge, but will be following site restoration.<br />

The proposed restoration and anticipated future use of the <strong>Lowlands</strong> served as the focus of<br />

the development of the ecological management goals for the site, which are:<br />

• Sediment, surface water quality, and food source conditions capable of supporting<br />

terrestrial, aquatic, and semi-aquatic plant and wildlife populations that would typically<br />

be found in Full Tidal and Managed Tidal coastal wetland habitats, and non-tidal<br />

Seasonal Ponds.<br />

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SECTION 1: INTRODUCTION<br />

• Sediment, surface water quality, and food source conditions supportive of individuals of<br />

special-status biota and migratory birds protected under the Migratory Bird Treaty Act<br />

likely to be found in Full Tidal and Managed Tidal coastal wetland habitats, and nontidal<br />

Seasonal Ponds.<br />

As part of this restoration effort, the nature and extent of contamination on the site is being<br />

investigated and evaluated. Two important elements of the investigation include an:<br />

• Ecological Risk Assessment (ERA) (this document) to evaluate contaminants present at<br />

the site at concentrations that present a risk to fish, wildlife or their habitat. The ERA<br />

identifies exposure pathways and associated site-specific assessment endpoints. The<br />

ERA also characterizes the ecological effects of the contaminants of concern. This and<br />

other information and analysis in the ERA has been or will be used to (among other<br />

things): (a) assess the nature of the contamination at the site and identify the general<br />

areas of the site that contain contamination (b) assess the nature, characteristics, and<br />

sensitivities of the natural resources at the site (c) determine the extent to which the<br />

contamination threatens to impact natural resources at the site and (d) identify the types<br />

or routes of exposure to the contamination that pose an unacceptable risk; and<br />

• Confirmatory Sampling Program (CSP) to delineate the extent of on-site contamination<br />

and the exact bounds of needed clean-up efforts. (The CSP was not completed at the<br />

time of publication of this report.)<br />

Two important outcomes of the ERA are identification of (a) chemicals that will be<br />

considered for further evaluation or remediation and (b) chemicals that need not be<br />

considered any further. Chemicals that should be retained for further evaluation or<br />

remediation are referred to as Chemicals of Ecological Concern (COECs) and are listed<br />

in Tables ES-1 to ES-3.<br />

The results of this ERA will be used as a tool used to establish clean-up criteria for portions<br />

of the property affected by on-site contamination. It builds on previously available<br />

information about the site (including ecological and chemical characterization, as well as<br />

planned restoration), which was used to plan and conduct the current work.<br />

Additionally, delineation of boundaries around the contaminated portions of the site will<br />

be completed as part of the future activities including the development of the remediation<br />

plan. This baseline ERA does not assess the overall areal extent of the contamination,<br />

generate or identify remediation goals or clean-up concentrations, or identify the sensitive<br />

habitat areas to be protected from disturbance. The development of clean-up goals is a<br />

complex risk management process that involves an evaluation of the information contained<br />

in the ERA and a range of other factors, such as technical feasibility and appropriate levels<br />

of risk.<br />

In the future, this baseline ERA will be used to evaluate the ecological impacts of alternative<br />

remediation strategies and establish clean-up levels that will protect the natural resources at<br />

risk. However, additional delineation of individual sites will be needed to determine the<br />

exact bounds of the clean-up effort. The CSP results will include this type of information.<br />

The results of the ERA will be used in the development of the CSP.<br />

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SECTION 1: INTRODUCTION<br />

The ERA and CSP are being conducted for the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong>, as described in the<br />

original and revised Work Plans for the project (CH2M HILL, 1998a and 2000). This ERA is<br />

the fourth in a series of reports and data deliverables. Previous reports included the Scoping<br />

Assessment (CH2M HILL, 1998b), the sediment sampling analyses results for proposed<br />

dredge areas that were based on a separate sampling plan (Kinnetic Laboratories/ToxScan,<br />

Inc. and CH2M HILL, 1999), and the Ecological Effects Characterization (EEC)<br />

(CH2M HILL, 1999), which presented the first two major components of the ERA-the<br />

Problem Formulation and the Analysis.<br />

<strong>1.1</strong> Objectives and Scope<br />

The overall objective of the ERA is to define the nature of site contamination in order to<br />

develop site-specific, clean-up criteria and goals to protect fish and wildlife and their food<br />

chains in the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong>. The overall objective of the CSP will be to define the<br />

extent of site contamination. Two of the main tasks to accomplish this objective were to<br />

conduct field sampling for contamination and test for toxicity or bioaccumulation of<br />

contaminants in the <strong>Lowlands</strong>. The resulting information, which supplemented existing<br />

data from the <strong>Lowlands</strong>, was used to:<br />

• Aid in the Preliminary Level II Preacquisition Environmental Contamination Survey for<br />

portions of the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> where existing data are insufficient, especially for<br />

the Fieldstone Property and Lowland Pocket areas.<br />

• Support the ERA by providing data over wider areas of the <strong>Lowlands</strong> than has been<br />

available and by providing the chemical and bioassay/ bioaccumulation data necessary<br />

to assess ecological risks and determine clean-up criteria.<br />

• Provide additional data at known or suspected contaminated sites within the <strong>Bolsa</strong><br />

<strong>Chica</strong> <strong>Lowlands</strong>, to determine the nature and extent of this contamination.<br />

• Obtain supplemental physical and environmental contaminant data to aid in the design<br />

of wetland restoration, including dredging permitting and disposal/reuse options.<br />

The EEC Report (CH2M HILL, 1999) provided information related to these first three<br />

purposes. The specific objectives of that report were to:<br />

• Incorporate and update the information from the Scoping Assessment to provide the<br />

Problem Formulation for that report and the future ERA.<br />

• Present results of the ERA Sampling and Analyses (as described in the Work Plan and<br />

summarized subsequently) to provide the Exposure Characterization and the Ecological<br />

Effects Characterization for information collected onsite.<br />

This ERA completes the process begun in the EEC Report (CH2M HILL, 1999) and, in<br />

combination with the dredge area characterization report (Kinnetic Laboratories/ToxScan,<br />

Inc., and CH2M HILL, 1999), fulfills all four purposes listed previously. The specific<br />

objectives of this ERA report are to:<br />

• Incorporate environmental data from the ERA Sampling and Analyses, the Focused<br />

Sampling and Analyses, and relevant data from the Tetra Tech Phase II Environmental<br />

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SECTION 1: INTRODUCTION<br />

Assessment (1996) into a single ERA chemical database for evaluation of potential risks<br />

to aquatic and terrestrial receptors in the <strong>Lowlands</strong>.<br />

• Incorporate and update the information from the EEC Report to provide the Problem<br />

Formulation, Exposure Characterization, and Ecological Effects Characterization for this<br />

ERA.<br />

• Present the results of the Risk Characterization, including weight of evidence for<br />

potential risks to aquatic and terrestrial receptors as well as a summary of uncertainties<br />

and/or limitations in the evaluations conducted.<br />

• Present the conclusions and recommendations of the ERA.<br />

1.2 <strong>Project</strong> Approach<br />

The ERA was conducted using a phased approach as recommended by the U.S. EPA (1992a<br />

and 1998) and California EPA (Cal/EPA 1996a and 1996b). This approach consisted of three<br />

data collection or evaluation phases (Figure 1-3) that were used to produce various<br />

documents, as described below. The data and observations from one phase were used to<br />

determine whether further studies were necessary to meet the objectives of the ERA. This<br />

ensured that “…only the necessary work [was] done and all of the necessary work [was]<br />

done” (U.S. EPA, 1992c). The three data collection phases and associated reports for the<br />

<strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> are:<br />

Phase 1 – Initial review of available data resulting in the CSP/ERA Work Plan (1998a) and<br />

the Scoping Assessment (CH2M HILL, 1998b).<br />

Phase 2 – ERA Sampling and Analyses. Collection and evaluation of additional site-specific<br />

data and preparation of the EEC Report (CH2M HILL, 1999). The Work Plan was then<br />

revised (CH2M HILL, 2000) to describe the next phase of sampling.<br />

Phase 3 – Focused Sampling and Analyses. Additional collection and evaluation of sitespecific<br />

data to fill any remaining data gaps and preparation of this final baseline ERA.<br />

The Work Plan and Scoping Assessment (Phase 1) reviewed and evaluated previously<br />

available data (with the <strong>Bolsa</strong> <strong>Chica</strong> Technical Committee) in sufficient detail to identify<br />

chemicals, habitats, and receptors of concern and screen chemical concentrations against<br />

available criteria, standards, or effect levels. The previously available data (Steffeck, et al.,<br />

1996; Tetra Tech, 1996) focused primarily on selected sites within the <strong>Lowlands</strong> where<br />

known or suspected oil field activities or urban inflow most likely resulted in contaminants<br />

being introduced into the <strong>Lowlands</strong> environment. Little sampling and few analyses had<br />

been done in most of the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong>.<br />

The site wide sampling and analyses for the project were implemented in two rounds – the<br />

ERA Sampling and Analyses (first round) and the Focused Sampling and Analyses (second<br />

round). Because of schedule constraints for the project and the level of data review and<br />

evaluation conducted to prepare the Work Plan, the Technical Committee determined that<br />

the first round of sampling sampling could be conducted concurrently with preparation of<br />

the Scoping Assessment (Figure 1-3).<br />

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SECTION 1: INTRODUCTION<br />

The ERA Sampling and Analyses (Figure 1-3) were designed to:<br />

• Complete the sampling for areas away from known or suspected sources of<br />

contamination (described as Random Sampling)<br />

• Conduct toxicity and bioaccumulation bioassays (using site-collected sediment or water<br />

from random and focused sites)<br />

• Analyze field-collected biota<br />

Samples were collected in all Cells within the <strong>Lowlands</strong> to facilitate characterizing the entire<br />

site. Co-location of field-collected biota (e.g., plants and wildlife) and abiotic exposure<br />

media (e.g., sediment and water) was emphasized, to the extent possible, to take the<br />

mobility of animal species into consideration. The data also were used to establish on-site<br />

background levels of metals (Section 3.<strong>1.1</strong>). The areas sampled for ERA purposes included<br />

material within the dredging footprint for the Full Tidal habitat, but only for that portion<br />

just below the depth of dredging (because that is where organisms would be exposed postrestoration).<br />

The bioassays for the ERA were designed to determine acceptable levels of<br />

inorganic and organic chemicals in abiotic exposure media to which ecological receptors<br />

might be exposed under current or future conditions. Bioassay media included sediment,<br />

pore water, and surface water from random and focused sampling sites as described in<br />

Sections 4.2, 4.3, and 4.4 of the Work Plan (CH2M HILL, 1998a and 2000) and summarized<br />

in Appendix A.<br />

The second round of sampling and analyses – the Focused Sampling and Analyses<br />

(Figure 1-3) – was designed to evaluate the nature and extent of contamination, if any,<br />

associated with previously identified known or suspected sources (such as sumps, wells,<br />

pipelines, maintenance areas, etc.). The focused sampling was conducted after the Scoping<br />

Assessment and the EEC Report had been completed, and results were used in this final<br />

baseline ERA. The findings of the ERA (especially the results from bioassays and<br />

background levels of inorganics derived from the ERA Sampling and Analyses) will be used<br />

to evaluate remediation needs.<br />

This ERA consists of three major components – the Problem Formulation, the Analysis<br />

(which includes the Exposure Characterization and the Ecological Effects Characterization),<br />

and the Risk Characterization. The relationship of these components is shown on Figure 1-4.<br />

The ERA followed established, scientifically sound protocols and methodologies. These<br />

protocols and methodologies were adapted to meet the specific needs of the <strong>Bolsa</strong> <strong>Chica</strong><br />

project. One adaptation was the preparation of an interim report, the EEC Report<br />

(CH2M HILL, 1999), which included the Problem Formulation and Analysis components of<br />

the baseline ERA. This adaptation was implemented in response to recommendations from<br />

the Technical Committee to conduct site sampling in two phases so the results of the first<br />

phase (ERA Sampling and Analyses) could be evaluated to determine the most effective<br />

approaches for conducting the second phase (Focused Sampling and Analyses) at known or<br />

suspected sources of contamination. It was expected that reductions in the suites of analytes<br />

(because particular analytes were not found to be of concern in the Ecological Effects<br />

Characterization), using higher detection limits (because they would be sufficient to detect<br />

levels of concern), and implementing other strategies (such as evaluating correlations<br />

among chemicals) could be used to lower the costs for focused sampling and analyses.<br />

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SECTION 1: INTRODUCTION<br />

Based on that recommendation, a programmatic decision was made to defer the Risk<br />

Characterization (and completion of the ERA) until the focused sampling and analyses<br />

were completed.<br />

This ERA identifies risk to ecological receptors by comprehensively evaluating existing<br />

information and data (as appropriate) as well as new data developed through the focused<br />

sampling and analyses. The assumptions and ecological endpoints outlined for the ERA are<br />

based on the ecological management goals for the site, which will become a state or federal<br />

refuge and will serve as mitigation of habitat losses elsewhere. Additional site delineation<br />

will be necessary once the ERA results are evaluated and clean-up goals are developed.<br />

1.3 Guidance<br />

The ERA was performed, according to the following guidance documents and work plans:<br />

• Guidance for Ecological Risk Assessment at Hazardous Waste Sites and Permitted<br />

Facilities (Cal/EPA, 1996a and 1996b)<br />

• Framework for Ecological Risk Assessment (U.S. EPA, 1992a)<br />

• ECO Updates, Volume 1, Numbers 1 through 5 (U.S. EPA, 1991a, 1991b, 1992b, 1992c,<br />

and 1992d)<br />

• ECO Updates, Volume 2, Numbers 1 through 4 (U.S. EPA, 1994a, 1994b, 1994c, and<br />

1994d)<br />

• ECO Updates, Volume 3, Numbers 1 and 2 (U.S. EPA, 1996a and 1996b)<br />

• Guidelines for Ecological Risk Assessment (U.S. EPA, 1998)<br />

• Work Plan for Confirmatory Sampling and Ecological Risk Assessment for <strong>Bolsa</strong> <strong>Chica</strong><br />

<strong>Lowlands</strong> <strong>Project</strong>, Huntington Beach, California (CH2M HILL, 1998a and 2000)<br />

1.4 Assumptions<br />

The ERA was conducted under the following major assumptions or constraints:<br />

• No additional remedial actions will be taken (i.e., the ERA will evaluate baseline<br />

conditions at the time sampling was conducted).<br />

• The media of primary ecological concern for terrestrial and semi-aquatic receptors were<br />

soil, surface water, and biota (for secondary consumers). However, because many<br />

portions of the site are seasonally flooded, soil and sediment were considered<br />

synonymously.<br />

• The media of primary ecological concern for aquatic receptors were sediment and<br />

surface water.<br />

• Chemicals for which analyses were not performed were not evaluated.<br />

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SECTION 1: INTRODUCTION<br />

• Chemicals not detected in some samples were assumed present in those samples at half<br />

their sample-specific reporting limit, if they were detected at least once within a defined<br />

evaluation area.<br />

• Chemicals not detected in any sample collected for a given medium (e.g., sediment)<br />

were assumed not present.<br />

• The exposure point concentration was considered the concentration of each chemical in<br />

a specific exposure medium that represents the maximum reasonable exposure for each<br />

biological receptor. This value was used to estimate potential risks to a specific receptor<br />

through comparison to effect levels developed from site-specific bioassays and literature<br />

information.<br />

• The exposure point concentrations for immobile or relatively sedentary receptors (aquatic<br />

and terrestrial plants and invertebrates) were the observed maximum concentrations for<br />

chemicals detected in each evaluation area.<br />

• The exposure point concentrations for receptors with limited movement in the <strong>Lowlands</strong><br />

(fish) were the observed maximum concentrations detected in each evaluation area. This<br />

selection was based on the physical limitations to their mobility (because they are unable<br />

to move between cells) and the limited availability of surface water data. (For most<br />

analytes, sufficient data were not available to calculate a 95-percent upper confidence<br />

level [UCL] of the mean.)<br />

• The exposure point concentrations for mobile receptors (birds and mammals) were the<br />

95-percent UCL of the mean for chemicals detected in the exposure area, unless the 95-<br />

percent UCL exceeded the maximum detected concentration, in which case the<br />

maximum detected concentration was the exposure point concentration.<br />

• The exposure point concentration for each chemical is as bioavailable as the chemical on<br />

which the toxicity information is based.<br />

• The toxicological information used represents site-specific bioassay results in<br />

combination with information available from literature and database searches.<br />

• The primary exposure pathways for aquatic organisms are ingestion and direct contact<br />

with sediment and surface water.<br />

• The primary exposure pathways for semi-aquatic and terrestrial organisms are direct<br />

contact with soil (plants); direct contact and ingestion of soil (invertebrates); and<br />

ingestion of sediment/soil, surface water, and food (birds and mammals). (Direct<br />

contact and inhalation exposures were not quantitatively evaluated for birds and<br />

mammals. The contribution of these pathways to the overall risk is expected to be minor<br />

in comparison to other pathways evaluated, and available dermal and inhalation<br />

toxicological information is limited.)<br />

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SECTION 1: INTRODUCTION<br />

1.5 Organization of the ERA Report<br />

This ERA is organized as follows:<br />

• Section 2.0 – Problem Formulation. Provides information, largely taken from the<br />

Scoping Assessment (CH2M HILL, 1998b) and updated in the Ecological Effects<br />

Characterization (CH2M HILL, 1999), that was used to develop the exposure and<br />

ecological effects characterizations in the Analysis section. This section presents<br />

preliminary site background information; describes the different habitats found onsite;<br />

lists potential ecological receptors for the site; summarizes chemicals of potential<br />

ecological concern (COPECs), screening reference toxicity values (RTVs) for the<br />

COPECs, and results of screening for potential risks that was conducted in the Scoping<br />

Assessment; lists assessment endpoints, risk hypotheses, and measures that will be used<br />

to assess ecological effects; and presents the ecological conceptual site model for<br />

potential ecological exposures for representative ecological receptors.<br />

• Section 3.0 – Analysis. Presents the Exposure Characterization and Ecological Effects<br />

Characterization, which analyze and evaluate results of the two phases of field sampling<br />

(the ERA Sampling and Analyses and the Focused Sampling and Analysis), as well as<br />

relevant data from Tetra Tech (1996). This section summarizes the field sampling and<br />

analysis; presents the data evaluation for chemicals detected in the <strong>Lowlands</strong>; presents an<br />

updated evaluation of background concentrations of inorganics detected onsite;<br />

summarizes potential sources of chemical stressors and their spatial distribution across the<br />

site; summarizes chemical-specific exposure point concentrations of COPECs to which<br />

plants and animals may be exposed; presents estimated daily doses for terrestrial and<br />

semi-aquatic birds and terrestrial mammals; reports the results of bioassays performed on<br />

sediment, pore water, and surface water from the site; discusses dose-response<br />

evaluations conducted using univariate regression analyses; and summarizes the exposure<br />

and effects information into an exposure profile and stressor-response profile.<br />

• Section 4.0 – Risk Characterization. Presents results of quantitative and qualitative risk<br />

evaluations to provide a weight-of-evidence for characterizing the presence or absence<br />

of risk to representative receptors in each evaluation area of the <strong>Lowlands</strong>. This section<br />

also includes a discussion of uncertainties and limitations associated with the<br />

information and methodologies used in this ERA.<br />

• Section 5.0 – Conclusions and Recommendations. Provides a summary of conclusions<br />

of the ERA and recommendations for the site as a whole, as well as specific evaluation<br />

areas within the <strong>Lowlands</strong>.<br />

• Section 6.0 – References. Provides a list of information sources used in this report.<br />

• Tables, Figures, and Appendices. Contain information used to support ERA<br />

ERA REPORT 1-8 SAC/143368(001.DOC)<br />

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SECTION 2<br />

Problem Formulation<br />

The Problem Formulation presents and evaluates information that will be used to develop<br />

and focus the Analysis component of the ERA. Much of the information presented in this<br />

section was taken from the Scoping Assessment (CH2M HILL, 1998b) and the Ecological<br />

Effects Characterization (CH2M HILL, 1999). The end product of the Problem Formulation<br />

is an ecological conceptual site model that describes potential ecological receptors (plant<br />

and animal species) that may be affected at the site, COPECs, important site aspects to be<br />

protected (referred to as assessment endpoints), and means by which the assessment<br />

endpoints will be evaluated (called measures). The information used to develop the<br />

ecological conceptual site model includes the following:<br />

• Site Background – provides a description of the physical setting, climate, historical<br />

activity at the site, and previous site investigations that have been conducted.<br />

• Ecological Characterization – provides a description of the ecological setting, including<br />

identification of habitats and potential ecological receptors.<br />

• Chemicals of Potential Ecological Concern – provides a description of the preliminary<br />

identification of COPECs based on the previous Tetra Tech (1996) sampling efforts,<br />

including preliminary evaluations of data usability, background concentrations, and<br />

comparisons of preliminary data to screening effect levels to identify COPECs.<br />

• Assessment Endpoints and Measures – provides a description of the development of<br />

assessment endpoints (important aspects of the site to be protected), risk hypotheses<br />

(statements of how potential exposure to stressors could occur at the site), and measures<br />

(predictors of assessment endpoints and the means by which the risk hypotheses will be<br />

evaluated).<br />

2.1 Site Background<br />

This section describes physical characteristics of the site including location and climate,<br />

provides a review of the relevant site history, and summarizes previous investigations<br />

conducted at the site.<br />

2.<strong>1.1</strong> Location/Setting<br />

The physical setting of the <strong>Lowlands</strong> and surrounding area was described by Jones and<br />

Stokes (1995), OCEMA (1996), and Tetra Tech (1996), and the relevant portions of those<br />

descriptions are summarized here. Figure 1-1 shows the location of the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong><br />

study site relative to adjacent, interconnected, marine/estuarine habitat at Huntington<br />

Harbor and Seal Beach National Wildlife Refuge (NWR). The <strong>Lowlands</strong> project area includes<br />

about 880 acres of terrestrial and wetland habitat recently acquired from the Koll Real Estate<br />

Group, 306 acres in the <strong>Bolsa</strong> <strong>Chica</strong> Ecological Reserve, and about 25 acres of Southern<br />

California Metropolitan Water District (MWD) property. Extensive and highly urbanized<br />

watersheds drain into these three closely linked marine/estuarine systems.<br />

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SECTION 2:PROBLEM FORMULATION<br />

The <strong>Lowlands</strong> lie east of the Pacific Coast Highway, between the higher elevation <strong>Bolsa</strong><br />

<strong>Chica</strong> Mesa to the northwest and “Edwards Thumb” and Huntington Mesa to the eastsoutheast.<br />

Surface topography is subdivided into several general areas (e.g., Pocket Area,<br />

Fieldstone Property, <strong>Bolsa</strong> <strong>Chica</strong> Ecological Reserve, and the large central portion of the<br />

<strong>Lowlands</strong>), but the entire study area has relatively little topographic relief. For sampling<br />

purposes, the most important surface features (other than the general area designations and<br />

their priorities) are the network of levees and roads that divide the <strong>Lowlands</strong> into<br />

approximately 60 Cells. These Cells, along with surface water bodies and drainage<br />

pathways, provide the topographic focus for the ERA.<br />

Residential areas exist to the northeast of the <strong>Lowlands</strong>, between the upland/mesa areas to<br />

the north (<strong>Bolsa</strong> Mesa) and east-southeast (Edwards Thumb and Huntington Mesa), and on<br />

the upland/mesa areas themselves. Within the <strong>Lowlands</strong>, the primary land use is oil field<br />

operation (including onsite wells throughout the site and the Whipstock area, with<br />

wellheads for some wells that extend offshore).<br />

The Ecological Reserve is partially accessible to the public through a boardwalk; entry is<br />

from an access point (with a parking area) along Pacific Coast Highway. Beaches along<br />

Pacific Coast Highway opposite the <strong>Lowlands</strong> are within the Huntington State Beach and<br />

are used for surfing, swimming, and other recreational purposes.<br />

2.1.2 Climate<br />

The climate of the project area is characterized by warm, dry summers, tempered by ocean<br />

breezes, with mild winters. The annual average rainfall of about 12 inches occurs primarily<br />

between November and April. Fog and low clouds typically occur from February to April.<br />

In summer, morning fog and low clouds usually persist until mid-afternoon, keeping<br />

summer temperatures mild. The average daily temperature in the summer is 18 degrees<br />

Celsius (C), winter temperatures average 11 degrees C, and annual temperatures range from<br />

1.7 to 38 degrees C. The prevailing winds, which blow onshore from the southwest, help<br />

lower summer temperatures and dissipate the summer fog. In autumn, strong, gusty winds<br />

from the inland deserts, known locally as Santa Ana winds, cause unseasonably warm days.<br />

2.1.3 Site History<br />

During the late 19th and early 20th centuries, agricultural use of uplands north and east of<br />

the site may have included livestock grazing and crop farming that might have involved the<br />

use of fertilizers and some kinds of insecticides (Jones and Stokes, 1995; OCEMA, 1996).<br />

Many of these agricultural areas drained into the <strong>Lowlands</strong>, and runoff may have contained<br />

certain metals and pesticides. Some of the metals are related to the application of pesticides<br />

or herbicides or to repeated irrigation and runoff cycles.<br />

In the 1890s, the <strong>Bolsa</strong> <strong>Chica</strong> Gun Club used the <strong>Lowlands</strong> as a wildlife preserve for<br />

recreational hunting and fishing. Recreational hunting by <strong>Bolsa</strong> <strong>Chica</strong> Gun Club members<br />

ended in 1964 (Jones and Stokes, 1995; OCEMA, 1996). One of the events that has most<br />

profoundly affected water quality was the construction of tide gates between Inner and<br />

Outer <strong>Bolsa</strong> Bay by the <strong>Bolsa</strong> <strong>Chica</strong> Gun Club in 1899. With the resulting reduction in the<br />

tidal prism, the natural opening at Los Patos (now Warner Avenue) between <strong>Bolsa</strong> Bay and<br />

the Pacific Ocean silted in. A new opening that connected Outer <strong>Bolsa</strong> Bay to Sunset Bay<br />

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SECTION 2: PROBLEM FORMULATION<br />

(now Huntington Harbour) was cut through <strong>Bolsa</strong> <strong>Chica</strong> Mesa. Construction of berms and<br />

dikes to enhance duck habitat (e.g., create freshwater habitat) may have resulted in<br />

increased evapoconcentration cycles (metals, minerals, salinity from fresh, brackish, and<br />

seawaters) in the shallower soils as waters came into the <strong>Lowlands</strong> and then slowly<br />

evaporated during the dry season. However, the degree to which evapoconcentration may<br />

have been impacted by construction activities has not been well documented.<br />

Since 1920, the site and surrounding area have been used for oil and gas exploration,<br />

production, and processing as part of the Huntington Beach Oil Field. The earliest<br />

exploration occurred in the Edwards Thumb area at the eastern tip of the <strong>Lowlands</strong>. Oil<br />

operations in the <strong>Lowlands</strong> did not start until the 1940s (Klancher, 1999).<br />

An examination of aerial photographs from 1938 and 1947 indicates drainage from surrounding<br />

areas entered the site at several locations. Discrete channels entered areas that are now<br />

designated as Cell 63 (Freeman Creek) and Cell 66. Freeman Creek drainage would have<br />

flowed westward through channels that are now parts of Cells 30, 18, 17, and 5 into Inner <strong>Bolsa</strong><br />

Bay. Drainage entering through Cell 66 would have flowed to the area that is now Cell 67.<br />

A more generalized drainage pattern to the <strong>Lowlands</strong> appears to have existed northwest of<br />

the area, where the Garden Grove-Wintersburg Flood Control Channel (which drains to<br />

Outer <strong>Bolsa</strong> Bay) was subsequently constructed. Another generalized drainage pathway<br />

(without a defined channel) appears to have entered the <strong>Lowlands</strong> from oilfield<br />

developments east of the site. This drainage pathway would have entered the <strong>Lowlands</strong><br />

through what is now Cell 36.<br />

More than 430 oil wells are on the site, including many that have been abandoned. Active<br />

and inactive oil wells are present, primarily on earthen pads elevated several feet above the<br />

natural grade of the <strong>Lowlands</strong>. Most of the wells are characterized by aboveground pumps<br />

and below-grade cellars. Open, unlined sumps within the <strong>Lowlands</strong> area have been used<br />

historically to process or dispose of oilfield wastes, including drilling muds, oil/water<br />

separation wastes, brine, and other oily waste.<br />

An extensive network of active, inactive, and abandoned oil and gas pipelines criss-cross the<br />

site along the elevated oil roads. Most of the main transmission pipelines are aboveground<br />

in the <strong>Lowlands</strong> area, except for shorter pipelines from individual wells to the main<br />

transmission lines, which are sometimes underground. Two gas lines that carry petroleum<br />

products from offsite locations traverse the site.<br />

Three tank farms (the North <strong>Bolsa</strong> Tank Farm, the South <strong>Bolsa</strong> Tank Farm, and the State Lease<br />

Tank Farm) and related structures and equipment yards were formerly present in the project<br />

area. The tank farms, which were at the eastern side of the project area, have been removed.<br />

Soil contamination has been associated with each of the tank farms (Steffeck, et al., 1996).<br />

Until recently, a gas plant operated on the Huntington Beach Mesa adjacent to the eastern<br />

edge of the property. The gas plant processed condensate from onsite and offsite production.<br />

Contamination by condensate has been detected in the soil beneath the old gas plant.<br />

Ancillary operations to petroleum production include an outdoor sand blasting and spray<br />

painting area on the eastern <strong>Lowlands</strong>. A helipad is on the Huntington Beach Mesa (outside<br />

the property boundary); an underground jet fuel tank and underground waste tank are<br />

associated with the helipad (OCEMA, 1994).<br />

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SECTION 2:PROBLEM FORMULATION<br />

The entire interconnected marine/estuarine complex of Seal Beach NWR, Huntington<br />

Harbour, and <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> (1,400 to 1,900 acres) receives stormwater runoff and<br />

urban drainage from a total watershed area of approximately 48,000 to 50,000 acres<br />

(Figure 1-1). Almost 18,000 acres of this watershed drain directly to the Garden Grove-<br />

Wintersburg Flood Control Channel. The <strong>Lowlands</strong> also receive nonpoint runoff from<br />

another 2,230 acres (CDFG/USFWS, 1976; CH2M HILL, 1994). Photos from the late 1940s<br />

show drainage pathways bisecting the <strong>Lowlands</strong> from the east and southeast, draining into<br />

Inner <strong>Bolsa</strong> Bay. The volume of urban runoff draining into the <strong>Lowlands</strong> has increased in<br />

the last 5 years from several new residential developments in the uplands. Nutrients and<br />

various contaminants—heavy metals, organophosphate pesticides, and organochlorine<br />

herbicides—reaching the <strong>Lowlands</strong> from several of these sources are documented by Tetra<br />

Tech (1996), and some of their probable impacts are described in Macdonald, et al. (1992).<br />

Title to the <strong>Lowlands</strong> was transferred to the California State Lands Commission in February<br />

1997. Funding by the Port of Los Angeles and Port of Long Beach will be used to construct a<br />

new ocean inlet channel and subtidal basin that will be used to restore part of the existing<br />

non-tidal wetlands ecosystem to Full Tidal condition (shown conceptually on Figure 1-2).<br />

Development of these proposed restoration features will be overseen by the eight federal<br />

and state agencies that have worked together to make the <strong>Bolsa</strong> <strong>Chica</strong> acquisition possible.<br />

Full restoration of the <strong>Lowlands</strong> is planned to take place over 15 to 20 years. According to a<br />

recent conceptual proposed restoration plan (Figure 1-2), while the Full Tidal, Managed<br />

Tidal, and Seasonal Ponds habitats will be restored relatively soon, it may be 15 years or<br />

more before the Future Full Tidal and Whipstock areas are restored. Construction phasing<br />

for the proposed habitat restoration will, of course, involve the orderly consolidation and<br />

ultimate removal of active oil field operations.<br />

2.1.4 Previous Investigations<br />

The <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> have a long history of potential contamination, hazardous waste<br />

investigations, and site clean-up actions. Historical contaminant sources include lead shot<br />

from <strong>Bolsa</strong> <strong>Chica</strong> Gun Club activities (1890-1964), but most contamination has come from<br />

early operation and expansion of the Huntington Beach Oil Field (1920 to the present) and<br />

from urban runoff and stormwater flows (i.e., Garden Grove-Wintersburg Flood Control<br />

Channel, Springdale Pump Station, and Seacliff runoff) that have been diverted onto the site<br />

(1940s to the present).<br />

Several hazardous waste site contamination investigations have been conducted across<br />

portions of the <strong>Lowlands</strong> and adjacent mesas (Figure 2-1), including the following:<br />

• Woodward Clyde (1987)<br />

• Groundwater Technology (1989)<br />

• Earth Technology (1987, 1988, 1990)<br />

• Schaefer Dixon Associates (1991)<br />

• Tetra Tech (1996)<br />

Key areas of concern in the <strong>Lowlands</strong> from the Schaefer Dixon Phase I Environmental<br />

Assessment (1991) are shown on Figure 2-1. The principal non-aquatic areas of concern<br />

more recently sampled during the Tetra Tech (1996) Phase II investigation are shown on<br />

Figure 2-2, and Figure 2-3 shows sites with confirmed contamination.<br />

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SECTION 2: PROBLEM FORMULATION<br />

Numerous clean-up actions have occurred over the past two decades. While no formal<br />

remediation was performed when the State Ecological Reserve was created and partially<br />

diked (1977 to 1978), visibly contaminated soils and debris were scraped off the Reserve<br />

areas and removed. Cleaner, but probably untested, in situ soils were used to build the<br />

dikes around the Reserve.<br />

Extensive remediation associated with the active oil field “waste handling facility” was<br />

carried out in the 1980s and 1990s. More recently CalResources, now AERA Energy, working<br />

with Signal Landmark/Koll, has remediated decommissioned oil wells, pipelines, and oil<br />

field facilities, such as the former tank farms and gas plant, as well as accidental spills.<br />

Under the terms of the site purchase and proposed habitat restoration agreement<br />

(Memorandum of Agreement, October 1996, Amended December 1996 and February 1997),<br />

portions of the <strong>Lowlands</strong> will continue to be operated by AERA Energy as an active oilfield.<br />

If sufficient funds are available to buy out producing wells or as the wells are phased out,<br />

closed down, and cleaned up, these active oilfield areas will also be restored fully to coastal<br />

wetland habitats.<br />

2.2 Ecological Characterization<br />

<strong>Bolsa</strong> <strong>Chica</strong> is classified as a bay estuary having deepwater habitats with extensive intertidal<br />

wetlands (Ferren, 1990; OCEMA, 1996). The <strong>Bolsa</strong> <strong>Chica</strong> Wetlands are the remnant of what<br />

was once a vast saltwater and freshwater wetlands complex in the historic floodplain of the<br />

Santa Ana River. The generally open and broad mouth of the bay allowed marine water to<br />

flood the adjacent marshes at low elevation during high tide. During the winter wet season,<br />

rainfall and streamflow dilute the marine waters; during the rest of the year, ocean water<br />

dominates.<br />

2.2.1 Identification of Habitats<br />

The <strong>Lowlands</strong> include habitats that at one time supported salt marsh, brackish marsh,<br />

freshwater marsh, open water, mudflats, dunes, and sandy flats. The present condition of<br />

these lowland habitats has been altered and degraded by development that has removed<br />

much of the site from tidal influence. These alterations include dike construction, road and<br />

pad construction for oil development, and channel construction for flood control. Removal<br />

from tidal influence has adversely affected much of the salt marsh habitat, which is now<br />

mostly degraded or ruderal habitat (i.e., weedy species tolerant of poor soils, including<br />

mustard, ice plant, and telegraph weed).<br />

Habitat types found in the <strong>Lowlands</strong> are briefly described in text and are shown on Figure 2-4.<br />

2.2.<strong>1.1</strong> Pickleweed<br />

Saline tidal and non-tidal areas with adequate soil moisture are dominated by pickleweed<br />

(Salicornia virginica). Other species associated with the pickleweed salt marsh habitat include<br />

alkali heath (Frankenia salina), saltgrass (Distichlis spicata), and annual pickleweed (Salicornia<br />

bigelovii). In non-tidal areas, ice plant (Carpobrotus edulis) is often co-dominant.<br />

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2.2.1.2 Brackish Marsh<br />

Areas of fluctuating or moderate salinity typically support both salt marsh and freshwater<br />

species. Sedges (Carex spp.) and bulrushes (Scirpus spp.) are found in the brackish marshes<br />

at the <strong>Lowlands</strong>. Brackish marshes, a small component of the <strong>Lowlands</strong>, are found in<br />

scattered areas mostly along the perimeter of Inner <strong>Bolsa</strong> Bay as well as at the former gas<br />

plant ponds/sumps and Freeman Creek.<br />

2.2.1.3 Saltgrass<br />

Dry, high saline sites are dominated by saltgrass often associated with pickleweed. Saltgrass<br />

habitat is found near the former North <strong>Bolsa</strong> Tank Farm (NBTF) and Rabbit Island.<br />

2.2.1.4 Tidal and Non-Tidal Open Water<br />

Unvegetated areas of tidal water include the Inner <strong>Bolsa</strong> Bay, and unvegetated areas of<br />

non-tidal water include channels and ponded water not created by tidal changes (mostly<br />

on the east), such as the pond in Cell 38 and the unnamed drainage downgradient from the<br />

golf course.<br />

2.2.1.5 Tidal and Non-Tidal Mudflats<br />

Tidal and non-tidal mudflats are unvegetated areas that have been covered by water for<br />

long periods. Tidal mudflats are periodically exposed during low tide. Non-tidal mudflats<br />

appear during summer and fall, when water levels recede and expose the bottoms of<br />

seasonal ponds and edges of perennial ponds. Tidal mudflats provide higher quality<br />

foraging habitat than do non-tidal mudflats.<br />

2.2.1.6 Upland<br />

Upland habitats at the <strong>Lowlands</strong> include areas of ruderal vegetation; coastal scrub habitat<br />

dominated by coyote brush (Baccharis pilularis), California sagebrush (Artemesia californicus),<br />

and saltbush (Atriplex sp.); and dunes and sandy flats that support sparse low herbaceous<br />

vegetation species. Ruderal habitat is found along road berms, by oil pads, and adjacent to<br />

buildings. Coastal scrub habitat is found along the bluffs of <strong>Bolsa</strong> <strong>Chica</strong> Mesa and on Rabbit<br />

Island (Jones and Stokes, 1995).<br />

2.2.2 Identification of Potential Ecological Receptors<br />

The following sections summarize occurring animal species identified in the terrestrial and<br />

aquatic habitats on the <strong>Lowlands</strong>. A detailed species list can be found in Table 2-1.<br />

2.2.2.1 Species Observed or Expected to Occur<br />

A list of species potentially found at the <strong>Lowlands</strong> was generated from the California<br />

Wildlife Habitats Relationship Database System (WHR) (California Department of Fish and<br />

Game [CDFG], 1998) (Table 2-1). This list was tailored to the <strong>Lowlands</strong> using professional<br />

judgment and knowledge of the species. An information system created through multiagency<br />

cooperation and maintained by CDFG, the WHR’s database components are used to<br />

assess terrestrial vertebrate species occurrence, habitat requirements, life history information,<br />

and relative abundance. Each species was cross-referenced with information collected during<br />

site visits and reviews of published and unpublished data (CDFG, 1998; USACE, 1995) to<br />

determine the accuracy of habitat associations, geographic distributions, and listing status.<br />

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Pickleweed salt marsh has a high value for wildlife because of the density and structure of<br />

the vegetation. Nesting and foraging marsh birds as well as Belding's savannah sparrow<br />

(Passerculus sandwichensis beldingi) and common wildlife species, such as the great egret<br />

(Ardea albus), great blue heron (Ardea herodias), sora rail (Porzana carolina), northern harrier<br />

(Circus cyaneus), barn owl (Tyto alba), western harvest mouse (Reithrodontomys megalotis),<br />

southern California salt marsh shrew (Sorex ornatus salicornicus), and western rattlesnake<br />

(Crotalus viridis), are found in this habitat.<br />

Brackish marsh provides nesting and foraging habitat for many wetland species. Wildlife<br />

found in brackish marsh habitats at the <strong>Lowlands</strong> include the American bittern (Botaurus<br />

lentiginosus), great egret, great blue heron, black-crowned night-heron (Nycticorax<br />

nycticorax), sora rail, American coot (Fulica americana), common moorhen (Gallinula<br />

chloropus), American kestrel (Falco sparverius), northern harrier, red-winged blackbird<br />

(Agelaius phoeniceus), and salt marsh shrew.<br />

Saltgrass provides low- to moderate-quality habitat for wildlife species at the <strong>Lowlands</strong>.<br />

Species observed using this habitat include the great egret, great blue heron, sora rail,<br />

American kestrel, northern harrier, barn owl, salt marsh shrew, western harvest mouse,<br />

house mouse (Mus musculus), coyote (Canis latrans), and red fox (Vulpes vulpes).<br />

The open water habitats provide foraging, protection, and resting for diverse wildlife,<br />

especially water-dependent birds, at the <strong>Lowlands</strong>. Birds found in this habitat include the<br />

double-crested cormorant (Phalacrocorax auritus), brown pelican (Pelecanus occidentalis),<br />

California least-tern (Sterna antillarum), blue-winged teal (Anas discors), cinnamon teal (Anas<br />

cyanoptera), northern pintail (Anas acuta), American wigeon (Anas americana), mallard (Anas<br />

platyrhynchos), northern shoveler (Anas clypeata), bufflehead (Bucephala albeola), ruddy duck<br />

(Oxyura jamaicensis), greater scaup (Aythya marila), lesser scaup (Aythya affinis), and<br />

American coot. These birds forage on aquatic plants, invertebrates, and fish, and during the<br />

breeding season, some may nest in adjacent upland areas.<br />

Mudflats are used by shorebirds and wading birds, such as the American avocet<br />

(Recurvirostra americana), black-necked stilt (Himantopus mexicanus), semipalmated plover<br />

(Charadrius semipalmatus), snowy plover (Charadrius alexandrinus), killdeer (Charadrius<br />

vociferus), greater yellowlegs (Tringa melanoleuca), willet (Catoptrophorus semipalmatus), and<br />

least sandpiper (Calidris minutilla). Gulls (Larus spp.), terns (Sterna spp.), and coots also roost<br />

and forage on non-tidal mudflats.<br />

Coastal scrub habitat is sparse and highly degraded at the site, but it can support specialstatus<br />

plant species. Terrestrial wildlife found in ruderal and coastal scrub habitats at the<br />

<strong>Lowlands</strong> include the red-tailed hawk (Buteo jamaicensis), American kestrel, white-tailed kite<br />

(Elanus leucurus), great horned owl (Bubo virginianus), mourning dove (Zenaida macroura),<br />

rock dove (Columba livia), American crow (Corvus brachyrhynchos), northern mockingbird<br />

(Mimus polyglottos), European starling (Sturnus vulgaris), western meadowlark (Sturnella<br />

neglecta), house finch (Carpodacus mexicanus), house sparrow (Passer domesticus), western<br />

harvest mouse, house mouse, coyote, and red fox.<br />

Dunes and sandy flats at the <strong>Lowlands</strong> are found mostly on islands and provide<br />

good-quality nesting and roosting habitat for shorebirds and seabirds. Birds using the dunes<br />

and sandy flats include the Caspian tern (Sterna caspia), elegant tern (Sterna elegans), Forster's<br />

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tern (Sterna forsteri), California least tern, western snowy plover, killdeer, and black<br />

skimmer (Rynchops niger).<br />

2.2.2.2 Special-Status Species<br />

The California Natural Diversity Database (CNDDB) (RareFind, 1999) was used to identify<br />

special-status plant and animal species and natural community types for which records of<br />

occurrence exist on or within a 5-mile radius of the project area. Data included in the<br />

CNDDB, which is maintained by the CDFG, are compiled by opportunistic rather than<br />

systematic means and, therefore, may not include all records of species occurrences and<br />

habitats for a given area. As with the list of species expected to occur onsite, each specialstatus<br />

species was cross-referenced with information collected during site visits and reviews<br />

of published and unpublished data (CDFG, 1998; USFWS, 1990; USACE, 1995) to determine<br />

the accuracy of habitat associations, geographic distributions, and listing status. A list of<br />

special-status species potentially occurring in the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> is in Table 2-2.<br />

2.3 Chemicals of Potential Ecological Concern<br />

This section describes selection and preliminary evaluation of COPECs. The COPECs were<br />

selected as part of the Scoping Assessment (CH2M HILL, 1998b) through evaluation of<br />

existing data and comparison to available background concentrations and screening-level<br />

benchmarks, as described in the following subsections. The COPECs selected in the Scoping<br />

Assessment were used to:<br />

• Ensure that field activities detailed in the Work Plan (CH2M HILL, 1998a) would yield<br />

data sufficient to fully characterize the potential risk to ecological receptors from siterelated<br />

contaminants and activities<br />

• Provide the basis for evaluations conducted in the EEC Report and this ERA<br />

The ERA was completed using analytical results from the Phase II environmental<br />

investigation (Tetra Tech, 1996) and the ERA Sampling and Analyses and Focused Sampling<br />

and Analyses (CH2M HILL, 1998a; and 2000). Other previous investigations (Woodward<br />

Clyde, 1987; Groundwater Technology, 1989; Earth Technology, 1987, 1988, 1990; and<br />

Schaefer Dixon Associates, 1991) were considered to the extent that they are still relevant.<br />

The data from sampling conducted by Tetra Tech (1996), as well as that conducted through<br />

the CSP/ERA (CH2M HILL, 1998a and 2000) were compiled into a single ERA chemical<br />

database. The data evaluation for the ERA is presented in Section 3. Those data meeting<br />

data quality parameters were used to quantitatively and qualitatively evaluate the potential<br />

ecological risks from chemical concentrations in soil, sediment, surface water, and biota.<br />

Final chemicals of ecological concern (COECs) have been identified based on these<br />

evaluations, as described in Sections 3 and 4.<br />

2.3.1 Preliminary Data Evaluation<br />

A list of sitewide COPECs was compiled by the <strong>Bolsa</strong> <strong>Chica</strong> Technical Committee prior to<br />

preparation of the Work Plan and the Scoping Assessment (Table 2-3). This list was<br />

expanded in the Scoping Assessment to include all chemicals detected in soils, sediments,<br />

surface water, and biota (benthic infauna, fish, terrestrial plants, and terrestrial mammals)<br />

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during the Phase II environmental sampling conducted by Tetra Tech (1996) as well as those<br />

chemicals identified by the Technical Committee (Table 2-4). The chemicals identified by the<br />

Technical Committee were based on the results of the Tetra Tech Phase II sampling, with<br />

data interpretations by the U.S. Fish and Wildlife Service (USFWS) and CDFG (Steffeck,<br />

et al., 1996).<br />

Analytical data from the Tetra Tech sampling effort (Tetra Tech, 1996; Steffeck, et al., 1996)<br />

were evaluated to confirm that they met certain data quality requirements, and data were<br />

retained or eliminated from further evaluations using the following guidelines:<br />

• Chemical results with laboratory or validation qualifiers of any letter except “U,” “UJ” or<br />

“ND” (nondetected) were considered detected and were retained for further screening.<br />

• Chemical results with laboratory or validation qualifier “U,” “UJ,” or “ND” were<br />

considered nondetect and were evaluated at one-half the reported value in further<br />

screening if the chemical was detected at least once at the site.<br />

• Chemical results with laboratory or validation qualifier “R” were considered rejected<br />

and were removed from further screening.<br />

• The maximum detected value for samples collected in each area was retained as the<br />

exposure point concentration for screening purposes.<br />

Chemical data for each medium meeting these requirements were retained for further<br />

evaluation in the Scoping Assessment. The range of detected concentrations in each area<br />

are presented for soil (Table 2-5), sediment (Table 2-6), surface water (Table 2-7), benthic<br />

infaunal tissue (Table 2-8), fish tissue (Table 2-9), terrestrial plants (Table 2-10), and<br />

terrestrial mammals (Table 2-11). The raw data used for this evaluation are presented<br />

in Appendix A of the Scoping Assessment (CH2M HILL, 1998b) and are included in<br />

Appendix D. Groundwater and biota data were not evaluated in the Scoping Assessment,<br />

but they were used where appropriate in the assessments conducted as part of the<br />

Ecological Effects Characterization and ERA.<br />

2.3.2 Preliminary Background Evaluation<br />

Many inorganic chemicals occur naturally, and ecosystems evolve around these naturally<br />

occurring levels. Therefore, inorganic chemicals detected at concentrations below local<br />

background levels are typically not considered a threat to ecological receptors and are<br />

generally eliminated from further screening processes. In addition, some inorganic chemicals<br />

that occur naturally are not of concern because of their ubiquitous nature. These elements<br />

(i.e., calcium, magnesium, potassium, and sodium) have low toxicities for terrestrial and<br />

aquatic organisms and act as macronutrients for natural systems. Therefore, these elements<br />

were not assessed as COPECs. For the purpose of this report, the source of all organic<br />

chemicals detected was assumed to be anthropogenic, and background screening was not<br />

conducted for organic chemicals.<br />

Background evaluations were conducted as part of the ongoing ERA investigations<br />

(Section 3.1.3) because the Phase II environmental sampling conducted by Tetra Tech (1996)<br />

did not include any sampling to specifically address background levels for inorganic<br />

constituents. To temporarily address the lack of site-specific soil samples for preliminary<br />

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background evaluations, Steffeck, et al. (1996), recommended the use of three samples from<br />

the oil well sites that were collected 8 feet below ground surface (bgs) in an area with an<br />

estimated 6 feet of fill (OW3, OW12, and OW13). It was assumed that these three samples<br />

were not impacted by site activities (i.e., they lacked organic compound contamination) and<br />

that they were representative of soil conditions within 2 feet of the “pre-filled” ground<br />

surface. The results of the inorganic analyses for these three samples were averaged to<br />

estimate preliminary background concentrations for inorganic chemicals in both soils and<br />

sediments from the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> (Table 2-12). The preliminary background values<br />

were used for both soil and sediments, because most of the site will be flooded after<br />

remediation. No background values were available for surface water.<br />

Because of the limitations of this background evaluation and the ongoing sampling, results<br />

of background comparisons for inorganic chemicals were not used as the basis for removing<br />

a given chemical from the list of COPECs for the ERA.<br />

2.3.3 Preliminary Evaluation of Chemical Contamination<br />

The preliminary evaluation of chemical contamination during the Scoping Assessment<br />

(CH2M HILL, 1998b) was limited to comparing site data to available screening benchmarks<br />

for soil, sediment, and surface water.<br />

Screening benchmarks for sediment and surface water were selected from available sources,<br />

including toxicological databases, wildlife toxicological reviews, and scientific literature.<br />

Sediment screening benchmarks were selected from U.S. EPA proposed values (U.S. EPA,<br />

1993a, 1993b), U.S. EPA sediment quality criteria and benchmarks (U.S. EPA, 1996b), effects<br />

range low (ER-L) values from Long et al. (1998) and Long and Morgan (1990), lowest effects<br />

levels in the sediment toxicity database compiled by Jones et al. (1997), lowest effect levels<br />

from the Ontario sediment quality guidelines (Persaud et al., 1993), threshold effects levels<br />

from the Florida state sediment quality guidelines (MacDonald, 1994), and threshold effects<br />

concentrations from the Assessment and Remediation of Contaminated Sediment <strong>Project</strong><br />

(Jones, et al., 1997; U.S. EPA, 1996c). In addition, sediment screening benchmarks for<br />

nonionic organic chemicals without other available benchmarks were derived using<br />

equilibrium partitioning methodology (Jones et al., 1997). The sediment screening<br />

benchmarks for <strong>Bolsa</strong> <strong>Chica</strong> (Table 2-13) were selected using the following hierarchy:<br />

• U.S. EPA values<br />

• Lowest available marine benchmark<br />

• Lowest available freshwater benchmark<br />

Screening benchmarks for aquatic organism exposure to surface water were selected from<br />

marine Ambient Water Quality Criteria (AWQC), where available, and from California<br />

enclosed bays and estuaries proposed criteria and lowest effect levels for marine organisms<br />

(Table 2-14). The surface water benchmark was selected using the following hierarchy:<br />

• Chronic marine ambient water quality criteria<br />

• California enclosed bays and estuaries proposed chronic criteria<br />

• Chronic lowest observed effect level<br />

When a chronic value was not available, but an acute criterion was, the acute value was<br />

divided by an acute-to-chronic factor of 10 to estimate a chronic value.<br />

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The available screening benchmarks used to evaluate preliminary data in the Scoping<br />

Assessment are presented in Table 2-12 (preliminary soil background concentrations),<br />

Table 2-13 (sediment screening benchmarks), and Table 2-14 (surface water screening<br />

benchmarks). These benchmarks were updated in EEC Report and, again, as necessary for<br />

this ERA. Preliminary soil background values were discussed in the previous section.<br />

The screening process used for this phase of the evaluation was limited to comparing the<br />

maximum concentrations of chemicals detected in soil, sediment, and surface water that<br />

were retained in the data evaluation process (Section 2.3.1) to the selected screening<br />

benchmarks (Tables 2-9, 2-13, and 2-14).<br />

The maximum detected soil concentration in each area or site activity (e.g., waste sumps,<br />

pipelines, or service roads) was screened against the preliminary background<br />

concentrations for inorganic chemicals and the identified sediment screening benchmarks<br />

(Table 2-15). Soils were screened against sediment benchmarks because most of the site soils<br />

will become flooded as a result of proposed site restoration activities. Chemicals that<br />

exceeded either background values or the sediment screening benchmarks were identified<br />

as COPECs for the ERA. Chemicals that did not have an available benchmark were also<br />

retained for further evaluation in the ERA.<br />

The maximum detected sediment concentration in each area was screened against<br />

preliminary background values and sediment benchmarks (Table 2-16). Chemicals that<br />

exceeded either background values or the sediment screening benchmarks were identified<br />

as COPECs for the ERA. Chemicals that did not have an available benchmark were also<br />

retained for further evaluation in the ERA.<br />

The maximum detected surface water concentration in each area or site activity was<br />

screened against the selected surface water benchmark for chronic exposure (Table 2-17).<br />

Chemicals that exceeded the surface water screening benchmark were identified as COPECs<br />

for the ERA. Chemicals that did not have an available benchmark were also retained for<br />

further evaluation in the ERA.<br />

The COPECs identified in the Scoping Assessment (CH2M HILL, 1998b) for further<br />

evaluation are presented by area for soil (Table 2-18), sediment (Table 2-19), and surface<br />

water (Table 2-20). These COPECs, along with any others identified based on the ERA and<br />

focused sampling efforts, were further evaluated in this ERA (Section 3).<br />

2.4 Assessment Endpoints and Measures<br />

The overall objective of the Problem Formulation is to describe ecological characteristics<br />

of the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong>, summarize previously existing data, compare contaminant<br />

concentrations to readily available screening benchmarks, and thereby assess whether<br />

ecological risks may exist. To meet this objective, potential ecological effects of the site<br />

contaminants important to decision making must be identified. Assessment endpoints<br />

and measures relevant to ecological resources in the <strong>Lowlands</strong> are defined in this section.<br />

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2.4.1 Assessment Endpoints<br />

Assessment endpoints, which represent key objectives for ecosystem protection at a site, are<br />

an expression of critical aspects of habitat structure and receptor viability that are important<br />

to protect (Suter, 1993; U. S. EPA, 1998). Assessment endpoints provide a transition between<br />

the ecological management goals and the measures used in the ERA. In addition, the<br />

identification of assessment endpoints serves to focus the ERA and reduce uncertainty,<br />

increasing the efficiency and cost-effectiveness of the risk assessment process. Assessment<br />

endpoints were initially identified in the Scoping Assessment (CH2M HILL, 1998b) and<br />

were revised based on new information gathered for the EEC Report and this ERA. These<br />

revised assessment endpoints were selected using four principal criteria: (1) their ecological<br />

relevance, (2) their political and societal relevance, (3) their susceptibility to known or<br />

potential stressors at the site, and (4) whether they represent the management goals for the<br />

site (U. S. EPA, 1998). The ecological management goals for the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> are<br />

presented in Section 1.<br />

The assessment endpoints for the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> are presented subsequently and in<br />

Table 2-21 with their associated measures:<br />

• Terrestrial and aquatic plants – Rates of growth, productivity, and survival; levels of<br />

abundance; species composition; and community structure capable of maintaining<br />

viable populations supportive of the post-proposed restoration community structures.<br />

• Terrestrial and aquatic invertebrates – Rates of growth and survival, levels of<br />

abundance, species composition, and community structure capable of maintaining<br />

viable populations supportive of the post-proposed restoration community structures.<br />

• Fish – Rates of species survival and reproduction and levels of abundance conducive to<br />

the maintenance of viable populations of individual species and supportive of the postproposed<br />

restoration community structures.<br />

• Migratory birds (species protected by the Migratory Bird Treaty Act) – Abiotic<br />

(sediment/soil and surface water) and biotic (prey populations) conditions favorable for<br />

health, survival, and reproduction of migratory birds.<br />

• Mammals – Rates of species survival and reproduction and levels of abundance<br />

conducive to the maintenance of viable species populations characteristic of expected<br />

post-proposed restoration community structures.<br />

• Individual special-status biota (including plants, fish, and wildlife that are considered<br />

threatened or endangered) – Rates of survival and reproduction necessary to maintain<br />

current populations and promote additional future recovery.<br />

2.4.2 Risk Hypotheses<br />

The risk hypotheses focus on the responses of the assessment endpoints when exposed to<br />

stressors and how the exposure could occur (U. S. EPA, 1998). The relationship between<br />

stressors and exposures was used in the Scoping Assessment (CH2M HILL, 1998b) to develop<br />

the risk hypotheses and ecological conceptual site models for the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong>.<br />

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Stressors in the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> consist of chemicals that have been released from<br />

their primary sources to the environment either directly from onsite activities or indirectly<br />

from offsite sources via stormwater runoff. Under current conditions, ecological receptors<br />

could contact contaminants in sediment/soil, surface water, and/or biota. Based on the<br />

chemical stressors and potential exposure routes, the risk hypotheses for the <strong>Bolsa</strong> <strong>Chica</strong><br />

<strong>Lowlands</strong> are:<br />

• Inorganic and organic chemicals associated with onsite activities are present at<br />

concentrations potentially toxic to terrestrial and aquatic plants, invertebrates, and<br />

vertebrates (birds, mammals, and fish).<br />

• Inorganic and organic chemicals associated with offsite sources are being conveyed onto<br />

the site and are present at concentrations potentially toxic to terrestrial and aquatic<br />

plants, invertebrates, and vertebrates (birds, mammals, and fish).<br />

• Chemicals associated with onsite and offsite source areas are potentially<br />

bioaccumulating in forage and prey species for secondary consumers, resulting in foodchain<br />

transfer of contaminants.<br />

Under current conditions in the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong>, ecological receptors could contact<br />

contaminants in sediment/soil, surface water, and biota. For example, terrestrial receptors<br />

might be exposed to the contaminants by direct contact with surface soils or sediments, or<br />

by incidentally ingesting them during activities such as feeding. Terrestrial and aquatic<br />

receptors could be exposed to contaminants in sediment/soil or surface waters at the site<br />

through direct contact or uptake of the water or sediment. If forage or prey species were<br />

contaminated from site-related chemicals, their consumers (herbivores, carnivores, or<br />

omnivores) might also become secondary receptors via food chain transfer.<br />

2.4.3 Measures<br />

Three categories of measures are predictive of the assessment endpoints (U.S. EPA, 1998):<br />

measures of exposure, measures of effect, and measures of ecosystem and receptor<br />

characteristics. Measures of exposure are used to evaluate how exposures could be occurring.<br />

Measures of effects are used to evaluate the response of the assessment endpoints when<br />

exposed to the stressor. Measures of ecosystem and receptor characteristics are used to<br />

evaluate the ecosystem characteristics that could affect exposure or response to the stressor.<br />

Measures identified for an ERA can be from one or more of these categories, depending on<br />

the complexity of the ERA. Criteria considered in the selection of measures are as follows:<br />

• Corresponds to or is predictive of an assessment endpoint<br />

• Can be readily measured or evaluated<br />

• Is appropriate to the scale of the site<br />

• Is appropriate to the temporal dynamics<br />

• Is appropriate to the exposure pathway<br />

• Is associated with low natural variability<br />

• Is minimally disruptive to ecological community and species variability<br />

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SECTION 2:PROBLEM FORMULATION<br />

The following measures, which are listed in greater detail in Table 2-21, were identified for<br />

the <strong>Bolsa</strong> <strong>Chica</strong> Lowland project site:<br />

• Measures of Exposure—Concentrations of COPECs in sediment/soil, surface water, and<br />

field-collected biota.<br />

• Measures of Effects—Responses of terrestrial or aquatic plants and wildlife (actual or<br />

potential toxic effects) to COPECs in sediment/soil, surface water, and biota; responses<br />

of bioassay organisms to COPECs in exposure media (e.g., sediment, pore water, and<br />

surface water); potential or actual bioaccumulation of COPECs in terrestrial or aquatic<br />

plants and wildlife.<br />

• Measures of Ecosystem and Receptor Characteristics—Habitat quality and home range of<br />

representative species in comparison with the size of the contaminated area at each site.<br />

The linkages between assessment endpoints and measures are developed in the Analysis<br />

phase of the ERA. The Analysis includes the Exposure Characterization, which results in an<br />

exposure profile, and the Ecological Effects Characterization, which results in the stressorresponse<br />

profile. The assessment endpoints and measures will be evaluated in more detail<br />

during the Risk Characterization phase of the ERA.<br />

2.5 Ecological Conceptual Site Model<br />

The ecological conceptual site model combines information on COPECs, potential ecological<br />

receptors, potential exposure pathways, assessment endpoints, and measures presented in<br />

Sections 2.2, 2.3, and 2.4, providing an overall picture of site-related exposures that can<br />

focus the remaining evaluation of COPECs in the ERA. A preliminary ecological conceptual<br />

site model is presented in this section (Figure 2-5). The model accommodates the various<br />

sources of chemicals, migration pathways for chemicals, potential routes of exposure, and<br />

potential receptors at the site.<br />

2.5.1 Identification of Representative Species<br />

This section describes criteria used to select representative species for the <strong>Bolsa</strong> <strong>Chica</strong><br />

<strong>Lowlands</strong>. Representative ecological receptors were identified as the aquatic, semi-aquatic,<br />

and terrestrial plants and wildlife most likely affected by COPECs. Representative receptors<br />

include primary and secondary consumers that are aquatic (e.g., microinvertebrates,<br />

macroinvertebrates, and fish), semi-aquatic (e.g., shorebirds and other birds that feed on<br />

aquatic biota), and terrestrial (e.g., plants, soil invertebrates, upland birds, and mammals).<br />

The potential plant and wildlife species that could represent ecological receptors were<br />

determined through meetings with the <strong>Bolsa</strong> <strong>Chica</strong> Technical Committee, through direct<br />

observations of plants and wildlife in the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong>, as well as listings of species<br />

that are expected to occur and special-status species that may be found (as described in<br />

Section 2.2.2). Representative species selected are from communities that are commonly<br />

found in the different habitat types at the site. Representative species could also be specialstatus<br />

species for which suitable habitat has been identified. The communities potentially<br />

exposed directly or indirectly (i.e., through the food chain) to COPECs in the <strong>Bolsa</strong> <strong>Chica</strong><br />

<strong>Lowlands</strong> are composed of estuarine/marine plants, free-swimming and benthic<br />

invertebrates, and fish; semi-aquatic and upland birds; and terrestrial mammals.<br />

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SECTION 2: PROBLEM FORMULATION<br />

Representative ecological receptors were selected from these communities to fulfill as many<br />

of the following criteria as possible:<br />

• Species that are known to occur or are likely to occur at the site.<br />

• Species that relate to the assessment endpoints selected.<br />

• Species that are likely to be maximally exposed to the COPECs.<br />

• Sedentary species or species with a small home range.<br />

• Species with high reproductive rates.<br />

• Species that are known to play an integral role in the ecological community structure at<br />

the site.<br />

• Species that are known or likely to be especially sensitive to the COPECs, and thus are<br />

an indication of ecological change.<br />

• Species that are susceptible to bioaccumulation/biomagnification of COPECs from a<br />

limited number of food items.<br />

• Species that are representative of the foraging guild or serve as food items for higher<br />

trophic levels.<br />

The representative species selected for the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> ERA are:<br />

• Aquatic and semi-aquatic representative species<br />

− Plants — aquatic grasses and forbs<br />

− Invertebrates — benthic macroinvertebrates<br />

− Fish — mosquitofish, topsmelt, killifish, tilapia<br />

− Birds (semi-aquatic) — black-crowned night-heron, black-necked stilt, and least tern<br />

• Terrestrial/upland representative species<br />

− Plants — terrestrial grasses and forbs<br />

− Invertebrates — insects and spiders<br />

− Birds (upland) — American kestrel and Belding's savannah sparrow<br />

− Mammals — western harvest mouse and coyote<br />

Plants were selected because of their importance as habitat or forage for primary consumers.<br />

Invertebrates were selected because of their importance as prey species for secondary<br />

consumers. Representative vertebrate species (fish, birds, and mammals) were selected<br />

based on their occurrence or potential occurrence onsite. Bird species selected were further<br />

restricted to those species known to feed onsite or those observed onsite. The primary<br />

criteria used to select vertebrate species include special-status listing, size of home range,<br />

representativeness of trophic level or feeding guild, and potential exposure to COPECs. The<br />

selection criteria for the representative ecological receptors are provided in Table 2-22.<br />

Aquatic Plants – Aquatic plants (e.g., grasses and forbs) are in direct contact with<br />

potentially contaminated sediments and surface waters. They are non-mobile and would<br />

have high exposure to COPECs. Aquatic plants may also bioaccumulate chemicals and serve<br />

as a direct or indirect food source for fish and semi-aquatic birds.<br />

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SECTION 2:PROBLEM FORMULATION<br />

Benthic Macroinvertebrates – Benthic macroinvertebrates (various species) are primary<br />

consumers that fulfill many of the selection criteria. They would be in direct contact with<br />

potentially contaminated sediments and surface water, and as such, they would be exposed<br />

to COPECs. They have a relatively small range, have high reproductive rates, and serve an<br />

integral role in the aquatic and semi-aquatic ecosystem. They serve as a primary prey item<br />

for fishes and some semi-aquatic representative bird species (e.g., stilt). Horned snails<br />

(Certhidea californica), mussels (Ischadium demmissum), and grass shrimp (Palaemon<br />

macrodactylus) were collected in 1998 as part of the ERA Sampling and Analyses.<br />

Fish – Fish are secondary or tertiary consumers and would be exposed to COPECs in surface<br />

water and prey items. They serve as forage for a variety of higher tropic-level fish, birds<br />

(e.g., night-herons, egrets, cormorants, and mergansers), and mammals. Mosquitofish<br />

(Gambusia affinis), topsmelt (Atherinops affinis), killifish (Fundulus parvipinnis), and tilapia<br />

(Tilapia zillii) were collected for tissue analyses during the 1998 ERA Sampling and Analyses.<br />

Semi-Aquatic Birds – Semi-aquatic birds (e.g., black-crowned night-heron [Nycticorax<br />

nycticorax] and least tern [Sterna antillarum browni]) primarily feed on species associated with<br />

aquatic habitats. Their habit of feeding in shallow waters for fish, amphibians, crustaceans,<br />

and insects gives them a high potential for incidental ingestion of sediment and surface<br />

water. Black-necked stilt (Himantopus mexicanus) eggs were collected in 1998 as part of the<br />

ERA Sampling and Analyses.<br />

Terrestrial Plants – Terrestrial plants are in direct contact with potentially contaminated<br />

soils and surface waters. They are non-mobile and would have high exposure to COPECs.<br />

Plants may also bioaccumulate COPECs in the leaves and other above-ground structures.<br />

They serve as a food source for terrestrial birds and mammals. Saltgrass (Distichlis sp.),<br />

pickleweed (Salicornia sp.), bassia (Bassia sp.), and alkali heath (Frankenia sp.) were collected<br />

as part of the ERA Sampling and Analyses. (However, these invertebrates were scarce at the<br />

time of sampling, and only a few were collected.)<br />

Terrestrial Invertebrates – Terrestrial invertebrates, such as insects and spiders, would be in<br />

direct contact with potentially contaminated soils or may consume contaminated prey, and,<br />

as such, they would be exposed to COPECs. They have a relatively small range, have high<br />

reproductive rates, and serve an integral role in the upland ecosystem. They serve as<br />

primary prey items for some upland birds and small mammals. Spiders, beetles, and<br />

grasshoppers were collected as part of the ERA Sampling and Analyses. (However, these<br />

invertebrates were scarce at the time of sampling, and only a few could be collected).<br />

Upland Birds – Upland birds, such as the American kestrel (Falco sparverius) and Belding’s<br />

savannah sparrow (Passerculus sandwichensis beldingi), are found year-round and may be<br />

exposed to COPECs through ingestion of contaminated food items.<br />

Mammals – Western harvest mouse (Reithrodontomys megalotis) and coyote (Canis latrans) are<br />

fairly common and may be exposed to COPECs through ingestion of food items. Western<br />

harvest mouse, deer mouse (Peromyscus maniculatus), and California vole (Microtus<br />

californicus) were trapped as part of the 1998 ERA Sampling and Analyses, primarily to<br />

evaluate exposure of their consumers.<br />

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SECTION 2: PROBLEM FORMULATION<br />

2.5.2 Exposure Pathway Inclusion/Exclusion<br />

The exposure pathway inclusion/exclusion evaluation is based on information gathered<br />

from the problem formulation (Sections 2.2, 2.3, and 2.4) and the selection of representative<br />

species, the probable completeness of each exposure pathway, and the potential for that<br />

pathway to be a major or minor route of exposure and risk.<br />

A complete exposure pathway must exist for an exposure to occur. A complete exposure<br />

pathway must have the following elements, in addition to the presence of suitable habitat<br />

for ecological receptors:<br />

• Contaminant source (e.g., chemicals in waste sumps, etc.)<br />

• Mechanism for contaminant release and transport (e.g., surface dispersion)<br />

• Exposure point (e.g., wetland Cell, creek, or soil)<br />

• Feasible route of exposure (e.g., ingestion)<br />

• Receptor (e.g., fish, bird, or mammal)<br />

Contaminant sources and release mechanisms in the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> consist primarily<br />

of onsite source areas (waste sumps, pipelines, and maintenance areas) and runoff/surface<br />

dispersion of chemicals from the onsite areas or from offsite sources (such as urban runoff).<br />

Ecological receptors can be exposed to chemicals in soil, sediment, or surface water via direct<br />

or secondary exposure pathways. Direct exposure pathways include ingestion, dermal<br />

contact, root update, uptake/transport access gills, and potentially the inhalation of organic<br />

vapors or soil particulates. Secondary exposure pathways are limited to food-chain transfer<br />

of chemicals that bioaccumulate. Potential exposure pathways for representative species are<br />

summarized in Table 2-23 along with the rationale for inclusion/exclusion in the quantitative<br />

and qualitative evaluations to be conducted in the ERA.<br />

Terrestrial and aquatic plants can absorb chemicals via root uptake from sediment/soil or<br />

surface water. Many chemicals absorbed by plants are deposited in the leaves. In addition to<br />

direct toxicity to the plant, chemicals that bioaccumulate within plant tissues (e.g., leaves)<br />

may result in food chain transfer of chemicals to higher trophic-level organisms.<br />

Terrestrial and aquatic invertebrates can absorb chemicals through their epidermis and can<br />

accidentally or purposefully ingest sediment during feeding or burrowing. Benthic<br />

organisms are especially prone to exposure to chemicals in sediments as some consume the<br />

organic materials from within the sediment (e.g., chironomids). Aquatic invertebrates also<br />

serve as a major route of food chain transfer, because they are prey for other aquatic<br />

organisms (e.g., fish) and semi-aquatic wildlife (e.g., shorebirds).<br />

Terrestrial and semi-aquatic birds (e.g., shorebirds) and terrestrial mammals can be exposed<br />

to chemicals in sediment/soil or surface water from several different behaviors. Animals<br />

can inadvertently or purposefully ingest sediment/soil while grooming, burrowing, or<br />

consuming contaminated prey species. Surface water can be ingested as a drinking water<br />

source or during bathing or grooming activities. Dermal contact with sediment/soil or<br />

surface water is considered a secondary route of exposure for birds and mammals. Dermal<br />

contact is of concern primarily with organic chemicals that are lipophilic (i.e., have an<br />

affinity for fats) and can cross the epidermis of the exposed organism. Although some of the<br />

COPECs (e.g., DDT ) are highly lipophilic and can bioaccumulate, they are of greater<br />

concern in the food chain pathway as opposed to direct contact.<br />

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SECTION 2:PROBLEM FORMULATION<br />

Fish can be exposed to chemicals in sediment and/or surface water through incidental<br />

ingestion, dermal contact, uptake across the gills, and consumption of contaminated aquatic<br />

plants or invertebrates. However, because no suitable model was available to evaluate<br />

food-chain exposures, food ingestion was not included in the evaluation. Fish also serve as<br />

a major route of food chain transfer because they are prey for other fish and semi-aquatic<br />

wildlife.<br />

Exposure through the food chain is limited to chemicals that bioaccumulate. Chemicals can<br />

be accumulated in plants that are consumed by herbivorous animals, which are then<br />

consumed by omnivorous and insectivorous animals, carnivorous animals, and<br />

decomposers. Pesticides, such as DDT and its metabolites, are of primary concern for<br />

bioaccumulation because these chemicals can also biomagnify up the food chain.<br />

2.6 Biota Sampling in Nearby Areas<br />

Aquatic biota similar to those collected within the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> (Sections 2.3.1 and<br />

2.5.1) for the ERA have been sampled in nearby areas through other programs. The Seal<br />

Beach National Wildlife Refuge Study (SWDIV 1995) was conducted to assess the effects of<br />

operations at Naval Weapons Station Seal Beach on the biota of the tidal marsh at Seal Beach<br />

National Wildlife Refuge. The study focused on the potential bioaccumulation of chemicals<br />

in species that are the primary food items of the light-footed clapper rail and California least<br />

terns. Results for invertebrates and fish are summarized in Table 2-24.<br />

Fish also were sampled in Anaheim Bay/Huntington Harbour through the Toxic Substances<br />

Monitoring Program (Rasmussen 1995, 1997). Black perch (Embiotoca jacksoni) and barred<br />

surfperch (Amphistichus argenteus) were sampled in 1992-1993 and yellowfin croaker<br />

(Umbrina roneador) were sampled in 1995. Results for these fish are summarized in<br />

Table 2-25. In 1992, the fish contained elevated levels of total chlordane and total DDT, and<br />

in 1993 they contained elevated levels of chromium and total DDT. In 1995, elevated levels<br />

of total chlordane, total DDT, and total PCB were found in fish.<br />

Transplanted California mussels (Mytilus californianus) were sampled at the Warner Avenue<br />

Bridge on Huntington Harbor in 1994 and 1995 (Rasmussen 1996). (Because no suitable<br />

resident population existed there, mussels from Trinidad Head or Bodega Head were<br />

deployed for 4-6 months prior to sampling). Results are presented in Table 2-26. Mussels<br />

contained elevated levels of cadmium, zinc, chlorpyrifos, total chlordane, total DDT,<br />

dieldrin, and total PCB in both 1994 and 1995. In 1994, concentrations of arsenic, lead,<br />

selenium, and oxadiazon also were elevated, and in 1995, chromium, heptachlor epoxide,<br />

and toxaphene were elevated.<br />

ERA REPORT 2-18 SAC/143368(002.DOC)<br />

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SECTION 3<br />

Analysis<br />

The Analysis phase links the Problem Formulation to the Risk Characterization and consists<br />

of the technical evaluation of chemical and ecological data to determine potential for<br />

ecological exposure and adverse effects. The assessment endpoints and ecological<br />

conceptual site model defined in the Problem Formulation focus the Analysis, which<br />

consists of two components - the Exposure Characterization and the Ecological Effects<br />

Characterization. These two components are used to evaluate the relationships between<br />

receptors, potential exposures, and potential effects. The results of these evaluations provide<br />

the information necessary to determine or predict the potential risks to ecological receptors<br />

from the identified stressors under defined exposure conditions. The products of the<br />

Analysis consist of exposure profiles (from the Exposure Characterization) and stressorresponse<br />

profiles (from the Ecological Effects Characterization) that summarize the<br />

relationships between stressors and responses.<br />

3.1 Exposure Characterization<br />

The Exposure Characterization includes an overview of the field activities conducted as<br />

part of the ERA Sampling and Analyses (CH2M HILL, 1998a) and Focused Sampling and<br />

Analyses (CH2M HILL, 2000); an evaluation of the chemical data for sediment/soil, surface<br />

water, pore water, and biota collected as part of the sampling and analysis, an evaluation<br />

of onsite background conditions for inorganic chemicals, an exposure analysis for the<br />

representative species, and the exposure profile.<br />

3.<strong>1.1</strong> Field Sampling and Analysis<br />

The first phase of sampling and analysis (ERA Sampling and Analyses) was designed<br />

to complete the initial sampling for areas away from known or suspected sources of<br />

contamination, to conduct toxicity and bioaccumulation bioassays (using site-collected<br />

sediment or water from “random” and “focused” sites), and to analyze field-collected biota.<br />

The sampled areas include material within the dredging “footprint” for the Full Tidal habitat,<br />

but only that portion just below the depth of dredging. The bioassays for the ERA were<br />

designed to determine acceptable levels of inorganic and organic chemicals in media to which<br />

ecological receptors may be exposed under current or future conditions. Bioassay media<br />

included sediment, surface water, and pore water from random and focused sampling sites.<br />

The second phase of sampling and analysis (Focused Sampling and Analyses) was designed<br />

to evaluate the nature of contamination, if any, associated with previously identified known<br />

or suspected sources (such as sumps, wells, pipelines, maintenance areas, etc.), and to<br />

conduct follow-up sampling of randomly sampled locations where composited samples<br />

contained elevated levels of chemicals. This focused sampling was conducted after the<br />

Scoping Assessment Report and EEC Report were completed.<br />

SAC/143368(003.DOC) 3-1 ERA REPORT<br />

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SECTION 3: ANALYSIS<br />

The field sampling program is described briefly in this section, and sample collection<br />

locations are shown in Figures 3-1, 3-2, and 3-3. A detailed description of the field sampling<br />

is included in Appendix A and core logs for each sampled location are presented in<br />

Appendix B.<br />

3.<strong>1.1</strong>.1 ERA Sampling and Analyses<br />

The information collected in the field from the ERA sampling program, along with results of<br />

toxicity and bioaccumulation tests conducted in the laboratory, were used to complete the<br />

EEC Report (CH2M HILL, 1999). ERA Sampling was conducted in areas away from known<br />

or suspected sources of contamination (described as random sampling) and in selected areas<br />

where previous studies identified elevated levels of chemicals or contamination (described<br />

as focused sampling). In addition, toxicity and bioaccumulation bioassays were conducted<br />

using site-collected sediment and surface water from random and focused sites, and fieldcollected<br />

biota were analyzed.<br />

Random sampling was conducted throughout the <strong>Lowlands</strong> at a density of one sample<br />

location for each area of approximately 4 acres, with at least one sample point located in<br />

each Cell. Samples from up to six contiguous areas within the same Cell were combined to<br />

form a composite, stratified by depth. The surface sample included 0 to 6 inches bgs; the<br />

subsurface sample included the combined mid-depth (18 to 24 inches bgs) and bottom<br />

depth (42 to 48 inches bgs) of the core. Sediment/soil from the expected dredging depth to<br />

2 feet below that depth was sampled and analyzed to determine whether any chemicals<br />

found there are likely to be toxic or to bioaccumulate in exposed organisms. No significant<br />

deviations from the sampling program occurred during sampling activities. Small<br />

adjustments were made in the field to accommodate sample collection (e.g., moving a<br />

sampling location if it fell on a physical structure such as a pipe or other solid obstruction to<br />

allow for collection of a sample).<br />

Samples were analyzed for a defined “suite” of analytes. These suites of analytes were used<br />

for three basic purposes:<br />

• To analyze the sediment/soil (Suites A, B, and C), water (Suite D), and tissue (Suite E)<br />

matrices for contaminants as required for ERA purposes (see Appendix A, Table A-2)<br />

• To furnish contaminant results at low detection limits (Suite C) to ascertain if unknown<br />

contaminants are present that were not covered by the other suites (Suites A and B)<br />

• To confirm that conditions outside the focused sites are suitable for marine organisms. A<br />

detailed Quality Assurance <strong>Project</strong> Plan (QAPP) was followed during the course of the<br />

sampling and analysis and is included in Appendix C.<br />

Each surface sediment (0 to 6 inches bgs) composite sample was analyzed for a low<br />

detection limit suite of analytes (Suite C). All subsurface sediment (> 6 inches bgs)<br />

composite samples were analyzed for either Suite A or Suite B analytes. Of the random<br />

sampling sites, 24 were selected for sediment and pore water toxicity bioassays, and 10 of<br />

those sediments were also submitted for laboratory bioaccumulation tests. Surface water<br />

ponded in Cells was collected and submitted for Suite D analyses as well as toxicity<br />

bioassays. The random sampling program included a total of 277 core locations generating<br />

158 samples of sediments for analyses (92 for Suite A, 66 for Suite C). A summary of the<br />

ERA REPORT 3-2 SAC/143368(003.DOC)<br />

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SECTION 3: ANALYSIS<br />

sampling program is included in Table A-1. Biota (terrestrial plants, terrestrial and aquatic<br />

invertebrates, fish, black-necked stilt eggs, and small mammals) were collected at various<br />

locations within the <strong>Lowlands</strong> (as shown in Figure 3-1).<br />

Focused sampling was conducted to characterize and determine the extent of contamination<br />

of selected known or suspected sites where previous industrial activity took place and to<br />

measure chemicals present in surface water inflows to the <strong>Lowlands</strong>. In the ERA Sampling<br />

and Analyses phase of the project, sediment samples were taken within the selected sites to<br />

provide media for bioassays and to determine concentrations of contaminants at various<br />

depths; they were analyzed for Suites A, B, or C. Surface water inflow areas were sampled<br />

for pH, conductivity, metals, organochlorine herbicides, and organophosphorus insecticides<br />

during low-flow and storm events.<br />

Table A-2 in Appendix A summarizes the chemical analyses of surface sediments collected<br />

during the field sampling (Suite C), sediments or water tested for toxicity/bioaccumulation<br />

(Suite C or D), and sediment/soil collected from deeper depths within the same sample<br />

cores (Suites A and B). In addition, plant and animal tissues were analyzed for those<br />

chemicals that were likely to bioaccumulate, including metals, organochlorine insecticides,<br />

polychlorinated biphenyls (PCBs) and polycyclic aromatic hyrocarbons (PAHs) (Suite E).<br />

Bird eggs were analyzed using a modified Suite E, which includes all Suite E compounds<br />

except PAHs. Tissue samples resulting from the laboratory bioaccumulation exposures were<br />

also analyzed for contaminants (Suite E).<br />

3.<strong>1.1</strong>.2 Focused Sampling and Analyses<br />

The purpose of the focused sampling program was to further characterize known or<br />

potential sources of contamination within the <strong>Lowlands</strong>. The focused sampling sites include<br />

Random Follow-up sites (composite areas sampled during the Random Sampling where at<br />

least one analyte exceeded benchmarks selected by the Technical Committee), CAR sites,<br />

and Partially Characterized sites (previously sampled by Tetra Tech [1996]). The sampling<br />

strategy is discussed in more detail in Appendix A, and the numbers of samples are listed<br />

by facility/feature and analytical suite in Table A-1:<br />

Random Follow-up<br />

Random Follow-up sites are discrete locations sampled during the Random Sampling<br />

program where the composite sample representing those locations had at least one analyte<br />

that exceeded criteria established by the Technical Committee. Calculated LC20 and LC50<br />

values (from the <strong>Bolsa</strong> <strong>Chica</strong> ERA), Effects Range-Low (ER-L) and Effects Range-Median<br />

(ER-M) values published by Long et al. (1995), and calculated background levels were used by<br />

the Technical Committee as guidelines in establishing the selection of Random Follow-up sites.<br />

A total of 190 Random Follow-up sites were sampled and are shown in Table A-1 in<br />

Appendix A. Most of the individual random sampling locations were re-sampled to a depth<br />

of 0.5 feet bgs. Boring depths were advanced to the original project depth of 6 feet bgs when<br />

the bottom composite sample exceeded any of the above stated criteria. Selection of analyses<br />

to be performed on the Random Follow-up sites was based on those constituents that<br />

exceeded screening levels set by the Technical Committee on sediment/soil samples at the<br />

intervals where the exceedances occurred at each location. Appendix A provides a complete<br />

listing of analyses performed on the Random Follow-up samples.<br />

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SECTION 3: ANALYSIS<br />

CAR Sites<br />

A total of 233 locations were sampled in CAR sites as part of the focused sampling. Most of<br />

these CAR sites were “Plate 1 Schaefer-Dixon Anomalies,” those areas within project<br />

boundaries identified from aerial photographs to be areas of disturbed morphology,<br />

possibly from industrial or recreational activity (Schaefer Dixon Associates, 1991).<br />

All CAR site borings were advanced to 6 feet bgs. Samples from each boring were collected<br />

at three intervals; 0 to 6 inches, 30 to 36 inches, and 66 to 72 inches. The middle and bottom<br />

intervals from each boring were combined into a single sample.<br />

For those CAR sites that were less than 1 acre, two borings were collected. However, if the<br />

CAR site was less than 0.1 acre then the two top samples were composited together and the<br />

two middle/bottom samples were composited together.<br />

One boring was collected for every acre or partial acre for those CAR sites that are greater<br />

than 1 acre. No horizontal compositing was conducted. All top samples were analyzed for<br />

the “modified” Suite C list of constituents (Table A-2), and middle/bottom samples were<br />

analyzed for the Suite B list of constituents.<br />

A detailed list of the CAR sites, the number of locations and samples within each site, and<br />

the analyses performed are found in Appendix A.<br />

Partially Characterized Sites<br />

The Partially Characterized sites are the focused facilities or features sampled by Tetra Tech<br />

(1996) for which some existing data were available (Figure 3-3). The sampling plan for the<br />

Partially Characterized sites was developed using all existing Tetra Tech and CH2M HILL<br />

data matched to the list of facilities and features. Sampling rates, analyses performed and<br />

depths below ground surface were used in determining whether any additional<br />

characterization was needed at a particular focused site. Some facilities and features, such as<br />

the oil wells and the roads and berms, were sufficiently characterized and are not scheduled<br />

for additional sampling until the delineation phase, during which the extent of the<br />

contamination will be identified.<br />

A total of 76 Partially Characterized sites were sampled. Below is an explanation of the<br />

sampling and analysis plan for each type of facility or feature. A list of Partially<br />

Characterized sites for each type of facility or feature can be found in Appendix A. Note that<br />

some samples were previously collected during the ERA Sampling program (CH2M HILL,<br />

1998a). Specific locations, numbers of samples, and analyses performed in the modified<br />

sampling plan are detailed in Appendix A.<br />

Sumps<br />

Most of the sumps defined by Tetra Tech were less than 1 acre. There is, however, one site<br />

that is approximately 3 acres and one site, a settling basin, that is about 5 acres. For those<br />

sites that are 1 acre or less, two cores were collected in each. The other two sites were<br />

sampled at a density of 1 core per acre. There were 29 sumps sampled during the second<br />

phase of sampling.<br />

Each core was bored down to 6 feet bgs. Three samples were collected from each boring<br />

(surface, mid, and bottom). The surface interval (0 to 6 inches) from the first core at each<br />

sump was analyzed for the modified Suite C list of constituents. All other surface samples at<br />

ERA REPORT 3-4 SAC/143368(003.DOC)<br />

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SECTION 3: ANALYSIS<br />

each sump were analyzed for the modified Suite A list of constituents. All middle samples<br />

(32 to 36 inches) were also analyzed for the modified Suite A list of constituents. All bottom<br />

samples (66 to 72 inches) were analyzed for the Suite B list. Table A-2 lists the constituents<br />

tested under each suite.<br />

Wet Gas Pipelines<br />

After reviewing the results of previous sampling along the gas lines, it was decided to<br />

collect an additional 10 surface samples every 2,000 feet along the wet gas lines. Each<br />

sample was analyzed for the Suite B list of constituents (Table A-2) plus organochlorine<br />

pesticides and PCBs.<br />

Existing Dry Gas Line<br />

There are approximately 5,500 feet of dry gas line within the Full Tidal area that would have<br />

to be removed in the short term. Sampling of the dry gas line involved boring a core every<br />

2,000 feet underneath or directly next to the pipeline. A total of six surface samples were<br />

deemed necessary to fully characterize the dry gas line within the Full Tidal area. Since<br />

three surface samples were previously collected by Tetra Tech (1996), three were collected.<br />

These samples were analyzed for the modified Suite A list of constituents (Table A-2) plus<br />

organochlorine pesticides and PCBs.<br />

Abandoned Oil Pipelines<br />

Additional sampling and testing was conducted along the approximately 14,000 feet of<br />

abandoned oil pipeline routes in order to define the extent of both lateral and vertical<br />

contamination. Transects of 3 surface samples were collected every 2,000 feet along the<br />

abandoned oil line routes at a right angle to the routes. A total of 18 samples were collected<br />

and analyzed for the Suite B list of constituents (Table A-2). In addition, every other sample<br />

obtained was analyzed for organochlorine pesticides and PCBs.<br />

Existing Oil Pipelines<br />

Because oil lines outside of the Full Tidal Basin will not be removed in the near future, a<br />

decision was made to sample only those oil lines within the Full Tidal area. One surface<br />

sample was collected every 2,000 feet along the oil lines. A total of 11 samples were collected,<br />

and each one was analyzed for the Suite B list of constituents (Table A-2). In addition, every<br />

other sample obtained was analyzed for organochlorine pesticides and PCBs.<br />

Old KOBE Area<br />

The old KOBE area is a 1-acre facility that was sampled by collecting two cores to a depth of<br />

4 feet bgs. A surface (0 to 6 inches), mid (18 to 24 inches) and bottom (42 to 48 inches) sample<br />

was obtained from each boring. The modified Suite A list of constituents was run on both<br />

surface samples and the Suite B list was run on the middle and bottom samples (Table A-2).<br />

Surface Water Inflows<br />

Four surface water inflows were identified for surface sediment sampling. Three of the four<br />

were sampled during the ERA Sampling program (Springdale Pump Station, Seapoint Golf<br />

Course, and Garden Grove - Wintersburg Channel) by CH2M HILL (1999). Sediment/soil<br />

from the fourth location (Edwards Thumb) was collected and analyzed for the modified Suite C<br />

list of constituents (Table A-2), and surface water was analyzed for Suite D constituents.<br />

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SECTION 3: ANALYSIS<br />

3.1.2 Data Evaluation<br />

The chemical data were evaluated for usability in the ERA (as described in this section) and<br />

evaluated for potential risk to representative receptors based on sample location within<br />

specific evaluation areas. The data for specific Cells were combined into evaluation areas<br />

that either currently have or will have similar habitats after the proposed restoration is<br />

completed. These evaluation areas and the Cells included in each one are as follows:<br />

• <strong>Bolsa</strong> Bay - Inner <strong>Bolsa</strong> Bay (Cell IB) and Outer <strong>Bolsa</strong> Bay (Cell OB)<br />

• Garden Grove - Wintersburg Flood Control Channel - Cell 52<br />

• Full Tidal - Cells 1, 1A, 3 through 8, 15 through 18, 43, 44, 51, 58, 59, 61, and 62<br />

• Future Full Tidal - Cells 14, 19 through 40, and 63<br />

• Muted Tidal plus Rabbit Island - Cells 41, 42, 45 through 50, 53, 55, 60, 66, and 67<br />

• Seasonal Ponds - Cells 2, 9 through 13<br />

• Gas Plant Pond Area - Samples collected downgradient of the former Gas Plant (outside<br />

the numbered Cells, just south of Cells 11 and 12)<br />

• Sitewide (biota only) - terrestrial invertebrates that were composited from throughout<br />

the <strong>Lowlands</strong><br />

The analytical data used to characterize exposures consist of the sediment/soil, pore water,<br />

surface water, and biota collected previously by Tetra Tech (1996) and by<br />

CH2M HILL/Kinnetics Laboratories during the ERA Sampling and Analyses and the<br />

Focused Sampling and Analyses. These data were compiled into the ERA chemical database<br />

presented in Appendix D in electronic format (CD).<br />

The electronic data obtained for the Tetra Tech Phase II sampling were checked against the<br />

hardcopy to ensure resolution of the items that had precluded their use in the EEC Report<br />

(CH2M HILL, 1999). These items included missing samples or groups of analytes, lack of<br />

identification for tissue samples, and incompatible structure for inclusion in the electronic<br />

database for the EEC Report. During this review, it was found that all of the items could not<br />

be fully resolved. The electronic database was still deficient in some areas including missing<br />

samples (e.g., diesel and waste oil data were not present for surface water), QA/QC samples<br />

included in the data that were not labeled as such, and lack of locational information (i.e.,<br />

northings and eastings). In addition, the electronic data from Tetra Tech did not include<br />

either a method detection limit or reporting limit for those chemicals that were not detected.<br />

Chemicals that were not detected had either a zero (“0”) or a blank entry for the value. This<br />

results in a slight underestimation of the values calculated in the summary statistics because<br />

one-half the reporting limit was still zero for these chemicals.<br />

The electronic Tetra Tech data were corrected to the extent possible. Data available<br />

electronically from Tetra Tech were incorporated into the ERA chemical database. Tetra<br />

Tech data were also not subjected to any addition data validation processes because this was<br />

reported to have been completed by Tetra Tech when conducting the Phase II<br />

Environmental Assessment (Tetra Tech, 1996).<br />

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SECTION 3: ANALYSIS<br />

The quality of the data obtained during the ERA Sampling and Analyses and the Focused<br />

Sampling and Analyses consisted of a review of 100 percent of the samples (Appendix C).<br />

The results were qualified as appropriate and validation flags were added. The validation<br />

flags used consisted of the following:<br />

• U – Not detected<br />

• J – Estimated value<br />

• UJ – Estimated detection limit<br />

• R – Rejected<br />

The results of data quality evaluation processes indicated that overall, the project data<br />

quality objectives for precision, accuracy, representativeness, completeness, and<br />

comparability were met (Appendix C). Those instances which required qualifying the data<br />

are summarized below:<br />

Matrix effects were evident for some analytes based on the matrix spike, surrogate, and field<br />

duplicate results. Most of these were for sediments and biota tissue, and were expected due<br />

to the complexity of the sample matrices. Most of the matrix recovery failures were<br />

associated with the presence of high concentrations of chlorides in the samples. The matrix<br />

spike, surrogate, and field duplicate deviations resulted in approximately 1.5 percent of the<br />

results being qualified as estimated detects (“J”) and estimated nondetects (“UJ”).<br />

Method blanks were analyzed at the required frequency of at least 1 for every<br />

20 environmental samples or one per analytical batch. Phthalates were routinely detected<br />

in the method blanks, but they are ubiquitous and are considered common laboratory<br />

contaminants. The levels found did not exceed the ecological screening benchmarks and<br />

as such were considered acceptable. Method blanks for method SW8720 (semi-volatiles)<br />

routinely indicated that phthalate contamination may have affected the sensitivity required<br />

to meet the project objectives.<br />

• There were calibration difficulties with some of the analytes resulting in a few results<br />

being rejected and some being qualified as estimated detects and non-detects. The<br />

rejections were due to failure to meet the minimum instrument response, and involved<br />

one analyte (2,4-dinitrophenol) for the Random Sampling. Overall, the qualifications due<br />

to calibration difficulties involved approximately 3 percent of the results for Random<br />

Sampling and 0.7 percent for Focused Sampling.<br />

• Several results (107 from Random Sampling, 236 from Focused Sampling) for<br />

semivolatiles, toxaphene, diesel, or waste oil were qualified as estimated values due<br />

to holding time violations. All other results met the holding time requirements.<br />

• About 1 percent of positive results for pesticides and PCB congeners for Random<br />

Sampling and 0.8 percent for Focused Sampling were qualified as estimated due to<br />

differences between the primary and confirmation results exceeding the acceptance<br />

criterion. The differences were mostly due to interference from coeluting Aroclor peaks<br />

when at least one Aroclor was present.<br />

• In samples that contained Aroclors, some of the Aroclor peaks coeluted within the<br />

retention time windows for some of the pesticides on both the primary and confirmation<br />

columns. This made the identification of some of the pesticides that were reported<br />

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SECTION 3: ANALYSIS<br />

questionable. The use of other confirmation techniques, such as gas<br />

chromatography/mass spectroscopy should be considered in the future.<br />

The validated data from the ERA chemical database (including both Tetra Tech and<br />

CH2M HILL samples) were then evaluated for their use in the risk assessment. Data were<br />

retained or eliminated from the ERA database using the following guidelines:<br />

• Media included in the database consisted of field-collected sediment/soil, surface water,<br />

and biological tissue (terrestrial plants, terrestrial and aquatic invertebrates, fish, stilt eggs,<br />

and small mammals) and polychaete worm tissues from the bioaccumulation studies.<br />

• Focused and random sampling sites were included in the database for purposes of data<br />

summarization and to evaluate exposure point concentrations. Data from the dredge<br />

sampling (both surface and deep samples) were also included for purposes of evaluating<br />

site-specific background concentrations (see Section 3.1.3); however, only those data that<br />

were collected from the 0- to 2-foot depth after habitat restoration were included in the<br />

data used for exposure and effects evaluations.<br />

• Chemical results with final validation qualifiers of any letter except "U" or "UJ" were<br />

considered detected.<br />

• Chemical results with final validation qualifiers of "U" (nondetect level or sample<br />

quantitation limit) or "UJ" (estimated nondetect level) were considered nondetects and<br />

were evaluated at one-half the sample-specific reporting limit to calculate summary<br />

statistics and exposure point concentrations. It should be noted that the Tetra Tech data<br />

did not include sample-specific reporting limits. If a chemical was nondetect, then the<br />

value reported was “0.” This resulted in a slight underestimation of some statistical<br />

parameters (e.g., mean and 95th UCL) as a “0” was evaluated rather than one-half of a<br />

small value. (For example, if the sample-specific reporting limit was 0.6, but a 0 was<br />

reported, then the value used in the summary statistics would have been 0 instead of<br />

0.3 [one-half of 0.6]).<br />

• Chemical results with a laboratory or validation qualifier of "R" were considered rejected<br />

and were removed from the database.<br />

• Chemical data for abiotic media were retained for all sampling locations within a<br />

given evaluation area if the chemical was detected at least once in a specific medium.<br />

Chemicals that were never detected in a specific medium were considered not present<br />

and were removed from the database. For example, if chemical “x” was detected in at<br />

least one sediment/soil sample in the Full Tidal area, then chemical “x” sediment/soil<br />

data from all sampling locations were retained. If chemical “x” was not detected in any<br />

of the surface water sampling locations, then it was assumed that chemical “x” was not<br />

present in surface water and all associated data were removed from the database.<br />

• Chemical data for biological media (i.e. tissue) were retained for all sampling locations<br />

If the chemical was detected once within the entire <strong>Lowlands</strong>. Data were not removed<br />

based on detection/non-detection within an evaluation area because tissue data were<br />

used to calculate bioaccumulation factors for the entire <strong>Lowlands</strong>.<br />

ERA REPORT 3-8 SAC/143368(003.DOC)<br />

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SECTION 3: ANALYSIS<br />

• Sediment results for nonpolar organic chemicals were normalized for total organic<br />

carbon (TOC) for use in some of the evaluations conducted as part of the exposure<br />

characterization. The normalized value was calculated by dividing the chemical<br />

concentration by the fraction TOC (e.g., 2 percent TOC is 0.02 as a fraction) for each<br />

sample. These results are included with the other bioassay data transformations on<br />

the CD for Appendix D.<br />

Chemical data meeting the data evaluation requirements were retained for further evaluation<br />

in the ERA. The chemicals detected in each medium are presented in Table 3-1. The analytical<br />

data for soil and sediment were also combined as a single exposure medium because both<br />

media will become sediment under the post-restoration habitat types for the <strong>Lowlands</strong>.<br />

Chemicals were also combined into “totals” for specific groupings. The totals were calculated<br />

from the validated data, using detected values only. Non-detect results were not included in<br />

the total. The chemical groupings and chemicals included in each are listed below:<br />

• Low MW PAHs — anthracene, acenaphthylene, acenaphthene, phenanthrene, fluorene,<br />

naphthalene<br />

• High MW PAHs — benzo(a) anthracene, benzo(a) pyrene, benzo(e) pyrene, benzo(b)<br />

fluoranthene, benzo(k) fluoranthene, benzo(g, h, i) perylene, chrysene, dibenz(a, h)<br />

anthracene, fluoranthene, indeno (1,2,3-cd) pyrene, pyrene<br />

• Total PAHs — low MW PAHs and high MW PAHs<br />

• Total DDT — 4,4’-DDD; 4,4’-DDE; 4,4’-DDT<br />

• Total PCBs — Aroclor 1242, Arochlor 1254, Aroclor 1260<br />

• Total phenols — pentachlorophenol<br />

• Total phthalate esters —bis(2-ethyhexyl)pthalate, butyl benzyl phthalate,<br />

diethylphthalate, dimethylphtalate, di-n-butyl phthalate, di-n-octylphthalate<br />

The data were then summarized by area and are presented in Table 3-2 for sediment/soil,<br />

Table 3-3 for surface water, Table 3-4 for terrestrial plant tissue, Table 3-5 for terrestrial<br />

invertebrate tissue, Table 3-6 for stilt eggs, Table 3-7 for small mammals, Table 3-8 for aquatic<br />

invertebrates, and Table 3-9 for fish. The analyses of tissue data were conducted by taxonomic<br />

group and are presented on the accompanying CD. The summary statistics were completed for<br />

tissue groups (e.g. all terrestrial plants) because they would be used as a group in estimating<br />

exposures. The summaries include number of detects; number of samples; minimum and<br />

maximum reported concentrations; mean, median and 95th percent UCL of the mean; and<br />

the 90th percentile. The raw data (including grain size) are presented in Appendix D.<br />

A brief overview of the data is presented below for each area.<br />

<strong>Bolsa</strong> Bay<br />

Several chemical groups including metals, pesticides, PAHs, and semi-volatiles were<br />

detected at <strong>Bolsa</strong> Bay. Metals were found with a high frequency of detection in<br />

sediment/soil, and fish tissue. In fish tissue, 7 of 11 chemicals had a detection frequency of<br />

100 percent. Of the 15 detected metals in sediment/soil, 7 had a detect frequency of<br />

100 percent. All detected metals in surface water had a sample size of two.<br />

SAC/143368(003.DOC) 3-9 ERA REPORT<br />

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SECTION 3: ANALYSIS<br />

Pesticides were found in sediment/soil, small mammal tissue, aquatic invertebrate tissue,<br />

and fish tissue. Pesticides were detected in sediment/soil with low frequency except for<br />

4’4-DDE, which was detected in 36 of 50 samples. Aquatic invertebrate tissue samples had<br />

highest frequencies of detection in the worm and snail samples. 4,4’-DDD and 4,4’-DDE in<br />

fish tissue were detected in all 14 samples, while dieldrin had detects in 10 of 14 samples.<br />

PAHs were detected in sediment/soil in about half of the samples, and in fish tissue<br />

(approximately 25 percent).<br />

Semi-volatiles were detected in sediment/soil, small mammal tissue, and fish tissue.<br />

Semi-volatiles were detected in sediment/soil about one-half the time. While these chemicals<br />

were found in small mammal tissue, the sample size was only one for all semi-volatiles<br />

except naphthalene, which had a sample size of two. Detects in fish tissue were infrequent.<br />

Full Tidal<br />

The Full Tidal area had various chemicals detected including metals, pesticides, PAHs, and<br />

semi-volatiles. Metals were found in sediment/soil, surface water, stilt egg tissue, terrestrial<br />

plant tissue, small mammal tissue, aquatic invertebrate tissue, and fish tissue. Detection<br />

frequency for metals in sediment/soil was very high. Sample sizes ranged up to 382. While<br />

metals were detected in almost all surface water samples, the sample size was two. Sample<br />

sizes for terrestrial plant tissues was only two and metals were detected in both samples.<br />

Metals detected in stilt eggs were numerous and frequent, as were metals in small mammal<br />

tissue. Aquatic invertebrate tissue samples had detects in almost all samples. Fish tissue<br />

samples had 10 detected metals with 6 of those metals being detected in all samples.<br />

Pesticides were detected in sediment/soil but frequency was low. Dieldrin and endrin were<br />

detected in one of two surface water samples. Some pesticides detected in stilt eggs such as<br />

4’4-DDE, 4’4-DDT, BHC-beta, dieldrin, and endosulfan II had frequencies of detection above<br />

80 percent. Pesticides were detected in small mammal tissue, although sample sizes did not<br />

exceed three. Pesticides detected in aquatic invertebrate tissue samples were infrequent.<br />

Fish tissue had infrequent detects of pesticides with the exception of 4’4-DDD, 4’4-DDE, and<br />

dieldrin which were detected in 9 of 10 samples.<br />

PAHs in sediment/soil were detected in less than 10 percent of samples. PAHs were also<br />

detected in small mammal tissue samples although there was only one sample. Detects of<br />

PAHs in fish tissue were also noted, most with a frequency of detection of 30 percent.<br />

Semi-volatiles were detected in sediment/soil and tissue samples but detection was rare.<br />

Future Full Tidal<br />

Metals, pesticides, PAHs, and semivolatiles were all detected in the Future Full Tidal area.<br />

Metals were detected in sediment/soil at a high frequency. In surface water, several metals<br />

were detected; dissolved copper, lead, and zinc were detected in 100 percent of the samples.<br />

Terrestrial plant tissue, aquatic invertebrate, fish tissue, and stilt egg samples also had high<br />

frequency of metal detects.<br />

Pesticides were detected in sediment/soil, surface water, stilt eggs, small mammal tissue,<br />

aquatic invertebrate tissue, and fish tissue. Sediment/soil samples had very few detects and<br />

large sample sizes, with the exception of 4’4-DDD and 4’4-DDE, which were both detected<br />

ERA REPORT 3-10 SAC/143368(003.DOC)<br />

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SECTION 3: ANALYSIS<br />

in more than one-half the samples. Surface water samples had less than 20 percent detection<br />

frequency for pesticides. Small mammal tissues had various pesticide detects up to<br />

60 percent. Aquatic invertebrate samples had few pesticide detects, with the exception of<br />

4’4-DDD. Fish tissue also had relatively few detects, although 4’4-DDD and 4’4-DDE were<br />

found in all 12 samples.<br />

PAH detects were relatively infrequent and occurred in sediment/soil, small mammal<br />

tissue, worm and fish tissue. Small mammal samples and fish tissue had frequencies of<br />

approximately 50 percent.<br />

Semi-volatiles were occasionally detected in sediment/soil samples although sample sizes<br />

were large and detects were low.<br />

TPH-diesel and waste oil were found in sediment/soil and surface water. Frequency of<br />

detection was greater in surface water.<br />

Garden Grove - Wintersburg Flood Control Channel<br />

Detected chemical groups in the flood-control channel include metals, pesticides, PAHs, and<br />

semi-volatiles. Metals were detected in almost all sediment/soil samples. In surface water,<br />

metals were detected frequently although sample size was small.<br />

Overall, pesticides were detected in less than one-half the sediment/soil samples.<br />

Exceptions include 4’4-DDD and 4’4-DDE, which were detected in 4 of 7 samples.<br />

PAHs, on the other hand, were most often detected in more than one-half of the<br />

sediment/soil samples.<br />

Semi-volatiles were detected often in sediment/soil samples, and most were detected more<br />

than 80 percent of the time.<br />

Gas Plant Pond Area<br />

Detected chemicals include metals, pesticides, PAHs, and semi-volatiles. Several metals<br />

were detected in all sediment/soil samples, while others were detected in only some.<br />

Terrestrial plant, aquatic invertebrate, small mammal, and fish tissue all had small sample<br />

sizes with several metal detects.<br />

Pesticides were detected in sediment/soil, fish, small mammal, and aquatic invertebrate<br />

tissue. All sample types had small sample sizes.<br />

PAHs were detected in sediment/soil samples, but generally occurred in fewer than<br />

10 percent of samples.<br />

Semi-volatiles were rarely detected in sediment/soil samples.<br />

TPH-Diesel and waste oil were the most commonly detected analytes in the Gas Plant Pond<br />

area in sediment/soil and surface water samples.<br />

Muted Tidal Plus Rabbit Island<br />

Samples from the Muted Tidal area were found to contain metals, pesticides, PAHs, and<br />

semi-volatiles. Metals were found in sediment/soil at high frequency. Several metals<br />

occurred in more than 80 percent of samples. Chromium, mercury, selenium, zinc, and<br />

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SECTION 3: ANALYSIS<br />

copper were detected in all five stilt egg samples. Other metals were detected with much<br />

lower frequency. Terrestrial plant tissue also had high metal detect frequencies. Almost all<br />

small mammal tissues had metal detects. Mercury, cobalt, and cadmium were the only<br />

metals not found in every sample. Several metals were detected in aquatic invertebrate<br />

samples, with only a few being detected in less than 50 percent of samples.<br />

Pesticides in sediment/soil were low except for 4’4-DDE and 4’4-DDD. Stilt eggs had a high<br />

number of detects for BHC-beta, dieldrin, 4’4-DDT and 4’4-DDE. Aldrin was also detected<br />

in small mammal tissue in 9 of 12 samples.<br />

PAHs and semi-volatiles were detected in various media, but numbers of detects were low.<br />

Waste oil was found in 54 percent of sediment/soil samples.<br />

Seasonal Ponds<br />

Metals, pesticides, PAHs, and semi-volatiles were all found in the Seasonal Ponds area.<br />

Metals were detected in high numbers in sediment/soil samples. Surface water samples<br />

were found to contain some metals although detection was infrequent in most cases. Copper<br />

and zinc, however, were found in all samples. All metals except nickel were found in all<br />

three stilt egg samples. Terrestrial plant tissue was also found to contain several metals.<br />

While sample size for small mammals is only two, the frequency of detection for metals was<br />

almost always 100 percent.<br />

Pesticide detects were relatively infrequent in the seasonal ponds except for 4’4-DDE in<br />

sediment/soil (25 of 49 samples).<br />

Both PAHs and semi-volatiles were detected, but frequencies were low.<br />

Surface water samples had TPH-diesel and waste oil detects in 100 percent of the samples.<br />

3.1.3 Background Evaluation<br />

An evaluation of inorganic constituents in onsite sediments was conducted for the <strong>Bolsa</strong><br />

<strong>Chica</strong> <strong>Lowlands</strong>. This evaluation was intended to establish the background (ambient) levels<br />

for metals, as described below. Normally, a background evaluation is conducted by a<br />

statistical comparison of the levels of inorganic constituents from samples collected on site<br />

to a body of data representative of local conditions but which are unaffected by site-related<br />

activities (Cal/EPA, 1997). The background values were used in evaluating potential sources<br />

and spatial distribution of COPECs (Section 3.1.4.1) and for developing site-specific sediment<br />

toxicity values using regression analyses (Section 3.2.1.3). They will also be used in the future<br />

to assist in the development of cleanup goals, which will be part of a separate deliverable.<br />

They were not used to screen out chemicals in the COEC selection process. Specifically, all<br />

detected chemicals were taken through the risk screening process to determine COECs.<br />

Chemicals were not excluded from the risk screening based on comparisons to background.<br />

Given the unique ecological and geologic conditions associated with the <strong>Bolsa</strong> <strong>Chica</strong><br />

<strong>Lowlands</strong>, the Technical Committee decided that the background evaluation would be<br />

based entirely upon analysis of sediment samples collected onsite. To complete the<br />

background evaluation for the <strong>Lowlands</strong>, the analytical results from the sediment samples<br />

associated with the ERA Sampling and Analyses (including samples from the proposed<br />

ERA REPORT 3-12 SAC/143368(003.DOC)<br />

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SECTION 3: ANALYSIS<br />

dredge footprint) were grouped together. (The analytical results from the Focused Sampling<br />

and Analyses and the Tetra Tech Phase II sampling were not included in the development<br />

of the background values). Using samples from potentially contaminated areas (i.e., focused<br />

sites) is reasonable because even if the samples have been contaminated with one or more<br />

metals, they may still have background levels for a number of other metals (Cal/EPA, 1997).<br />

The reported analytical values for all samples that were considered as non-detects (i.e., those<br />

results accompanied by the laboratory flag “U” or "UJ") were evaluated at one-half the<br />

reporting limit. All other laboratory results were left unchanged. This transformed data set<br />

was then plotted in a manner similar to the method for displaying analytical data shown in<br />

the Cal/EPA (1997) guidance for evaluating inorganic constituents. The transformed data<br />

were sorted in order of ascending concentration for each metal and plotted against the<br />

cumulative percent of samples. The cumulative percent plots for selected inorganic<br />

constituents are included in Appendix E. Where available, sediment screening benchmark<br />

values (Low and Median Effect Range [ER-L and ER-M] after Long et al., 1995 and other<br />

sources) are also provided on the cumulative percent plots for comparative purposes.<br />

When inorganics are measured for a relatively large number of background or site soils, the<br />

plotted cumulative percent curves describe a distribution of the sample results. When only<br />

a few data points are available, the distributions of inorganic levels are more difficult to<br />

describe and often only the central tendency may be described with confidence. When<br />

large data sets are available, the extremes of distribution are more easily characterized.<br />

Depending on the size of the background sample data set, an upper percentile (e.g., 95th<br />

or 99th) might be considered an appropriate criterion for the upper range of background<br />

conditions (Cal/EPA, 1997).<br />

To estimate the background levels for selected metals, each of the cumulative percent plots<br />

was examined for certain characteristics as described in Appendix E. For most metals, nondetected<br />

sample data were kept within the data sets although these data were represented<br />

as one-half the reporting limit. There were only five metals for which the nondetects<br />

appeared to significantly affect the cumulative distributions (see text below). The estimated<br />

break point between the background and apparently elevated concentrations for the three<br />

sample groups (all sample, surface, and subsurface) of each element, along with the<br />

percentile values and sample size summary, are presented in Table 3-10. Although the<br />

background evaluation results for all three groups are presented, the estimated background<br />

level for each of the selected inorganics was consistently taken from the all sample group.<br />

The percentile values corresponding to the break point values are reported in Table 3-10 but<br />

the percentile values were not used as a selection criterion for the break point.<br />

In addition to the short descriptions of background levels given below for the selected<br />

inorganics, selected cumulative percent plots are also included to illustrate how the<br />

background levels were determined. Figure 3-4 shows the cumulative percent curve for<br />

copper, with an arrow showing the break point for the distribution of sample concentrations<br />

for this constituent. Break points were chosen in a similar manner for the other selected<br />

inorganic constituents where the cumulative percent distribution shows a distinct point<br />

where a marked slope increase was noted.<br />

SAC/143368(003.DOC) 3-13 ERA REPORT<br />

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SECTION 3: ANALYSIS<br />

For five of the selected elements (cadmium, mercury, selenium, silver, and thallium), the<br />

data sets contained a relatively large number of samples that were classified as nondetects<br />

(i.e., flagged with “U” in the analytical database). Even though these nondetect reported<br />

values were divided by 2, the reporting limits were elevated enough so that the sample<br />

entries were still observed as elevated concentrations in the cumulative percent plots (for<br />

examples refer to Figure 3-5a and Figure 3-6a).<br />

In these cases, the cumulative percent plots did not clearly show a single break point<br />

between background and elevated concentrations because the plots show two separate<br />

locations where sample concentrations rise steeply. To clarify the break point between<br />

background and elevated levels for these constituents, the cumulative percent plots were<br />

regenerated with the nondetect entries removed from the data sets. Examples of the<br />

regenerated cumulative percent plots are provided in Figure 3-5b for selenium and<br />

Figure 3-6b for silver, which show a single break point once the nondetect entries are<br />

removed.<br />

Arsenic<br />

Background levels of arsenic in the <strong>Bolsa</strong> <strong>Chica</strong> Lowland sediments are estimated to be<br />

< 11 mg/Kg dw. This value was relatively consistent among surface, subsurface samples,<br />

and the entire sample group. For surface samples, this background level represents the 88th<br />

percentile (i.e., 12 percent of the samples tested had concentrations above this value). This<br />

concentration represented the 95th and 91st percentile for subsurface samples and all<br />

samples, respectively. All three cumulative percent plots for arsenic (surface, subsurface,<br />

and all sample groups) rise in a smooth line to the break points, where the curves become<br />

less smooth as they rise more sharply (Appendix E, Figures E-1 through E-3).<br />

Barium<br />

Background levels of barium in the <strong>Bolsa</strong> <strong>Chica</strong> Lowland sediments are estimated to be<br />

< 110 mg/Kg dw based on the evaluation of the all sample data sets. This value represents<br />

the 89th percentile for the all sample group. When the surface samples were considered<br />

alone, a background level of < 92 mg/Kg dw was estimated (81st percentile level). When<br />

the subsurface samples were considered, a background level of < 75.9 mg/Kg dw was<br />

estimated (86th percentile level). All three cumulative percent plots for barium rise in a<br />

smooth line to the break points, where the curves become less smooth and rise more sharply<br />

(Appendix E, Figures E-4 through E-6).<br />

Beryllium<br />

Background levels of beryllium in the <strong>Bolsa</strong> <strong>Chica</strong> Lowland sediments are estimated to be<br />

< 0.94 mg/Kg dw based on the evaluation of the all sample data set. This value represents<br />

the 91st percentile for the all sample groups. When the surface samples were considered<br />

alone, a background level of < 0.88 mg/Kg dw was estimated (83rd percentile level).<br />

When the subsurface samples were considered alone, a background level of < 0.8 mg/Kg dw<br />

was estimated (95th percentile level). The differences among the surface, subsurface, and all<br />

sample values are probably not significant. All three cumulative percent plots for beryllium<br />

rise in a smooth to slightly stepped line to the break points, where the curves rise more<br />

sharply (Appendix E, Figures E-7 through E-9).<br />

ERA REPORT 3-14 SAC/143368(003.DOC)<br />

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SECTION 3: ANALYSIS<br />

Cadmium<br />

Background levels of cadmium in the <strong>Bolsa</strong> <strong>Chica</strong> Lowland sediments are estimated to be<br />

< 0.66 mg/Kg dw. This value represents the 91st and 95th percentile levels for the all sample<br />

and surface data sets, respectively. This data set had a large number of nondetect values<br />

(i.e., flagged with “U” in the database) that occur at higher concentrations in the data set.<br />

The resulting cumulative percent plots (Appendix E, Figures E-10a, E-11, and E-12) show<br />

a two-stepped curve. There were 368 samples out of the total 581 samples that were nondetects.<br />

The same value (0.66 mg/Kg) was at the 91st percentile level for the all sample data<br />

set when the nondetect values were removed. The resulting cumulative percent plot<br />

(Appendix E, Figure E-10b) shows a smooth curve rising to the break point, where the curve<br />

becomes discontinuous and starts to rise more steeply. A similar value of < 0.65 mg/Kg dw<br />

was estimated from the subsurface sample data set (86th percentile).<br />

Chromium<br />

Background levels of chromium in the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> are estimated to be<br />

< 43 mg/Kg dw. This value represents the 94th and 90th percentile value for the all sample<br />

and surface data sets, respectively. A lower value (< 32 mg/Kg dw) was estimated from the<br />

subsurface sediment samples that represents the 96th percentile value for that data set. All<br />

three cumulative percent plots for chromium rise in a relatively smooth line to the break<br />

points, where the curves become less continuous and begin to rise more sharply<br />

(Appendix E, Figures E-13 through E-15).<br />

Cobalt<br />

The background level of cobalt for the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> was estimated to be<br />

< 10.1 mg/Kg dw. This value represents the 93rd and 94th percentile value for the all<br />

sample and subsurface groups, respectively. A slightly lower value (< 10 mg/Kg dw) was<br />

estimated from the surface sediment data, representing the 91st percentile level. All three<br />

cumulative percent plots for cobalt rise in a relatively smooth line to the break points,<br />

where the curves become less continuous and begin to rise more sharply (Appendix E,<br />

Figures E-16 through E-18).<br />

Copper<br />

Background levels for copper in the <strong>Bolsa</strong> <strong>Chica</strong> Lowland sediments were estimated to be<br />

< 26.1 mg/Kg dw. This value was derived from the all sample data and represented the 91st<br />

percentile level. A slightly higher value was estimated from the surface (< 30 mg/Kg dw)<br />

sediment sample data set (91st percentile). A lower value was estimated from the subsurface<br />

(< 20.6 mg/Kg dw) sediment sample data set (94th percentile). Figure 3-2 shows the<br />

cumulative percent plot for all the copper samples and the break point in the curve where<br />

the upper limit of the background level was estimated. All three cumulative percent plots<br />

for copper rise in a relatively smooth line to the break points, where the curves begin to rise<br />

more sharply (Appendix E, Figures E-19 through E-21).<br />

Lead<br />

Background levels for lead in the <strong>Bolsa</strong> <strong>Chica</strong> Lowland sediments were estimated to be<br />

< 48 mg/Kg dw. This value represents the 95th and 92nd percentile levels for the all sample<br />

and surface data sets, respectively. A lower value of < 17.3 mg/Kg dw was estimated from<br />

SAC/143368(003.DOC) 3-15 ERA REPORT<br />

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SECTION 3: ANALYSIS<br />

the subsurface sediment samples and represents the 97th percentile value. All three<br />

cumulative percent plots for lead rise in a relatively smooth line to the break points, where<br />

the curves become less continuous and begin to rise more sharply (Appendix E, Figures E-22<br />

through E-24).<br />

Mercury<br />

Background levels for mercury in <strong>Bolsa</strong> <strong>Chica</strong> sediments were estimated at < 0.28 mg/Kg dw.<br />

This value represents the 98th percentile for the all sample data set. When only detected<br />

values were considered in the all sample data set, the value represents the 93rd percentile. A<br />

value of < 0.23 mg/Kg dw (96th percentile) was estimated from surface sediment data set and<br />

a value of < 0.15 mg/Kg dw (95th percentile) was estimated from the subsurface sediment<br />

data set. This data set also had a large number of nondetect values with 391 samples out of the<br />

total 581 samples that were flagged as nondetects. The resulting cumulative percent plots<br />

(Appendix E, Figures E-25a, E-26, and E-27) show a two-stepped curve. When only the detect<br />

values were considered, the resulting cumulative percent plot shows a smooth curve to the<br />

break point, where the curve starts to rise more steeply (Appendix E, Figure E-25b).<br />

Nickel<br />

Background levels for nickel in the <strong>Bolsa</strong> <strong>Chica</strong> Lowland sediments were estimated to be<br />

< 30 mg/Kg dw. This value represents the 95th and 93rd percentile levels for the all sample<br />

and surface data sets, respectively. A lower value of < 19.1 mg/Kg dw was estimated from<br />

the subsurface sediment samples and represents the 95th percentile value. All three<br />

cumulative percent plots for nickel rise in a relatively smooth line to the break points, where<br />

the curves become less continuous and begin to rise more sharply (Appendix E, Figures E-28<br />

through E-30).<br />

Selenium<br />

The background levels for selenium in <strong>Bolsa</strong> <strong>Chica</strong> sediments were estimated at<br />

< 0.54 mg/Kg dw. This value represents the 78th and the 96th percentile values for the all<br />

sample and surface data sets, respectively. When the nondetect values are removed, this<br />

value represents the 94th percentile value for the all sample group. The different cumulative<br />

percent plots for the two data sets are presented in Figures 3-5a and 3-5b. The break point<br />

on the cumulative percent plot without nondetects (Figure 3-5b) provides a clearer view of<br />

the change in slope for selenium concentrations. The estimated values for the subsurface<br />

(< 0.49 mg/Kg dw) sediment samples were similar to that estimated from the all sample<br />

and surface sample groups. This data set also had a large number of nondetect values with<br />

368 samples out of the total 580 samples that were flagged as nondetects. The resulting<br />

cumulative percent plots for selenium (Appendix E, Figures E-31a and E-33) show a stepped<br />

curve. The cumulative percent plots for the surface sediments (Figure E-32) and the all<br />

sediment plot with only the detected values (Figure E-31b) show a smooth curve to the<br />

break points, where the curves become discontinuous and rise more steeply.<br />

Silver<br />

The background level for silver in <strong>Bolsa</strong> <strong>Chica</strong> sediments is estimated to be < 0.22 mg/Kg dw.<br />

This value represents the 80th percentile value for the all sample data set. As was done for<br />

selenium, the all sample data set was also plotted without nondetect values in order to more<br />

ERA REPORT 3-16 SAC/143368(003.DOC)<br />

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SECTION 3: ANALYSIS<br />

easily identify the curve break point. In the latter case, the < 0.22 mg/Kg dw value represents<br />

the 86th percentile level. Both cumulative percent plots are provided for comparison (see<br />

Figures 3-6a and 3-6b). A slightly lower background level (< 0.19 mg/Kg dw) was estimated<br />

from the surface sediment data set (97th percentile value). Because there were only 2 samples<br />

out of 264 samples that were actually detects in the subsurface sample group, the background<br />

level was not assessed for this limited data set. The all sample data set had a large number of<br />

nondetect values with 539 samples out of the total 581 samples that were flagged as nondetects.<br />

The cumulative percent plot for silver (Appendix E, Figures E-34a) shows a stepped curve. The<br />

cumulative percent plots for the all sediment group with only the detected values (Figure E-34b)<br />

shows a relatively smooth curve to the break point, where the curve becomes discontinuous and<br />

rises more steeply. The break point on the cumulative percent plot for the surface sediments<br />

(Figure E-35) was found to occur at the end of the first continuous string of actual detected<br />

values, where the curve starts to rise more steeply. Due to the large number of nondetect values<br />

in the subsurface sediments, a break point was not assessed (Figure E-36).<br />

Thallium<br />

The background level for thallium in <strong>Bolsa</strong> <strong>Chica</strong> sediments is estimated to be<br />

< 0.61 mg/Kg dw. This value represents the 81st percentile value for the all sample group and<br />

the 99th percentile when the nondetect values are removed from the data set. Slightly lower<br />

values were estimated from the surface (< 0.52 mg/Kg dw) and subsurface (< 0.44 mg/Kg dw)<br />

sediment data sets. This data set had an elevated number of nondetect values with 159 samples<br />

out of the total 581 samples that were flagged as nondetects. All three cumulative percent<br />

plots for thallium rise in a relatively smooth line to the break points, where the curves begin<br />

to rise more sharply (Appendix E, Figures E-37 through E-39).<br />

Vanadium<br />

The background levels for vanadium in <strong>Bolsa</strong> <strong>Chica</strong> sediments are estimated to be<br />

< 75 mg/Kg dw. This value represents the 91st percentile value for the all sample data set.<br />

A slightly lower value (< 72 mg/Kg dw) was estimated from the surface sediment sample<br />

group that represents the 84th percentile value. A lower level (< 60 mg/Kg dw) was<br />

estimated from the subsurface sample group that represents the 93rd percentile value. All<br />

three cumulative percent plots for vanadium rise in a relatively smooth line to the break<br />

points, where the curves begin to rise more steeply (Appendix E, Figures E-40 through<br />

E-42).<br />

Zinc<br />

The background level for zinc in <strong>Bolsa</strong> <strong>Chica</strong> Lowland sediments is estimated to be<br />

< 103 mg/Kg dw. This value represents the 91st percentile value for the all sample data set.<br />

Lower levels were estimated from the surface (< 92 mg/Kg dw) and the subsurface sample<br />

group (< 89.7 mg/Kg dw) that represent the 81st and 97th percentile values, respectively.<br />

All three cumulative percent plots for zinc rise in a relatively smooth line to the break<br />

points, where the curves become less continuous and begin to rise more steeply<br />

(Appendix E, Figures E-43 through E-45).<br />

SAC/143368(003.DOC) 3-17 ERA REPORT<br />

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SECTION 3: ANALYSIS<br />

3.1.4 Exposure Analysis<br />

The exposure analysis establishes a relationship between stressors at the site (e.g.,<br />

concentrations of COPECs) and the potential ecological receptors. Information used to<br />

establish this link includes site information on sources of stressors, and the spatial<br />

distribution of COPECs across the site, estimates of exposure point concentrations, and<br />

calculations of reasonable maximum daily dosages from chemical accumulation in the food<br />

chain for terrestrial and semi-aquatic birds and terrestrial mammals.<br />

3.1.4.1 Potential Sources and Spatial Distribution of Chemical Stressors<br />

The sources of chemical stressors in the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> were described in<br />

Section 2.1.3, and Section 2.1.4, and will only be summarized here. The <strong>Bolsa</strong> <strong>Chica</strong><br />

<strong>Lowlands</strong> consist of approximately 1,211 acres of terrestrial, wetland, and marine/estuarine<br />

habitats. The watersheds that drain into the site are extensive and highly urbanized. Historic<br />

use of the site and surrounding areas has included livestock grazing, crop farming, oil and<br />

gas production, and recreational. The primary use of the site since the 1940s has been for oil<br />

and gas exploration, production, and processing.<br />

Potential sources of COPECs include agricultural activities, hunting using lead shot, oil and<br />

gas production, and nonpoint source pollution. Farming activities and agricultural runoff<br />

could contain metals, fertilizers, and pesticides. Numerous activities associated with oil and<br />

gas production result in releases of metals, PAHs, and PCBs; stormwater/urban drainage<br />

could contain various chemicals, including metals, pesticides, herbicides, and PAHs.<br />

The <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> have little surface topography other than a network of roads<br />

and levees that divide the site into approximately 60 Cells. Groups of these Cells, based on<br />

habitat and planned restoration, were considered evaluation areas for estimating potential<br />

risks to less mobile ecological receptors during the Risk Characterization.<br />

The GIS database was queried, based on randomly located samples, to determine which<br />

Cells had sample analytical values that exceeded preliminary screening values. These<br />

queries were completed for five different chemical groups including metals, petroleum<br />

hydrocarbons, chlorinated pesticides, PCBs, and phthalates. The preliminary screening level<br />

was based on conservative effect measures including the LC 20 or the ER-L. In addition,<br />

metals were also screened against the estimated background levels. A secondary screening<br />

was also conducted that used a less conservative effect measure (LC 50 or ER-M). The results<br />

of the screening are presented graphically in Figures 3-7 through 3-16.<br />

The GIS database queries showed that random samples from seven Cells did not exceed any<br />

screening level for any analyte. These Cells are the same on each of the Figures 3-7 through<br />

3-16 and include Cell 5, Cell 8, Cell 14, Cell 16, Cell 17, Cell 18, and Cell 59. Random samples<br />

from several of those Cells were taken in the depth interval of 0 to 2 feet below expected<br />

dredge depth. The figures also show that there were no random samples from Cell 23 and<br />

Cell 24 (comprising the location of the former waste handling facility) since this entire area<br />

was considered only for focused sampling.<br />

The results of the preliminary screening generally indicated a large number of Cells where<br />

at least one screening level was exceeded for metals, petroleum hydrocarbons, chlorinated<br />

pesticides, and phthalates. Exceedances of PCBs were far less widespread based on<br />

ERA REPORT 3-18 SAC/143368(003.DOC)<br />

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SECTION 3: ANALYSIS<br />

preliminary screening. As expected, the corresponding number of Cells where the<br />

secondary screening levels (ER-Ms or LC 50 s) were exceeded was much smaller than for the<br />

preliminary screening level. Chemical group-specific discussions are presented below:<br />

Metals<br />

Exceedances of the preliminary screening levels (LC 20 , ER-L, or background levels) were<br />

observed in most Cells within the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong>. Exceedances of the preliminary<br />

screening levels were not observed in the seven Cells listed above or in Cell 6, Cell 37,<br />

Cell 49, Cell 58, or Cell 60 (Figure 3-7).<br />

One or more exceedances of the ER-M for individual metals were observed in only 4 Cells:<br />

Cell 1A, Cell 3, Cell 34, and Cell 35 (Figure 3-8).<br />

Petroleum Hydrocarbons<br />

Exceedances of the preliminary screening levels (LC 20 or ER-L) were observed in most Cells<br />

within the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong>. Exceedances of the preliminary screening levels were not<br />

observed in the seven Cells listed above or in Cell 9, Cell 10, Cell 13, Cell 19, Cell 25, Cell 31,<br />

Cells 38 through 45, Cell 50, Cell 51, Cell 61, Cell 62, or Cell 67 (Figure 3-9).<br />

One or more exceedances of the secondary screening levels (LC 50 ) for petroleum<br />

hydrocarbons were observed in only 6 Cells: Cell 1A, Cell 3, Cell 4, Cell 21, Cell 34, and<br />

Cell 36 (Figure 3-10).<br />

Chlorinated Pesticides<br />

Exceedances of the preliminary screening levels (LC 20 or ER-L) were observed in most Cells<br />

within the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong>. Exceedances of the preliminary screening levels were not<br />

observed in the seven Cells listed above or in Cell 4, Cell 6, Cell 14, Cell 21, Cell 25, Cell 31,<br />

Cell 37, Cell 39, Cell 47, Cell 62, or Cell 67 (Figure 3-11).<br />

One or more exceedances of the secondary screening levels (ER-M) for chlorinated<br />

pesticides were observed in 11 Cells: Cell 1, Cell 15, Cell 26, Cell 30, Cell 32, Cell 35, Cell 42,<br />

Cell 46, Cell 52, Cell 53, and Cell 58 (Figure 3-12).<br />

PCBs<br />

Exceedances of the preliminary screening levels (LC 20 or ER-L) were observed in fewer Cells<br />

within the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> than for other chemical groups. Exceedances of the<br />

preliminary screening levels were observed in 6 Cells: Cell 1A, Cell 26, Cell 34, Cell 36, Cell<br />

47, and Cell 52, as well as Inner <strong>Bolsa</strong> Bay (Figure 3-13).<br />

One or more exceedances of the secondary screening levels (ER-M) for PCBs were observed<br />

in only 2 Cells, Cell 26 and Cell 47 (Figure 3-14).<br />

Phthalates<br />

Exceedances of the preliminary screening levels (LC 20 ) were observed in fewer Cells within<br />

the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> than for other chemical groups except PCBs. Exceedances of the<br />

preliminary screening levels were observed in 15 Cells: Cell 1A, Cell 3, Cell 7, Cell 9, Cell 12,<br />

Cell 21, Cell 26, Cell 32, Cell 34, Cell 36, Cell 42, Cell 45, Cell 48, Cell 49, and Cell 63, as well<br />

as Inner and Outer <strong>Bolsa</strong> Bay (Figure 3-15).<br />

One or more exceedances of the secondary screening levels (LC 50 ) for phthalates were<br />

observed in only 3 Cells: Cell 7, Cell 21 and Cell 36 (Figure 3-16).<br />

SAC/143368(003.DOC) 3-19 ERA REPORT<br />

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SECTION 3: ANALYSIS<br />

3.1.4.2 Exposure Point Concentrations<br />

A conservative approach was used to define the exposure point concentrations for receptors<br />

in the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> due to the future uses of the <strong>Lowlands</strong> as mitigation habitat and<br />

a wildlife refuge. The exposure point concentrations for abiotic media (intake or contact with<br />

sediment/soil, surface water, and pore water) were calculated based on the mobility of the<br />

receptor being evaluated and the availability of data (i.e., were sufficient samples available to<br />

calculate specific statistics?). The exposure point concentrations for biotic exposure media<br />

(i.e., intake of food items) were calculated from data collected over the entire site for each tissue<br />

type. This combination of tissue data was used primarily because the higher trophic level<br />

receptors are not limited to foraging within a single cell and may forage throughout the site.<br />

Abiotic Exposure Media<br />

The exposure point concentrations for abiotic exposure media (sediment/soil and surface<br />

water) that will be used in exposure and risk estimates for terrestrial and aquatic plants and<br />

invertebrates are the maximum detected concentration for each detected chemical in each<br />

evaluation area (e.g., Full-tidal). This value was selected because plants and invertebrates<br />

are either immobile or relatively sedentary receptors, so they do not spatially average their<br />

exposure over the medium in which they reside (Suter et al., 2000).<br />

The exposure point concentrations for fish were selected based on the physical limitations to<br />

their mobility (they are unable to move between cells), and the limited availability of surface<br />

water data. For most analytes and evaluation areas, sample sizes were not greater than<br />

5 samples (Table 3-3) precluding the calculation of a 95-percent UCL. In addition, reference<br />

toxicity values were not available for some chemicals with greater than 5 samples (e.g., TPH<br />

diesel and waste oil). Based on the future uses of the <strong>Lowlands</strong>, the limited mobility of fish<br />

in the <strong>Lowlands</strong>, and the availability of surface water data, the observed maximum<br />

concentrations detected in each evaluation area were selected as the exposure point<br />

concentrations for fish.<br />

The exposure point concentrations for birds and mammals are the 95-percent UCLs of the<br />

arithmetic mean where a 95th UCL could be calculated and it was lower than the maximum<br />

reported concentration. If a 95th UCL could not be calculated or it was greater than the<br />

maximum, the maximum detected concentration was used. Duplicate samples were treated<br />

as unique samples and the maximum detected concentration (regardless of whether the<br />

duplicate or the original sample had the higher value) was used. The exposure point<br />

concentrations for abiotic media (i.e. maximum detected values and 95-percent UCLs) were<br />

presented in Table 3-2 (sediment/soil) and Table 3-3 (surface water).<br />

The use of maximum exposure concentrations was carefully considered along with the less<br />

conservative alternative approach of using the mean or the 95-percent UCL of the mean.<br />

The selected approach is consistent with standard practice. Plants and invertebrates are<br />

immobile or relatively sedentary receptors, so it is not reasonable to assume that they<br />

spatially average their exposure over the medium in which they reside (Suter et al., 2000).<br />

To determine which chemicals at the site may require cleanup, the maximum concentration<br />

is the most appropriate exposure measure. Because this site is intended to serve as<br />

mitigation habitat, and because it will become a wildlife refuge once remediation is<br />

complete, this approach is appropriate.<br />

ERA REPORT 3-20 SAC/143368(003.DOC)<br />

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SECTION 3: ANALYSIS<br />

Biotic Exposure Media<br />

Exposure point concentrations for the biota component of the diets for terrestrial and semiaquatic<br />

birds and terrestrial mammals were calculated based on tissue samples collected<br />

throughout each of the evaluation areas. Tissue concentrations for field-collected terrestrial<br />

plants, terrestrial invertebrates, bird eggs, small mammals, and fish were combined based<br />

on tissue type (e.g., terrestrial plants collected throughout each group of Cells, regardless of<br />

plant species, were grouped together). A 95th percent UCL was then calculated for the<br />

combined tissue group. The tissue concentrations for field-collected aquatic invertebrates<br />

were combined within evaluation area by species. The different species were not combined<br />

because different representative species would not feed on all the aquatic invertebrates<br />

collected. The exposure point concentration for each aquatic invertebrate species was either<br />

the 95 percent UCL or the maximum detected value, following the same rules as were<br />

applied to the other exposure media. The exposure point concentrations were previously<br />

presented in Tables 3-4 through 3-9.<br />

3.1.4.3 Food Chain Uptake Model<br />

Contact with chemical stressors by higher trophic-level receptors (birds and mammals)<br />

must take into account intake of the various dietary items (biota tissue) that may have<br />

accumulated site contaminants, as well as intake of the abiotic media (sediment/soil and<br />

surface water). Food chain exposure estimates were calculated for representative terrestrial<br />

birds, semi-aquatic birds, and terrestrial mammals for the following exposures:<br />

• Belding's savannah sparrow - ingestion of terrestrial plants, terrestrial invertebrates,<br />

sediment/soil, and surface water<br />

• American kestrel - ingestion of terrestrial invertebrates, terrestrial vertebrates (small<br />

mammals and birds), sediment/soil, and surface water<br />

• Black-necked stilt - ingestion of aquatic invertebrates, sediment/soil, and surface water<br />

• Least tern - ingestion of fish, sediment/soil, and surface water<br />

• Black-crowned night-heron - ingestion of aquatic invertebrates, fish, small mammals,<br />

sediment/soil, and surface water<br />

• Western harvest mouse - ingestion of terrestrial plants, terrestrial invertebrates,<br />

invertebrates, sediment/soil, and surface water<br />

• Coyote - ingestion of terrestrial plants, bird eggs, small mammals, sediment/soil, and<br />

surface water<br />

To address this multiple pathway exposure, modeling was required. The necessary input<br />

parameters to the exposure model are outlined below. Exposure estimates for each<br />

representative species were generated based on model assumptions, life history parameters,<br />

and bioaccumulation factors (presented below), and exposure point concentrations<br />

(presented in Section 3.1.4.2).<br />

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SECTION 3: ANALYSIS<br />

Model<br />

The general form of the food chain model used to estimate exposure of birds and mammals<br />

to COPECs in soil-sediment, surface water, and food items is as follows:<br />

Where:<br />

E t = E o + E d + E i<br />

E t = the total chemical exposure experienced by wildlife<br />

E o , E d , and E i =<br />

oral, dermal, and inhalation exposure, respectively<br />

Oral exposure occurs through the consumption of contaminated food, water, or soil-sediment.<br />

Dermal exposure occurs when contaminants are absorbed directly through the skin. Inhalation<br />

exposure occurs when volatile compounds or fine particulates are inhaled into the lungs.<br />

Although methods are available for assessing dermal exposure to humans (U.S. EPA 1992f),<br />

data necessary to estimate dermal exposure are generally not available for wildlife (U.S.<br />

EPA 1993c). Similarly, methods and data necessary to estimate wildlife inhalation exposure<br />

are poorly developed or generally not available (U.S. EPA 1993c). Therefore, for the<br />

purposes of this assessment, both dermal and inhalation exposure were assumed to be<br />

negligible. As a consequence, most exposure must be attributed to the oral exposure<br />

pathway. By replacing E o with a generalized exposure model modified from Suter et al.<br />

(2000), the previous equation was rewritten as follows:<br />

Where:<br />

N<br />

⎡<br />

⎤<br />

[ j s ] ⎢∑<br />

ij i ⎥ + [ j<br />

× ]<br />

Eo<br />

= Soil × P × FIR + B × P × FIR Water WIR<br />

⎣ i=<br />

1<br />

⎦<br />

E o = total oral exposure (mg/Kg/d)<br />

Soil j = concentration of chemical (j) in soil (mg/Kg)<br />

P s = soil ingestion rate as proportion of diet<br />

FIR = species-specific food ingestion rate (kg food/Kg body weight/d)<br />

B ij = concentration of chemical (j) in biota type (i) (mg/Kg)<br />

P i = proportion of biota type (i) in diet<br />

Water j =<br />

concentration of chemical (j) in water (mg/L)<br />

WIR = species-specific water ingestion rate (L/kg body weight/d)<br />

The end product or exposure estimate for external exposures for birds and mammals is a<br />

dosage (amount of chemical per kilogram receptor body weight per day [mg/Kg bw/d])<br />

rather than a media concentration as is the case for the other receptor groups (fish and other<br />

aquatic organisms, terrestrial plants, and terrestrial invertebrates. This is a function of both<br />

the multiple pathway approach as well as the typical methods used in toxicity testing for<br />

birds and mammals. Sample calculations for exposure via food-chain uptake are presented<br />

in Appendix I, along with examples of risk estimation calculations.<br />

ERA REPORT 3-22 SAC/143368(003.DOC)<br />

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SECTION 3: ANALYSIS<br />

Summaries of total (i.e., sum over all pathways) and partial (pathway-specific) exposure<br />

estimates are presented and compared to toxicity values in Section 4.1.<br />

Life History Parameters<br />

The specific life history parameters required to estimate exposure of each receptor to<br />

COPECs include body weight, ingestion rates of food and water, dietary components and<br />

percentage of the overall diet represented by each major food type, and approximate amount<br />

of soil and/or sediment that may be incidentally ingested based on feeding habits. These<br />

parameters were obtained primarily from the literature and are presented in Table 3-11.<br />

Bioaccumulation Factors<br />

A critical component for the estimation of external exposure of birds and mammals is<br />

measurements of concentrations of COPECs in wildlife foods. The most preferred data are<br />

direct measurements of concentrations in samples collected from the field. Available data for<br />

concentrations of COPECs in wildlife foods collected from the <strong>Lowlands</strong> were summarized<br />

in Tables 3-4 through 3-9. Not all food types consumed by the selected avian and mammalian<br />

receptors, nor are all areas within the <strong>Lowlands</strong> represented. To allow estimation of exposure<br />

to COPECs for all receptors and locations within <strong>Bolsa</strong> <strong>Chica</strong>, estimation of concentrations of<br />

COPECs in wildlife foods was necessary. Bioaccumulation factors for each wildlife food type<br />

were developed based on site-specific data. Bioaccumulation factors were calculated where<br />

both abiotic (sediment/soil or water) and biotic (tissue concentrations) were available for<br />

each Cell. The median concentrations of each abiotic and biotic medium (presented in Tables<br />

3-2 through 3-9) were combined within a given Cell and a Cell-specific bioaccumulation<br />

factor (BAF) was calculated using the following equation:<br />

BAF<br />

=<br />

tissue concentration<br />

abiotic medium concentration<br />

( mg / kg)<br />

( mg / kg)<br />

Where:<br />

BAF = chemical-specific bioaccumulation factor for a given receptor group<br />

Tissue concentration = chemical concentrations (mg/Kg) measured in<br />

terrestrial plants, terrestrial invertebrates, aquatic invertebrates, bird eggs, or<br />

small mammals collected from the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong><br />

Abiotic medium concentration = chemical concentrations (mg/Kg) measured<br />

in sediment/soil or surface water collected from the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong><br />

The BAFs for each receptor and chemical were then combined across all Cells and<br />

summarized as shown in Table 3-12 for sediment/soil and in Table 3-13 for surface water.<br />

The 90th percentile BAF for each chemical was then used in the food chain uptake model<br />

when direct measured tissue concentrations were not available for a given food item within<br />

a given evaluation area.<br />

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SECTION 3: ANALYSIS<br />

3.1.5 Exposure Profile<br />

The exposure profile establishes the linkage between stressors and receptors based on<br />

potential exposure under current and future conditions at the site. This linkage was<br />

established through identification of ecological receptors, identification of potential sources<br />

and spatial distribution of COPECs, calculation of exposure point concentrations for various<br />

exposure media and receptors based on the most likely exposure scenario for each species,<br />

and calculation of reasonable maximum daily dosages for chemical intake from abiotic and<br />

biotic sources by terrestrial and semi-aquatic birds and terrestrial mammals.<br />

For the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong>, the potential future exposure conditions may be more<br />

important than the current exposure conditions because the site will be restored to various<br />

upland, wetland, and estuarine/marine habitats that will attract a wide variety of wildlife.<br />

As such, the representative species selected for evaluation were those that currently use the<br />

site and are expected to occur there in the future. These species are summarized below:<br />

• Aquatic and semi-aquatic representative species<br />

− Plants — aquatic grasses and forbs<br />

− Invertebrates — benthic macroinvertebrates<br />

− Fish — mosquitofish, topsmelt, killifish, tilapia<br />

− Birds (semi-aquatic) — black-crowned night-heron, black-necked stilt, and least tern<br />

• Terrestrial/upland representative species<br />

− Plants — terrestrial grasses and forbs<br />

− Invertebrates (terrestrial) — insects and spiders<br />

− Birds (upland) — American kestrel and Belding’s savannah sparrow<br />

− Mammals — western harvest mouse and coyote<br />

The potential exposure pathways for current and future receptors were evaluated as part of<br />

the ecological conceptual site model (see Section 2.5). The representative species and<br />

exposure pathways evaluated in the ERA are based on the use of site-specific (fieldcollected)<br />

abiotic and biotic exposure media. These pathways are listed below:<br />

• Terrestrial plants – direct contact via root uptake from sediment/soil<br />

• Terrestrial invertebrates – direct contact and ingestion of sediment/soil<br />

• Terrestrial and semi-aquatic birds – ingestion of biota, sediment/soil, and surface water<br />

• Terrestrial mammals – ingestion of biota, sediment/soil, and surface water<br />

• Aquatic plants – direct contact and root uptake from sediment/soil and surface water<br />

• Aquatic macroinvertebrates – direct contact and ingestion of sediment/soil<br />

• Fish – direct contact and ingestion of surface water<br />

The primary sources of COPECs include oil and gas production, nonpoint source pollution,<br />

and historic farming and hunting activities on or near the site. Exposure point concentrations<br />

for abiotic (sediment/soil and surface water) and biotic (field-collected plants, invertebrates,<br />

bird eggs, small mammals, and fish) exposure media were calculated based on the most<br />

likely exposure area and pathways for selected representative species. Reasonable maximum<br />

daily dosages (presented in Section 4.1) were calculated for intake of the exposure media<br />

mentioned above by terrestrial and semi-aquatic birds and terrestrial mammals.<br />

ERA REPORT 3-24 SAC/143368(003.DOC)<br />

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SECTION 3: ANALYSIS<br />

This exposure information will be linked to the ecological effects information described in<br />

the next section to estimate potential risks to terrestrial and aquatic receptors in the Risk<br />

Characterization.<br />

3.2 Ecological Effects Characterization<br />

The Ecological Effects Characterization is used to evaluate adverse effects that may result<br />

from varying concentrations of stressors and to link these effects to the assessment<br />

endpoints and ecological conceptual site model.<br />

Effects data that were reviewed and evaluated consisted primarily of site-specific toxicity<br />

and bioaccumulation bioassays for aquatic receptors. In addition, literature and toxicological<br />

reviews were used to supplement the effects data for terrestrial receptors. These effects are<br />

described in the following section and are used to compile a stressor-response profile that is<br />

linked to the exposure profile developed in the previous section to estimate potential risks in<br />

the Risk Characterization (Section 4).<br />

3.2.1 Ecological Response Analysis<br />

To assess the effect of site contaminants on ecological receptors, several toxicity bioassays<br />

and bioaccumulation tests were conducted using environmental media (sediments, pore<br />

water, and surface water) collected from various focused and random sample sites. Bioassay<br />

results were used to calculate no observed effect concentrations (NOEC), lowest observed<br />

effect concentrations (LOEC), effect concentrations for 50 percent of test organisms (EC 50 ),<br />

and lethal concentrations for 50 percent of test organisms (LC 50 ) for chemicals detected in<br />

sediments, pore water, and surface water. These results were further refined by conducting<br />

statistical regression analyses on the sediment and pore water results. Information gathered<br />

on effect levels was compiled into the stressor-response profile description (Section 3.2.2).<br />

3.2.<strong>1.1</strong> Toxicity Bioassays<br />

Toxicity bioassays were conducted to establish site-specific effect levels for sediment, pore<br />

water, and surface water. The intent of the bioassays was to simulate future post-restoration<br />

conditions (e.g., flooding). Some of the tested sediment samples required hydration or<br />

salinity adjustment before bioassays could be conducted. The possibility that hydration or<br />

salinity adjustment of those samples might not accurately reflect the eventual sediment<br />

chemistry or bioavailability was considered. It was estimated that a preliminary test to<br />

experimentally determine the necessary incubation time would require several months,<br />

which were not available because of the time constraints of the project. The approach used<br />

represented the best available option and is presented in Appendix F. In addition,<br />

uncertainties related to the bioassay methodologies are presented in Section 4.2.<br />

Quality control evaluations included mortality in controls, responses of test organisms to<br />

reference toxicants, water quality measurements, and specific issues related to<br />

sample-specific manipulation required for toxicity testing including sample hydration and<br />

salinity adjustment for the bioassays, which are discussed as part of the complete bioassay<br />

report (see Appendix F).<br />

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SECTION 3: ANALYSIS<br />

The toxicity bioassays included the following laboratory tests:<br />

• Sediment – Amphipod (percent survival and reburial), polychaete worm (Nereis viriens)<br />

(survival and bioaccumulation)<br />

• Pore Water – Bivalves (larval development and survival)<br />

• Surface water – Topsmelt (survival and growth), Ceriodaphnia (survival and<br />

reproduction), and Mysidopsis (survival, growth, and fecundity)<br />

Several of the sediment samples arrived at the laboratory in a “dry” state (i.e., there was not<br />

sufficient moisture to conduct the amphipod and polychaete worm toxicity tests or extract<br />

pore waters for the bivalve toxicity tests). In addition, the salinity in approximately half of<br />

the sediment samples was outside the tolerance range of the test organisms. The dry<br />

samples were hydrated and the salinity in either wet or dry samples that was out of range<br />

was adjusted to a range of 26 to 35 parts per thousand (ppt) using the following protocol:<br />

1. Wet Samples<br />

• For Sediment Bioassays<br />

−<br />

Amphipod Toxicity Tests<br />

If salinity was within test range, the sediment was overlain with water of<br />

similar (within 5 ppt) salinity and the test was initiated.<br />

If salinity was out of range, it was adjusted by overlying the sediment with<br />

water of appropriate salinity, and gentle aeration was provided to facilitate<br />

water exchange between the overlying and interstitial environments. If<br />

salinity was very high, initial overlying water was deionized water;<br />

subsequent overlying renewals utilized water of salinity approaching the test<br />

salinity objective (25 ppt). Because of the broad tolerance of the test amphipod<br />

(Eohaustorius estuarius), to low salinity, no test sediment required upward<br />

salinity adjustment.<br />

−<br />

Polychaete Bioaccumulation Exposures<br />

Test sediments were added to the exposure tanks and the flow-through<br />

seawater system was activated. Interstitial water was sampled daily after flow<br />

initiation, and worms were added to the tanks when acceptable salinity was<br />

achieved.<br />

• For Pore Water Bioassays<br />

−<br />

−<br />

If salinity was within test range, the pore water was used as the test media.<br />

If salinity was too high, the pore water was diluted to test range with deionized<br />

water.<br />

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SECTION 3: ANALYSIS<br />

2. For Dry Samples<br />

• Seawater was used to hydrate the sediments during the sediment compositing<br />

process. After an equilibration period of at least ten days, pore water was extracted<br />

and its salinity measured.<br />

−<br />

−<br />

If pore water salinity was within range, sediments and pore waters were used as<br />

test media with no adjustment.<br />

If pore water salinity was out of range, sediments and pore waters were adjusted<br />

as described for wet samples.<br />

Sediments<br />

<strong>Bolsa</strong> <strong>Chica</strong> sediment samples were evaluated for acute toxicity to the marine amphipod,<br />

E. estuarius, using the procedures outlined in ASTM (1990) guidelines. The tests were<br />

conducted by ToxScan, Inc., of Watsonville, California. Test and control sediments were<br />

sieved, and the salinity, pH, dissolved sulfide, and total ammonia were measured on the<br />

sediment sample pore water to ensure that ammonia and sulfide concentrations were below<br />

threshold limits for E. estuarius. This species was chosen as the test organism for this bioassay<br />

because of its euryhaline characteristics, its relative insensitivity to grain size, and its ability<br />

to perform well in a full range of salinities (2 to 34 ppt). It was anticipated that many<br />

sediments tested would be best served if salinity adjustments could be avoided. It should be<br />

noted that several sediments either required hydration (by addition of seawater) or showed<br />

porewater salinities outside the tolerance limits of Eohaustorius. In such cases, salinity<br />

adjustments were performed prior to testing, using ASTM recommendations for guidance.<br />

Five replicates were randomly assigned to 1-liter glass test jars with enough sediment to<br />

form a 2- to 3-centimeter layer on the bottom of each jar. The sediments were aerated using<br />

a pasteur pipet after settling and then covered with water of appropriate salinity. The test<br />

was started by randomly assigning 20 amphipods to each jar.<br />

The test was conducted for 10 days under static conditions with constant illumination and<br />

aeration in a chamber with a static 15° C ambient temperature. Daily measurements of<br />

temperature, pH, and dissolved oxygen were made in each test jar. At the end of the 10-day<br />

exposure period, the contents of each jar were poured through a sieve, and the surviving<br />

amphipods were counted. Survivors were then placed on a clean (home) sediment overlain<br />

by seawater at 15° C, and the number of amphipods that buried themselves within a 2-hour<br />

period was recorded. Pore water ammonia and dissolved sulfide concentrations were<br />

measured in one replicate of each test sediment at test initiation and at test termination.<br />

Reference toxicant bioassays were performed using cadmium chloride with each batch of<br />

test animals to verify the health and relative sensitivity of that test organism population.<br />

The results of the amphipod bioassay testing, summarized in Table 3-14, show that survival<br />

of the E. estuarius test organisms ranged from 0 percent to 98 percent. Among the test<br />

exposures with surviving organisms, the percent reburial ranged from 22 percent to<br />

100 percent. Survival rates were significantly different from controls in 30 out of 51 samples,<br />

whereas the reburial rates differed significantly in only 3 out of 51 tests. However, 5 tests<br />

had no survivors and thus no test organisms to rebury. Further analysis of these bioassay<br />

data is provided in Section 3.2.1.3.<br />

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SECTION 3: ANALYSIS<br />

The chronic toxicity of contaminants from <strong>Bolsa</strong> <strong>Chica</strong> sediments was also evaluated by<br />

ToxScan, Inc., using clam worms, Nereis viriens. Five replicates of each test and control<br />

sediments were randomly assigned to an array of 31-liter, flow-through glass aquaria. After<br />

settling of the sediments, the tanks were attached to the flow-through aerated laboratory<br />

seawater system. The flow was maintained at a rate to allow a 90 percent tank-volume<br />

change every 4 hours, and the interstitial pore water salinity was monitored until it was<br />

compatible with the test organism tolerance.<br />

The test was initiated when 15 worms were added to each test aquarium. Test exposures<br />

were carried out over a 28-day period. Each tank was monitored daily for temperature,<br />

dissolved oxygen, salinity, pH, and any unusual behavior among the test organisms. After<br />

exposure, the contents of each tank were gently rinsed through a screen and the surviving<br />

worms were retrieved and counted.<br />

The results of the sediment toxicity tests using N. viriens did not show any significant<br />

differences in survival from the control sediments (Table 3-14). Chemical concentrations<br />

associated with the NOECs are presented in Appendix G. Further analyses of these bioassay<br />

data are provided in Section 3.2.1.2.<br />

Pore Water<br />

Pore water was extracted from composited sediment samples by centrifugation at 4° C for<br />

30 minutes to generate 4.2 liters of sample. This amount was required to conduct the proposed<br />

chemical and biological analyses. The 4.2-liter amount was attained for all but two samples for<br />

which pore water bioassays were not conducted. Definitive toxicity tests were conducted on<br />

the pore water samples with the bivalve mussel (Mytilus edulis). Mussels were induced to<br />

spawn by thermal stimulation, and the eggs and sperm were collected in separate beakers of<br />

filtered seawater. Fertilization was accomplished by the addition of an appropriate amount<br />

of sperm suspension. After confirming a minimum of 90 percent fertilization, the tests were<br />

initiated when an aliquot of fertilized eggs was pipetted into each test tube that comprised the<br />

four replicates for each sample exposure. Temperature, dissolved oxygen, pH, and salinity<br />

were monitored in “surrogate” containers for each test (concentrations and controls) at the<br />

beginning and end of the test and daily during the 48-hour test exposure period. The mean<br />

number of embryos added to each container was evaluated by counting embryos immediately<br />

after inoculation in separate “surrogate” test tubes.<br />

At the end of the 48-hour exposure period, the contents of each test tube were preserved with<br />

formalin in preparation for microscopic evaluation. After gently mixing the test tube contents,<br />

a 1-mL sample was collected using a pipette and the sample was placed onto a counting slide.<br />

The total number of normal and abnormal larvae was determined based on the presence or<br />

absence of internal tissue inside a complete larval shell. Assuming that abnormal larvae<br />

would not survive, those individuals were counted as mortalities. Percentage survival and<br />

normal development were calculated. Both of these values were corrected for mortality and<br />

normal development associated with the control exposures. Percentage sample associated<br />

with development and survival NOEC, LOEC, EC 50 , and LC 50 were also calculated.<br />

The results of the 45 pore water toxicity tests are summarized in Table 3-14. The maximum<br />

test concentration of these samples ranged from 0.78 percent of sample to 100 percent. NOECs<br />

for larval development and survival ranged from 0.098 percent of sample to 100 percent of<br />

sample. LOECs for larval development and survival ranged from 0.2 percent of sample to<br />

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SECTION 3: ANALYSIS<br />

100 percent of sample. EC 50 s for larval development ranged from 0.2 percent of sample to<br />

100 percent of sample. LC 50 s for survival ranged from 0.17 to 100 percent of sample. However,<br />

many of these were also the maximum sample concentrations tested because of salinity<br />

adjustments to bring the samples into the tolerance range of the test organism. Chemical<br />

concentrations associated with the NOECs, LOECs, EC 50 , LD 50 are presented in Appendix G.<br />

Further analyses of these bioassay data are provided in Section 3.2.2.<br />

Surface Water<br />

<strong>Bolsa</strong> <strong>Chica</strong> surface water samples were evaluated for toxicity to topsmelt, Atherinops affinis,<br />

Ceriodaphnia dubia, and Mysidopsis bahia. The toxicity tests for each species are described<br />

below.<br />

Topsmelt<br />

Toxicity tests with topsmelt followed the procedures outlined in U.S. EPA (1995a)<br />

guidelines. The tests were conducted by CH2M HILL at its Corvallis, Oregon, laboratory.<br />

Chronic toxicity of surface waters was tested by using five or six concentrations ranging<br />

from 1 to 100 percent sample. The tests were started by adding five fish per chamber into<br />

five replicate chambers per concentration used.<br />

Upon arrival at the laboratory, salinity of surface water samples ranged from 23 to 99 ppt.<br />

All samples were adjusted to 30 ppt by the addition of either Tropic Marin® sea salts (to<br />

raise salinity) or distilled water (to lower salinity). The test was conducted for 7 days with<br />

daily renewal of the test solutions. Prior to each solution renewal, pH, dissolved oxygen,<br />

and salinity were measured in each test chamber, and any dead fish were recorded and<br />

removed. In addition to the periodic measurements, temperature was monitored on a<br />

constant basis throughout the 7-day test period. Growth was measured by determining the<br />

dry weight of topsmelt at the conclusion of the chronic definitive tests.<br />

Statistical analyses were used to compare the growth and survival data among each test<br />

concentration and the control solutions. IC 25 values (the percent of sample causing a<br />

25 percent reduction in biological measurement, e.g., growth) were calculated for growth<br />

effects in the chronic tests. The NOEC and the LOEC for survival and growth were also<br />

calculated.<br />

The results of the surface water toxicity tests are summarized in Table 3-14. They show that<br />

the percentage of sample resulting in NOECs for development and survival among the test<br />

samples ranged from 30.3 percent of sample to 100 percent of sample. These were also the<br />

highest concentration of each sample that was tested because of the dilution to adjust<br />

salinity within the tolerance range for the test organism. Because there was no effect in any<br />

of the samples, the LOEC, EC 50 , and LC 50 were greater than the tested concentrations.<br />

Further analyses of these bioassay data are provided in Section 3.2.2. Chemical<br />

concentrations associated with the NOECs, LOECs, EC 50 , and LC 50 are presented in<br />

Appendix G.<br />

Ceriodaphnia dubia<br />

Toxicity tests with Ceriodaphnia were conducted following U.S. EPA (1994e) guidelines for<br />

short-term toxicity tests for freshwater organisms. The tests were conducted by ToxScan,<br />

Inc. in Watsonville, California. Upon receipt at the lab, the stormwater monitoring samples<br />

were tested for electrical conductivity. Of the five surface water samples, two had specific<br />

SAC/143368(003.DOC) 3-29 ERA REPORT<br />

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SECTION 3: ANALYSIS<br />

conductivity within normal range for Ceriodaphnia. The remaining three had conductivity<br />

readings that indicated total dissolved solids would be out of the acceptable range for the<br />

Ceriodaphnia and so these samples were tested using the marine mysid (Mysidopsis bahia) as<br />

described in the next subsection.<br />

The chronic toxicity of the waters was tested using a series of five dilutions ranging from<br />

6.25 to 100 percent site sample. The tests were conducted using 10 test organisms per test<br />

concentration, with only one test organism in each of 10 polystyrene cups for a given test<br />

concentration. The animals were monitored daily for 6 days for survival and reproductive<br />

success. The results of the toxicity tests (Table 3-14) were statistically evaluated against the<br />

control samples. The NOEC for survival and reproduction was 50 percent for both samples,<br />

and the LOEC for survival and reproduction was 100 percent for both samples. The full<br />

bioassay report is presented in Appendix F and chemical concentrations associated with the<br />

NOEC and LOEC values are presented in Appendix G.<br />

Mysidopsis bahia<br />

Toxicity tests with Mysidopsis were conducted following U.S. EPA (1994f) guidelines for<br />

short-term toxicity tests for marine organisms. The tests were conducted by ToxScan, Inc., in<br />

Watsonville, California. As noted above, three of the stormwater monitoring samples had<br />

conductivity readings that indicated that total dissolved solids would be out of the<br />

acceptable range for the Ceriodaphnia, so these samples were tested using the marine mysid<br />

(Mysidopsis bahia).<br />

The sample salinity was adjusted to 25 ppt using Forty Fathoms® Brand Bioassay Grade sea<br />

salt and E-Pure water. The chronic toxicity of the waters was then tested using a series of<br />

5 dilutions ranging from 6.25 to 100 percent site sample. The tests were conducted using<br />

8 replicates for each test concentration with 5 test organisms per replicate. The animals were<br />

monitored daily for 7 days for survival. At the conclusion of the test, each surviving mysid<br />

was microscopically examined to determine its gender, each female was scored for presence<br />

of eggs in the oviduct or brood pouch, and, finally, the dry weight of the surviving mysids in<br />

each replicate was determined. The results of the toxicity tests (Table 3-14) were statistically<br />

evaluated against the control samples. The NOEC for survival, weight, and fecundity was<br />

100 percent in all samples. The LOEC for survival, weight, and fecundity was >100 percent in<br />

all samples. The full bioassay report is presented in Appendix F, and chemical concentrations<br />

associated with the NOEC and LOEC values are presented in Appendix G.<br />

3.2.1.2 Bioaccumulation Tests<br />

The potential for bioaccumulation of contaminants from <strong>Bolsa</strong> <strong>Chica</strong> sediments was<br />

evaluated by ToxScan, Inc., using the clam worm, Nereis viriens; these worms were also<br />

monitored to evaluate survival, as described above. The bioaccumulation tests were<br />

conducted using sediment samples collected from a subset of the sample locations; the tests<br />

evaluated the uptake of contaminants by the worms. The complete report for the<br />

bioaccumulation tests is included in Appendix F.<br />

Although most of the test containers received 15 worms in each test aquarium, 5 percent of<br />

the test containers received 25 worms to provide sufficient tissue for quality assurance<br />

(matrix spike/matrix spike duplicate) during tissue chemical analysis. After the 28-day<br />

exposure period, the contents of each tank were gently rinsed through a screen, and the<br />

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SECTION 3: ANALYSIS<br />

surviving worms were retrieved. These worms were placed in filtered, flowing seawater for<br />

24 hours to evacuate their digestive tract. Immediately after this process, the soft tissues were<br />

frozen and stored at –20°C (+5°C) pending chemical analysis to estimate bioaccumulation.<br />

The results of this testing showed that there was significant (p < 0.05) bioaccumulation for<br />

several inorganic and organic analytes, as follows:<br />

• Of 15 inorganic analytes, 3 metals (beryllium, silver, and thallium) were not detected in<br />

any of the test animal tissues. Significant bioaccumulation was noted for barium, cobalt,<br />

copper, lead, mercury, nickel, selenium, vanadium, and zinc. Although detected in test<br />

organisms, there was no significant bioaccumulation noted for arsenic, cadmium, or<br />

chromium.<br />

• Of 22 pesticides and PCBs, only 5 compounds (endosulfan sulfate, endrin ketone,<br />

toxaphene, Aroclor 1424, and Aroclor 1260) were not detected in any test animal tissues.<br />

Significant bioaccumulation was noted for BHC (beta and gamma), chlordane (alpha,<br />

gamma, and technical), 4,4’-DDD, 4,4’-DDE, dieldrin, and Aroclor 1254. Although<br />

detected in test organisms, there was no significant bioaccumulation noted for aldrin,<br />

BHC (alpha and delta), 4,4’-DDT, endosulfan (I and II), endrin, and endrin aldehyde.<br />

• Of 17 PAHs, only 5 compounds were detected in animal tissues, and all showed<br />

significant bioaccumulation. These were acenapthene, anthracene, chrysene, pyrene, and<br />

fluorene.<br />

3.2.1.3 Dose-Response Evaluation<br />

Simple linear regression analyses were performed to determine which contaminants in<br />

sediment and pore water best explained amphipod and Mytilus toxicity bioassay results.<br />

Contaminant concentration data were matched by sample locations with toxicity bioassay<br />

results for each bioassay replicate (i.e., chemical data from a given sample location were<br />

repeated for each bioassay replicate from that location). Because the Mytilus bioassay was<br />

performed using replicates within a series of pore water dilutions at each sample location,<br />

chemical data were also repeated for each dilution. Concentrations within each dilution<br />

were estimated by multiplying the concentration in undiluted pore water from each location<br />

by the reported dilution rate. All nondetects were excluded from the analyses.<br />

As described above and in Appendix F, it was necessary to adjust sediment and pore water<br />

to facilitate performing bioassays. As a consequence, samples on which bioassays were<br />

performed were catagorized into four groups:<br />

• wet, salinity not adjusted<br />

• wet, salinity adjusted<br />

• dry, salinity not adjusted<br />

• dry, salinity adjusted<br />

Regression analyses were performed on all groups pooled and by individual groups, to<br />

determine if modification of the test media influenced toxicity.<br />

Prior to analyses, sediment and pore water data were screened to remove observations that<br />

could potentially confound the analyses (see Appendix F tables F-1 through F-4). All data<br />

from samples in which survival did not differ significantly from controls were included in<br />

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SECTION 3: ANALYSIS<br />

the regression analyses to show the low end of the dose-response curve (e.g., low<br />

concentration/low response). Sediment data that were from samples in which survivorship<br />

differed significantly from the controls were retained for further screening as follows (note:<br />

all screening values, including those derived from the regression analyses are presented as<br />

part of the effects profile at the end of this section):<br />

1. Chemical concentrations were screened against available ER-Ls. Data below ER-Ls were<br />

excluded from the regression analysis for that chemical because it was considered<br />

unlikely that concentrations lower than the ER-L would cause significant mortality.<br />

Instead, the observed mortality was considered more likely to have been caused by<br />

another chemical present in that sample.<br />

2. If the chemical was an inorganic and ER-Ls were unavailable, then concentrations were<br />

screened against the <strong>Bolsa</strong> <strong>Chica</strong> background values. Data below the upper limit of<br />

background were excluded from the regression analysis because it was considered<br />

unlikely that chemicals at background levels would cause significant mortality. It was<br />

considered more likely that other chemicals in that sample caused the observed<br />

mortality.<br />

3. If a data point was greater than the ER-L, but lower than background, it was excluded<br />

from the regression analysis if mortality in the bioassay was greater than 50 percent.<br />

Although some toxicity could be expected to occur if chemical concentrations exceeded<br />

the ER-L, it was not likely that mortality would exceed 50 percent even if the<br />

background level for that inorganic chemical was elevated within the <strong>Bolsa</strong> <strong>Chica</strong><br />

<strong>Lowlands</strong>.<br />

Pore water data were screened as follows:<br />

1. Chemical concentrations were screened against the California Water Quality Standards<br />

for chronic exposure. Concentrations that were below the chronic CTR were excluded<br />

from the regression analyses because concentrations lower than the chronic standard<br />

should not cause significant toxicity. Instead, it was considered more likely that another<br />

chemical in the water sample caused the observed effects.<br />

2. Chemical concentrations exceeding California Water Quality Standards chronic values<br />

were retained for the regression analyses.<br />

3. If a California Water Quality Standard value was not available for a given chemical, it<br />

was retained for regression analyses.<br />

Five out of the 45 total pore water samples contained ammonia. Of these, three samples<br />

(R11C2-1, R32C2-1, and R38C1-1) were considered to have ammonia concentrations that<br />

would be toxic to test organisms, and two (R3C1-1 and FOSN01-1) were considered to have<br />

ammonia concentrations that would potentially be toxic to test organisms. The presence of<br />

ammonia was not clearly tied to significance vs. controls, so the samples were not removed<br />

from the database. Rather, they were screened on a chemical-specific basis for data<br />

reduction for the regression analysis.<br />

The results of this screening process are presented in Appendix F, Table F-1 for sediment<br />

and Table F-2 for pore water. The regression analyses were then performed on data retained<br />

after the screening process had been completed.<br />

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SECTION 3: ANALYSIS<br />

Amphipod (Eohaustorius estuarius) Regression Analysis<br />

Results of the amphipod toxicity bioassay consisted of counts of individuals surviving and<br />

counts of individuals exhibiting reburial behavior. Regression analyses were not performed<br />

for reburial behavior because few significant effects were observed; in more than 50 samples<br />

for which bioassays were performed, significantly decreased reburial was observed in only<br />

3 (see Appendix F).<br />

Sample sizes within each replicate were constant among replicates (i.e., N=20). Therefore,<br />

regression analyses were performed with the count data as the dependent variable. The<br />

independent variables consisted of concentrations of chemicals in sediment (as mg/Kg or<br />

µg/Kg). (Note: TOC-normalized concentrations of organics were evaluated in initial data<br />

screens. As these data did not improve the predictive quality of the regression analyses,<br />

they were not considered further). Because environmental chemistry data are frequently<br />

log-normally distributed (Burmaster and Hull, 1997), analyses were also performed with<br />

natural-log-transformed concentration data as the independent variable. Simple linear<br />

regression analyses were performed using SAS (1994) PROC REG. All models were<br />

considered significant if p#0.05.<br />

Of 75 compounds detected in sediment samples used for amphipod toxicity bioassays based<br />

on all test media adjustment groups combined, significant linear relationships between<br />

untransformed concentrations and survival were observed for 39 (Table 3-15). This<br />

relationship (e.g., slope) was negative for 38 of the 39 compounds. The amount of variation<br />

(r 2 ) explained by these models ranged from 3.7 percent (e.g., r 2 =0.037; lead) to 99 percent<br />

(e.g., r 2 =0.99; total phenol and PCB-028). Natural-log-transformation of the concentrations<br />

resulted in significant fits for 43 of 75 compounds; 39 of them were negative (Table 3-15).<br />

Among these models, r 2 also ranged from 0.033 (e.g., 4,4’-DDD) to 0.99 (e.g., total phenol<br />

and PCB-028). Comparison of the results obtained based on transformed and untransformed<br />

data indicates that, in general, better model fits (e.g., higher r 2 values) were obtained from<br />

the transformed concentration data; untransformed data produced the best fit for<br />

18 analytes whereas 24 analytes were fit best by transformed data (Table 3-15). If total<br />

sample size among all four test media adjustment groups exceeded 100, further regression<br />

analyses were performed for each group for each analyte. A total of 24 analytes met this<br />

criterion (Table 3-19). Although quality of model fits differed by test media adjustment<br />

group for each analyte , a significant fit was obtained for at least one group within each<br />

analyte. In addition, although a significant model fit had been obtained for all analytes with<br />

n>100 when test media adjustment groups where pooled (Table 3-15), better model fits<br />

(e.g., higher r 2 values) were obtained for at least one test media adjustment group within<br />

each analyte, except for chromium (Table 3-16).<br />

F-tests (Draper and Smith 1981) were performed to compare regression results among the<br />

four test media adjustment groups and among wet/dry sediment or the presence/absence<br />

of salinity adjustment. Differences were considered significant if p#0.05. A summary of the<br />

results is presented in Table 3-17. Significant differences between regression models among<br />

all four test media adjustment groups were observed for 47 of the 75 analytes detected in<br />

sediments used for amphipod bioassays (Table 3-17). In addition, regression models for wet<br />

vs. dry sediment differed significantly for 29 analytes; and 35 analytes differed significantly<br />

by presence/absence of salinity adjustment.<br />

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SECTION 3: ANALYSIS<br />

Scatter plots associated with regression analyses for all chemicals, test media adjustment<br />

groups, and data transformations for amphipods are presented in Appendix H. Additional<br />

plots of exposure response results for selected compounds are presented in Figures 3-17<br />

through 3-29.<br />

Mussel (Mytilus edulis) Regression Analysis<br />

Results of the Mytilus toxicity bioassay consisted of counts of individuals surviving and<br />

counts of individuals displaying abnormal development. Because sample sizes were not<br />

constant among replicates, all Mytilus effects data were expressed as the proportion of<br />

individuals at the start of the bioassay. Proportions were arcsine-square root transformed<br />

(Zar, 1984) prior to analyses to correct for non-normality of proportion data. The<br />

independent variables consisted of untransformed and natural-log-transformed<br />

concentrations of chemicals in pore water (µg/L). Simple linear regression analyses were<br />

performed using SAS (1994) PROC REG. All models were considered significant if p#0.05.<br />

Prior analyses indicated that Mytilus survival was poorly related to chemical concentrations<br />

in pore water, regardless of whether data were untransformed or natural-log transformed.<br />

Significant regression fits were obtained for only 10 of 46 compounds based on<br />

untransformed data and for only 8 of 46 based on transformed data. Values for r 2 were low<br />

for both approaches, ranging from 0.0058 to 0.1 for untransformed data and 0.0053 to<br />

0.33 for transformed data. Due to the low quality of the relationship between Mytilus<br />

survival and pore water concentrations, this analysis was not pursued further.<br />

In contrast to Mytilus survival, the proportion of normal Mytilus was strongly related to<br />

chemical concentrations. Significant model fits were obtained for 37 of 41 chemicals based on<br />

untransformed data and 39 of 41 chemicals for transformed data (Table 3-18). The proportion<br />

of normal Mytilus was negatively related to chemical concentration for all chemicals<br />

evaluated. Among models for untransformed data, r 2 ranged from 0.029 (silver) to 0.84<br />

(aldrin; Table 3-18). For models based on transformed data, r 2 ranged from 0.04 (4,4’-DDD) to<br />

0.83 (4-nitrophenol, chrysene, high molecular weight PAHs, and 4-methylphenol; Table 3-18).<br />

With the exception of eight compounds (aldrin, arsenic, barium, beryllium, chromium,<br />

endrin aldehyde, total phenol, and vanadium), natural-log-transformed data explained more<br />

variability in the proportion of normal Mytilus than did untransformed data (Table 3-18).<br />

Although pore water used for the Mytilus toxicity tests was adjusted in a manner<br />

comparable to the sediment used for the amphipod tests (e.g., derived from wet or dry<br />

sediment, with or without salinity adjustment), because no relationship was found between<br />

sediment concentrations and pore water concentrations (see below), regression models for<br />

the four test media adjustment groups were not developed.<br />

Scatterplots associated with regression analyses for all chemicals and data transformations<br />

for Mytilus are presented in Appendix H. Additional plots of exposure-response results for<br />

selected compounds are presented in Figures 3-30 through 3-38.<br />

Estimated Effect Levels<br />

In addition to determining which compounds best described effects observed in the toxicity<br />

bioassays, regression models were used to estimate concentrations in sediment and pore<br />

water that were associated with 20 and 50 percent lethality (i.e., LC 20 or LC 50 ) or effects (i.e.,<br />

EC 20 or EC 50 ) concentrations. LC and EC values were only calculated for those chemicals<br />

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SECTION 3: ANALYSIS<br />

with samples sizes >15 for amphipods and >40 for Mytilus, for which regression slopes were<br />

negative with significant (i.e., p 0.5)<br />

and the largest sample sizes, followed by LC and EC values based on models with high r 2<br />

and small sample sizes. Moderate uncertainty is associated with LC and EC values based on<br />

models where 0.2< r 2 < 0.5. Due to the small amount of variation they describe, LC and EC<br />

values based on models with r 2 < 0.2, regardless of sample size, are not recommended for<br />

use in remedial decision-making.<br />

The LC and EC values with the least amount of uncertainty were carried forward into the<br />

stressor-response profile and are presented with other selected effects levels in Section 3.2.2.<br />

Although only 20 and 50 percent effects levels were estimated, the simple linear regression<br />

analyses and associated figures may also be used to estimate concentrations associated with<br />

less severe effects on the test organisms. Additional levels (e.g., EC 10 ) also could be<br />

calculated, but time constraints precluded including them in this draft. The chemical data<br />

that had been used for the regression was then screened using as the derived EC 20 s and<br />

EC 50 s and LC 20 s or LC 50 s to determine the final COPECs. The results of the screening are<br />

presented in Table F-3 for sediment and Table F-4 for pore water.<br />

3.2.1.4 Chemical Correlation Evaluation<br />

Additional regression analyses were conducted to evaluate chemical factors that could<br />

potentially affect the cumulative toxicity of COPECs to ecological receptors. These factors,<br />

described in the following subsections, consisted of the following:<br />

• Relationship of COPEC concentrations in pore water to those in sediment<br />

• Co-occurrence of COPECs in sediment<br />

• Principal components analyses in sediment<br />

COPEC Concentration Relationship Between Sediment and Pore Water<br />

For pore water bioassay data to aid in screening potential toxicity from sediments at <strong>Bolsa</strong><br />

<strong>Chica</strong>, the relationship between concentrations of COPECs in sediment to those in pore<br />

water must be known. If pore water concentrations can be estimated based on sediment<br />

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SECTION 3: ANALYSIS<br />

concentrations, potential toxicity that may result following inundation of sediments that are<br />

currently dry may be estimated, and remedial actions to mitigate this toxicity may be<br />

planned.<br />

Simple linear regression analyses of COPEC concentrations in pore water on those in<br />

sediment were performed using SAS (1994) PROC REG. All models were considered<br />

significant if p#0.05. The results of these analyses (scatterplots and associated regression<br />

analyses) for all chemicals and data transformations are presented in Appendix H. Of<br />

70 chemicals considered, significant regressions based on untransformed data were<br />

obtained for only seven chemicals (aldrin, arsenic, beryllium, alpha chlordane, endosulfan<br />

sulfate, mercury, and phenanthrene). The highest r 2 for these chemicals was 0.28. Significant<br />

regression models were obtained for 10 of 70 chemicals (acenaphthene, aldrin, arsenic,<br />

beryllium, alpha chlordane, copper, endosulfan I, endrin aldehyde, total DDT, and thallium)<br />

based on natural-log-transformed data. The highest r 2 from these data was 0.24.<br />

Because significant relationships between concentrations of COPECs in pore water to those<br />

in sediment were observed for few chemicals, and these relationships generally accounted<br />

for less that 25 percent of variation, the pore water bioassay results cannot be used to predict<br />

potential toxicity from pore water associated with the sediments. The pore water bioassays<br />

may, however, be used to evaluate potential toxicity at locations where pore water already<br />

exists.<br />

Correlations Between COPECs in Sediment<br />

Many COPECs have been detected in sediment from throughout the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong><br />

(using the entire ERA Sampling and Analyses dataset). To aid in streamlining future data<br />

collection, correlation analyses were performed among analytes detected in sediment to<br />

determine which chemicals were consistently detected in association with each other.<br />

Analyses for chemicals whose occurrence is highly correlated may be reduced, such that<br />

only those chemicals that are the best indicators are analyzed for.<br />

Correlation analyses were performed using SAS (1994) PROC CORR. The resulting<br />

correlation matrix is presented in Table 3-22.<br />

Principal Components Analyses for COPECs in Sediment<br />

Principal components analyses (PCA), a multivariate statistical technique, is another<br />

approach to reduce the dimensionality (i.e., number of variables) associated with COPECs in<br />

sediment. PCA is a statistical technique that linearly transforms the original numerical<br />

variables to a substantially smaller set of uncorrelated variables that represent most of the<br />

information in the original dataset (Dunteman, 1989). These uncorrelated variables, known as<br />

principal components, are a linear combination of the original variables and are sorted in<br />

decreasing order of the amount of variability in the original dataset they explain. Backcorrelation<br />

of the principal component scores with the original data provides an indication of<br />

which parameters each principal component represents. PCA is generally a data evaluation<br />

method used to explore underlying relationships among variables in a large dataset.<br />

PCA was performed on the sediment data previously used for correlation analyses using<br />

SAS (1994) PROC PRINCOMP. (Note: the complete output from the principal components<br />

analyses is included in Appendix H.) A total of 47 principal components was generated, of<br />

which the first 9 accounted for 79.5 percent of the variance in the sediment data (Table 3-23).<br />

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SECTION 3: ANALYSIS<br />

These nine primary principal components were back-correlated with the original variables<br />

in the dataset (Table 3-24). The first principal component is highly correlated with<br />

petroluem compounds (e.g., PAHs, TPH, waste oil, etc.) and may be interpreted as a<br />

measure of petroleum contamination. The second principal component best correlates to<br />

metals (nickel, vanadium, mercury, zinc, and lead) and total PCBs. The third component is<br />

positively correlated to organochlorines and copper and negatively correlated to petroleum<br />

compounds. Component 4 is negatively correlated to PAHs and positively correlated to<br />

organochlorines and metals (Table 3-24). Component 5 is positively correlated to inorganics<br />

and negatively correlated to organochlorines.<br />

3.2.2 Stressor-Response Profile<br />

The stressor-response profile presents the results of the stressor-response analysis. It results in<br />

a set of reference toxicity values (RTVs) that were then used as the basis for estimating risks to<br />

representative species at the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong>. The RTVs were selected primarily from<br />

the site-specific dose-response information, in addition to other available sources, including<br />

toxicological databases, wildlife toxicological reviews, and scientific literature.<br />

The most conservative of the reliable RTVs generally were used, because of the stated future<br />

land use (mitigation and wildlife refuge). The RTVs were selected according to a specified<br />

hierarchy. This was presented for aquatic organisms (sediment and surface water exposure)<br />

in Sections 2.3.3 and 3.2.2, and for terrestrial organisms in Section 3.2.2. The RTVs included<br />

both acute and chronic effect levels. The selection of RTVs for the various receptor groups is<br />

presented below. In addition, the GIS application and Tables 3-25 to 3-28 identify the RTVs<br />

that were used in the risk calculations. RTVs representing no observed adverse effect levels<br />

(NOAELs), NOECs, lowest observed adverse effect levels (LOAELs), or LOECs are<br />

preferred over those for lethal doses or concentrations (such as LD 50 or LC 50 ).<br />

The RTVs for terrestrial plants and invertebrates exposed to sediment/soil were obtained<br />

from several sources, including wildlife toxicity reviews, literature searches, and toxicity<br />

databases, such as PHYTOTOX and the database compiled by Efroymson et al. (1997a and<br />

1997b). The RTVs are presented in Table 3-25 for terrestrial plants and in Table 3-26 for<br />

terrestrial invertebrates.<br />

The RTVs for birds and mammals exposed to sediment/soil and surface water were<br />

obtained from several sources, including wildlife toxicity reviews, literature searches,<br />

Health Effects Assessment Summary Tables (HEAST), Integrated Risk Information System<br />

(IRIS), and toxicity databases, such as TERRETOX. The most conservative RTVs were<br />

typically selected for terrestrial receptors with the following two additional criteria: Where<br />

possible, a) values that were based on test species most similar to representative <strong>Bolsa</strong> <strong>Chica</strong><br />

species were selected, and b) sources reporting both a NOAEL and a LOAEL were generally<br />

preferred. The RTVs are presented in Table 3-27 for birds and in Table 3-28 for mammals.<br />

The RTVs for aquatic organisms (e.g., benthic macroinvertebrates) exposed to sediment<br />

were obtained from the dose-response regression analyses conducted on the amphipod<br />

survival and reburial bioassays and Nereis bioaccumulation studies described in the<br />

previous section. The ER-L and ER-M values from Long et al. (1995), and Long and Morgan<br />

(1990) where not available in Long et al. (1995), are also included as reference benchmarks.<br />

RTVs obtained from Long and Morgan (1990) include 4,4’-DDD, 4,4’-DDT, chlordane, and<br />

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SECTION 3: ANALYSIS<br />

dieldrin. These values do not have as high a degree of confidence as those obtained from<br />

Long et al., 1995 because of limited sample size. The RTVs for sediment are presented in<br />

Table 3-29.<br />

The RTVs for aquatic organisms (e.g., invertebrates and fish) exposed to surface water were<br />

obtained from the California Water Quality Standards (U.S. EPA, 2000), as well as sitespecific<br />

bioassay using topsmelt, Ceriodaphnia, and Mysidopsis (described in the previous<br />

section). In addition, RTVs for aquatic plants exposed to surface water are presented. The<br />

RTVs for surface water are presented in Table 3-30.<br />

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SECTION 4<br />

Risk Characterization<br />

The Risk Characterization is the final step in the ERA process whereby evidence linking<br />

COPECs to potential adverse ecological effects in the <strong>Lowlands</strong> is evaluated using both<br />

quantitative and qualitative methods. This evaluation is completed through the integration<br />

of information gathered in the Problem formulation with the results of the Analysis – the<br />

Exposure Characterization and the Ecological Effects Characterization – to establish a<br />

“weight-of-evidence” for potential risk. For this ERA, the evidence evaluated consisted of<br />

measured chemical concentrations in abiotic and biotic media, exposure estimates for birds<br />

and mammals, results of site-specific toxicity bioassays and bioaccumulation studies for<br />

aquatic organisms, and toxicity information obtained from the literature. In addition, the<br />

proposed restoration plan for the different evaluation areas in the <strong>Lowlands</strong> was considered<br />

in the overall assessment of risk potential to ecological receptors. The characterization of<br />

risk is accomplished through three interrelated steps: risk estimation, risk description, and<br />

uncertainty analysis. The final product is a listing of COECs for the <strong>Lowlands</strong> that will be<br />

recommended for further evaluation or remedial action.<br />

The identification of COECs through the Risk Characterization process is presented in<br />

Figure 4-1. All COPECs that exceeded any available RTV as well as chemicals that showed<br />

significant bioaccumulation in Nereis clam worms were retained as COECs. The overall risk<br />

posed by a COEC in a given medium and evaluation area was determined based on the<br />

types of RTVs that were exceeded (i.e., no-effect levels vs. low-effect levels and chronic<br />

effect levels vs. acute effect levels). The overall risk categories were defined as follows:<br />

• Unknown – RTVs were not available, so risk could not be quantified.<br />

• None – Exposure does not exceed any of the available RTVs.<br />

• Uncertain – Exposure exceeds a no-effect level, but risk could not be fully quantified<br />

because a low-effect level was not available (Category U).<br />

• Some Possible Risk – Exposure exceeds a no-effect level, but not a chronic low-effect<br />

level (Category C).<br />

• Possible Risk – Exposure exceeds a chronic low-effect level, but not an acute effect level<br />

(Category B).<br />

• Probable Risk – Exposure represents the highest level that could be quantified. Exposure<br />

exceeds an acute effect level or showed significant bioaccumulation in Nereis clam<br />

worms (Category A).<br />

4.1 Risk Estimation<br />

The risk estimation focuses primarily on quantitative methods to evaluate the potential for<br />

risk. For this ERA, these included numerical estimates of risk, or hazard quotients (HQs),<br />

and evaluation of site-specific toxicity bioassays and bioaccumulation studies.<br />

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SECTION 4: RISK CHARACTERIZATION<br />

Hazard quotients were developed for two types of comparisons using the indicated equation:<br />

1. Direct comparisons of measured concentrations to media-based effect concentrations<br />

(RTVs) of COPECs in abiotic media. These comparisons were conducted for terrestrial<br />

plants and invertebrates, aquatic plants and benthic macroinvertebrates, and fish.<br />

⎛ Exposure concentration ( mg / kg or mg / L)<br />

HQ =<br />

⎜<br />

⎝ RTV ( mg / kg or mg / L)<br />

⎞<br />

⎟<br />

⎠<br />

2. Comparisons of estimated exposure dosages via the food chain uptake model to effects<br />

dosages (RTVs). These comparisons were conducted for birds and mammals.<br />

⎛ Exposure dosage ( mg / kgbw / d)<br />

HQ =<br />

⎜<br />

⎝ scaled RTVw ( mg / kgbw / d)<br />

⎞<br />

⎟<br />

⎠<br />

The species scaled RTV (or RTV w ) was developed using allometric body weight scaling<br />

methods presented in Sample, et al. (1996) and Sample and Arenal (1999). The scaling<br />

factors applied were of 1.2 and 0.94 for birds and mammals, respectively (Sample and<br />

Arenal, 1999):<br />

where:<br />

RTV<br />

w<br />

⎛ BWt<br />

⎞<br />

= RTVt<br />

⎜<br />

BW<br />

⎟<br />

⎝ w ⎠<br />

RTV t = the RTV for a test species (Tables 3-27 and 3-28)<br />

BW t and BW w = the body weights (in kg) for the test and wildlife species,<br />

respectively, and<br />

b = the class-specific allometric scaling factor.<br />

As depicted in Figure 4-1, the exposure point concentration for each COPEC was compared<br />

to chronic no-effect levels, chronic low-effect levels, and acute-effect levels (where available)<br />

as RTVs for all effects levels were not identified for all receptor groups. Typically, if chronic<br />

no-effect or low-effect levels were available, then acute-effect levels were not identified. One<br />

exception was the values obtained from the California Water Quality Standards (U.S. EPA,<br />

2000), in which both acute and chronic low-effect levels were reported. In general, RTVs for<br />

terrestrial receptors were limited to chronic no-effect and low-effect levels. RTVs for aquatic<br />

receptors included both chronic and acute effect levels. As described in Section 3.1.4.2, the<br />

exposure point concentrations selected for each receptor group were either the maximum<br />

detected value or the 95 th UCL. For some chemicals, the maximum detected value was less<br />

than ½ the maximum non-detect value and the risks were calculated using the ½ non-detect<br />

value (these are flagged with an asterix in the risk tables 4-1 through 4-4). The risk estimates<br />

for each receptor group are presented in the following subsections for each evaluation area<br />

in the <strong>Lowlands</strong>. As noted earlier (Section 1), the evaluation areas were identified based on<br />

Cells that either currently have or will have similar habitats after the proposed restoration is<br />

completed. These evaluation areas were presented previously, but are listed below for<br />

reference:<br />

1−b<br />

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SECTION 4: RISK CHARACTERIZATION<br />

• <strong>Bolsa</strong> Bay – Inner <strong>Bolsa</strong> Bay (Cell IB) and Outer <strong>Bolsa</strong> Bay (Cell OB)<br />

• Full Tidal – Cells 1, 1A, 3 through 8, 15 through 18, 43, 44, 51, 58, 59, 61, and 62<br />

• Future Full Tidal – Cells 14, 19 through 40, and 63<br />

• Garden Grove – Winterburg Flood Control Channel – Cell 52<br />

• Gas Plant Pond Area – offsite areas downgradient from the former gas plant, south of<br />

Cells 11 and 12<br />

• Muted Tidal plus Rabbit Island – Cells 41, 42, 45 through 50, 53, 55, 60, 66, and 67<br />

• Seasonal Ponds – Cells 2, 9 through 13<br />

The receptors evaluated for terrestrial (e.g., upland) exposures consisted of terrestrial plants<br />

and invertebrates, Belding’s savannah sparrow (or “sparrow”), American kestrel (or<br />

“kestrel”), western harvest mouse (“mouse”), and coyote (“coyote”). Evaluation areas within<br />

the <strong>Lowlands</strong> that were assessed for potential risks to terrestrial receptors included Future<br />

Full Tidal, Gas Plant Pond Area, Muted Tidal plus Rabbit Island, and Seasonal Ponds.<br />

The receptors evaluated for aquatic and semi-aquatic exposures consisted of aquatic plants,<br />

invertebrates, and fish; black-crowned night-heron (or “heron”); black-necked stilt (“stilt”);<br />

and least tern (or “tern”). The evaluation areas within the <strong>Lowlands</strong> that were assessed for<br />

potential risks to aquatic and semi-aquatic receptors included <strong>Bolsa</strong> Bay, Full Tidal, Future<br />

Full Tidal, Garden Grove-Wintersburg Flood Control Channel, Gas Plant Pond Area, Muted<br />

Tidal plus Rabbit Island, and Seasonal Ponds.<br />

4.<strong>1.1</strong> Sediment /Soil – Terrestrial Receptors<br />

Sediment/soil from evaluation areas identified above as terrestrial habitat were evaluated<br />

for potential risks to terrestrial receptors. Risk estimates were calculated for terrestrial plants<br />

and invertebrates, as well as upland birds, and mammals. The results for chemicals with<br />

HQs exceeding 1 are presented in Table 4-1 for plants and invertebrates and in Table 4-2 for<br />

birds and mammals. The HQs for all detected chemicals are presented in Appendix I,<br />

Tables I-1 and I-2.<br />

4.<strong>1.1</strong>.1 Future Full Tidal<br />

Terrestrial Plants<br />

Terrestrial plants were quantitatively evaluated through comparison to RTVs from literature<br />

sources (Table 3-25) as site-specific toxicity values were not derived for terrestrial plants.<br />

Chronic NOECs were only available for a limited number of COPECs, so most of the<br />

comparisons were conducted using chronic LOECs. A summary of HQs exceeding one for<br />

terrestrial plants is presented in Table 4-1. Two chemicals, nickel and selenium, exceeded<br />

chronic NOECs with HQs of 650 and 384, respectively. Comparisons to chronic LOECs<br />

resulted in 17 inorganics and 4 organics posing a possible risk (Category B). The HQs<br />

ranged from 1.9 for 4-nitrophenol to 850 for lead. Of those chemicals exceeding chronic<br />

LOECs, 4 were evaluated using an exposure point concentration that was ½ the reporting<br />

limit for a non-detect.<br />

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SECTION 4: RISK CHARACTERIZATION<br />

Terrestrial Invertebrates<br />

Terrestrial invertebrates were quantitatively evaluated through comparison to RTVs from<br />

literature sources as site-specific toxicity values were not derived (Table 3-26). Similar to<br />

plants, most RTVs available were for chronic LOECs and only a few chronic NOECs were<br />

used. Risk estimates for terrestrial invertebrates (Table 4-1) indicated that cadmium (HQ=19)<br />

and zinc (HQ=116) exceeded chronic NOECs. Chronic LOECs were exceeded by 11 inorganic<br />

and 7 organic chemicals indicating a possible risk (Category B) for these COECs. The HQs<br />

ranged from 1 to 565; vanadium (HQ=565), mercury (HQ=380), and chromium (HQ=313)<br />

had the highest HQs. Of those chemicals exceeding chronic LOECs, 2 were evaluated using<br />

an exposure point concentration that was ½ the reporting limit for a non-detect.<br />

Upland Birds<br />

Birds were evaluated quantitatively through comparison of estimated total daily dosages to<br />

chronic NOAEL and LOAEL RTVs obtained from the literature (Table 3-27). Site-specific<br />

toxicity values and acute toxicity values were not obtained for birds. Two upland bird<br />

species were used for screening at the Future Full Tidal including sparrow and kestrel<br />

(Table 4-2). Sparrows were more sensitive to chemical concentrations (i.e., had a higher HQ)<br />

than kestrels. Six metals exceeded NOAELs and two, lead and zinc, also exceeded LOAELs.<br />

LOAELs were not available for barium, chromium and vanadium so resulting risk to these<br />

chemicals is uncertain (Category U). Some possible risk (Category C) is posed by cobalt for<br />

both receptors and lead and zinc for kestrels because the LOAEL was not exceeded. Lead<br />

and zinc pose a possible risk (Category B) to sparrows because both the NOAEL and<br />

LOAEL were exceeded. NOAEL-based HQs ranged from <strong>1.1</strong> for barium (sparrow) to 13 for<br />

lead (sparrow). LOAEL-based HQs for sparrows were 1.4 for lead and 1.01 for zinc.<br />

Mammals<br />

Mammals were quantitatively evaluated in a similar manner as birds, with the harvest<br />

mouse and the coyote as representative species of mammals using the Future Full Tidal area<br />

(Table 4-2). Inorganics were the only COECs for these receptors. The potential risk was<br />

uncertain (Category U) for cobalt and vanadium because LOAELs were not available. There<br />

is some possible risk (Category C) from exposure to barium and lead because the LOAELs<br />

were not exceeded. The highest NOAEL HQ was 69 for barium (mouse).<br />

4.<strong>1.1</strong>.2 Gas Plant Pond Area<br />

Terrestrial Plants<br />

COPECs detected in the Gas Plant Pond Area that exceeded available chronic NOECs for<br />

terrestrial plants consisted of selenium and nickel with HQs of 11 and 1.7, respectively<br />

(Table 4-1). Chronic LOECs were exceeded by 11 chemicals indicating a possible risk<br />

(Category B). Of these chemicals, arsenic (HQ=41), benzo(g,h,i) perylene (HQ=23), and<br />

benzo(a)pyrene (HQ=21) had the highest HQs. Of those chemicals exceeding chronic<br />

LOECs, 5 were evaluated using an exposure point concentration that was ½ the reporting<br />

limit for a non-detect.<br />

Terrestrial Invertebrates<br />

Available chronic NOECs for terrestrial invertebrates were not exceeded, but arsenic, chromium,<br />

copper, vanadium, and acenaphthene all exceeded chronic LOECs indicating a possible risk to<br />

terrestrial invertebrates from these COECs. HQs ranged from <strong>1.1</strong> to 3.8 (Table 4-1).<br />

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SECTION 4: RISK CHARACTERIZATION<br />

Upland Bird<br />

Evaluations for upland bird receptors (Table 4-2) indicated that there was some possible risk<br />

(Category C) to arsenic, cobalt, lead, and zinc; and uncertain risk (Category U) for<br />

chromium and selenium. Sparrows were more sensitive and had NOAEL HQs ranging from<br />

1.4 (arsenic) to 7.2 (chromium).<br />

Mammals<br />

Evaluations for mammals in the Gas Plant Pond Area (Table 4-2) indicated that arsenic<br />

poses a possible (Category B) risk, and barium, lead, and zinc pose some possible risk<br />

(Category C). Chemicals that exceeded NOAELs, but did not have LOAELs (Category U<br />

risk) included cobalt, selenium, and vanadium. NOAEL HQs were typically higher for the<br />

mouse and ranged from 2.7 (cobalt) to 37 (barium). NOAEL HQs for coyotes ranged from<br />

1.3 (zinc) to 3.5 (barium). In addition to the inorganic COECs, dieldrin also showed some<br />

possible risk to coyotes (HQ=1.9).<br />

4.<strong>1.1</strong>.3 Muted Tidal Plus Rabbit Island<br />

Terrestrial Plants<br />

Evaluations for terrestrial plants (Table 4-1) indicated that both nickel and selenium<br />

exceeded chronic NOECs with HQs of 5 and 8.4, respectively. Chemicals exceeding chronic<br />

LOECs included 14 inorganics and 3 organics with HQs ranging from 1 for cadmium to<br />

480 for lead. These chemicals are considered to pose a possible risk to terrestrial plants<br />

(Category B). Of those chemicals exceeding chronic LOECs, 4 were evaluated using an<br />

exposure point concentration that was ½ the reporting limit for a non-detect.<br />

Terrestrial Invertebrates<br />

Estimates of potential risks to terrestrial invertebrates (Table 4-1) indicated that risk for zinc<br />

was uncertain because it exceeded a chronic NOEC (HQ=1.4), but a LOEC was not available.<br />

Eight other inorganics and 1 organic posed a possible risk based on exceedance of a chronic<br />

LOEC. HQs for these chemicals ranged from 1.3 to 34, with barium (HQ=34) and lead<br />

(HQ=19) showing the greatest potential for risk.<br />

Upland Birds<br />

Evaluations for upland birds showed that lead posed possible risk (Category B) to the<br />

sparrow with a NOAEL HQ of 14 and a LOAEL HQ of 1.4 (Table 4-2). Cobalt and zinc<br />

posed some possible risk to upland birds, and chromium posed an uncertain risk to<br />

sparrows. NOAEL HQs ranged from 1.3 for zinc (kestrel) to 14 for lead (sparrow).<br />

Mammals<br />

Risk estimates for the harvest mouse and the coyote (Table 4-2) indicated that barium and<br />

lead posed some possible risk (Category C) to the mouse with HQs of 20 and 5, respectively.<br />

Barium was the only COEC identified for coyotes. Chemicals with uncertain risk (Category<br />

U) included cobalt and vanadium.<br />

4.<strong>1.1</strong>.4 Seasonal Ponds<br />

Terrestrial Plants<br />

Evaluations for terrestrial plants (Table 4-1) showed that nickel and selenium exceeded chronic<br />

NOECs with HQs of 10 and 11, respectively. Chemicals that exceeded chronic LOECs (possible<br />

risk – Category B) included 12 inorganics and 2 organics. HQs ranged from 2.1 for molybdenum<br />

SAC/143368(004.DOC) 4-5 ERA REPORT<br />

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SECTION 4: RISK CHARACTERIZATION<br />

to 160 for arsenic. Of those chemicals exceeding chronic LOECs, 4 were evaluated using an<br />

exposure point concentration that was ½ the reporting limit for a non-detect.<br />

Terrestrial Invertebrates<br />

Comparisons for terrestrial invertebrates (Table 4-1) show that chronic NOECs were<br />

exceeded by zinc with an HQ of <strong>1.1</strong>, but risk is considered uncertain because a chronic<br />

LOEC was not identified. Chemicals exceeding chronic LOECs consisted of 6 inorganics and<br />

1 organic indicating possible risk (Category B) for these COECs. Those with the highest HQs<br />

included arsenic, barium and chromium, with respective HQs of 5, 45, and 7.8.<br />

Upland Birds<br />

Risk estimates for upland bird species (Table 4-2) indicated that arsenic, cobalt, lead, and<br />

zinc all posed some possible risk to sparrows (Category C). Chromium posed an uncertain<br />

risk (Category U) because a LOAEL was not available). Zinc was the only chemical that<br />

exceeded a NOAEL for kestrels indicating some possible risk (Category C).<br />

Mammals<br />

Risk evaluations for mammals (Table 4-2) indicated that barium and lead posed some<br />

possible risk (Category C) for the mouse and coyote (barium only). Cobalt and vanadium<br />

also posed an uncertain risk (Category U) for the mouse. The NOAEL HQ ranged from<br />

1.2 or lead (mouse) to 52 for barium (mouse). None of the chemicals detected exceeded<br />

available LOAELs.<br />

4.1.2 Sediment/Soil – Aquatic and Semi-Aquatic Receptors<br />

Areas of the <strong>Lowlands</strong> that were evaluated for potential risks to aquatic and semi-aquatic<br />

receptors consisted of <strong>Bolsa</strong> Bay, Full Tidal, Future Full Tidal, Garden Grove-Wintersburg<br />

Flood Control Channel, Gas Plant Pond Area, Muted Tidal plus Rabbit Island, and Seasonal<br />

Ponds. Risk estimates were calculated for aquatic plants, aquatic invertebrates, and semiaquatic<br />

birds (heron, stilt, and tern). The results for chemicals with HQs exceeding 1 are<br />

presented in Table 4-1 for aquatic plants, Table 4-3 for aquatic invertebrates, and Table 4-2<br />

for semi-aquatic birds. The HQs for all detected chemicals are presented in Appendix I,<br />

Tables I-1, I-2, and I-3.<br />

It should be noted that although the sediment bioaccumlation studies using Nereis showed<br />

significantly (P


SECTION 4: RISK CHARACTERIZATION<br />

selenium exceeded both chronic NOECs and chronic LOECs. Chemicals exceeding chronic<br />

LOECs included 10 inorganics and 2 organics. The overall risk for these chemicals is<br />

considered to be possible (Category B). All HQs for excceedances of chronic LOECs were<br />

less than 10. Arsenic (HQ=5.5) and lead (HQ=5.5) had the highest HQs. Of those chemicals<br />

exceeding chronic LOECs, only one was evaluated using an exposure point concentration<br />

that was ½ the reporting limit for a non-detect.<br />

Aquatic Invertebrates<br />

Aquatic invertebrates were evaluated using all levels of RTVs including chronic no-effects<br />

(NOECs), chronic low-effects (ER-L and LC20s), and acute effects (ER-M and LC 50 ).<br />

Chemicals that exceeded at least one effect level are presented in Table 4-3.<br />

Chemicals with the highest level of risk (Category A- probable) exceeded either the ER-M<br />

and/or LC 50 amphipod test values. These included the inorganic chemicals, nickel, selenium,<br />

and thallium (HQs ranging from 1.7 to 2.7). Among the organics, the ER-M was exceeded for<br />

six chemicals: 4,4’-DDD, 4,4’-DDE, chlordane (technical, alpha, and gamma), and total DDT,<br />

with HQs ranging from 1.8 (4,4’-DDD) to 43 (chlordane-technical). The LC 50 was exceeded by<br />

di-n-octylphthalate, TPH diesel, waste oil, and combined TPH diesel plus waste oil. The HQs<br />

for these chemicals ranged from 2.3 (di-n-octylphthalate) to 4.2 (TPH diesel).<br />

Possible risks (Category B) in which the chemical concentration exceeded a chronic loweffect<br />

level (i.e., ER-L or the LC 20 value for amphipod toxicity) were observed for a number<br />

of inorganic and organic parameters, as follows. Inorganics that exceeded the ER-L included<br />

arsenic, cadmium, copper, lead, nickel, and zinc, with HQs ranging from <strong>1.1</strong> to 6.7. Organics<br />

exceeding the ER-L included 4,4’-DDD, 4,4’-DDE, 4,4’-DDT, chlordane (technical, alpha, and<br />

gamma), dieldrin, total DDT, and total PCBs. HQs among this group were generally higher<br />

than for the inorganics (ranging from 1 to 520). Inorganic chemicals exceeding the LC 20<br />

included beryllium, chromium, cobalt, nickel, selenium, thallium, vanadium, and zinc (HQ<br />

ranging from 1.3 to 7.1). Organics exceeding the LC 20 included beno(b)fluoranthene,<br />

di-n-octylphthalate, oil and grease, phenanthrene, TPH diesel, waste oil, combined<br />

TPH diesel plus waste oil, low molecular weight (MW) PAHs, and total PAHs. HQ for<br />

these exceedances ranged from 1 to 51 (TPH diesel).<br />

A small number of chemicals showed some possible risk (Category C) including silver,<br />

anthracene, benzo(a)anthracene, benzo(a)pyrene, chrysene, fluoranthene, pyrene, and high<br />

MW PAHs with HQs ranging from <strong>1.1</strong> to 52 (fluoranthene).<br />

A large number of chemicals resulted in uncertain risks (Category U) because low-effect<br />

levels were not available. HQs for these chemicals ranged from <strong>1.1</strong> to 27. The potential for<br />

risk to these chemicals may be overestimated since they were compared to the Nereis NOEC,<br />

but they did not have a low-effect level available.<br />

Two toxicity bioassays were conducted with sediment collected from <strong>Bolsa</strong> Bay. The tests<br />

were conducted using the marine amphipod (Eohaustorius estuarius). Neither sample was<br />

toxic, and results were not statistically different from controls for survival and reburial.<br />

Two sediment bioaccumulation studies were conducted using the clam worm Nereis viriens.<br />

None of the samples were significantly different from controls for survival, but barium,<br />

nickel, and 4,4’-DDE showed significantly increased levels of bioaccumulation in worms<br />

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SECTION 4: RISK CHARACTERIZATION<br />

tested in sediment collected from Outer <strong>Bolsa</strong> Bay. 4,4’-DDE also showed significantly<br />

increased bioaccumulation in worms tested in Inner <strong>Bolsa</strong> Bay sediments.<br />

Semi-Aquatic Birds<br />

Semi-aquatic birds used to estimate risks included the heron, stilt, and tern (Table 4-2). The<br />

tern was the most sensitive receptor (e.g., highest HQs) followed by the heron and then stilt.<br />

Chemicals that showed the highest risk (Category B) included cobalt and Aroclor 1254 for<br />

the tern; and copper, lead, zinc, and 4,4’-DDE for both heron and tern. NOAEL HQs for<br />

these chemicals ranged from 1.4 for copper (heron) to 91 for zinc (tern). The LOAEL HQs<br />

ranged from <strong>1.1</strong> for copper (heron) to 10 for zinc (tern). Two chemicals, cobalt (heron) and<br />

lead (stilt), showed some possible risk (Category C) since they exceed NOAELs, but not<br />

LOAELs. Several chemicals (including chromium, selenium, vanadium, and dieldrin)<br />

showed uncertain risk since they exceeded a NOAEL, but there was not a LOAEL available<br />

to fully quantify the risks. The NAOEL HQs for these chemicals ranged from 1.0 for<br />

vanadium (heron) to 54 for chromium (tern).<br />

4.1.2.2 Full Tidal<br />

Aquatic Plants<br />

Estimates of potential risk to aquatic plants (Table 4-1) in sediments of the Full Tidal area<br />

indicated that risks are primarily as a result of metals and PAHs. Nickel and selenium<br />

exceeded both chronic RTVs with HQs of 8 and 380, respectively, for chronic NOECs and 3.2<br />

and 127, respectively, for chronic LOECs. There were 16 chemicals that exceeded chronic<br />

LOECs, indicating a possible risk to aquatic plants (Category B). The highest HQs were<br />

observed for barium (HQ=23), benzo(a)pyrene (HQ=18), and benzo(g,h,i)perylene. Of those<br />

chemicals exceeding chronic LOECs, 5 were evaluated using an exposure point<br />

concentration that was ½ the reporting limit for a non-detect.<br />

Aquatic Invertebrates<br />

Evaluations for aquatic invertebrates (Table 4-3) showed that there were 6 inorganic<br />

chemicals and 20 organic chemicals with probable risk (Category A). These chemicals<br />

exceeded acute toxicity levels, as represented in Table 4-3 by the ER-M and LC 50 amphipod<br />

test values. The chemicals that exceeded both the ER-M and LC 50 consisted of nickel,<br />

fluorene, phenanthrene, and low MW PAHs. The HQs resulting from comparisons to LC 50 s<br />

tended to be higher than were observed for comparisons to ER-Ms where both RTVs were<br />

available for the same chemical. Overall, exceedances of ER-Ms resulted in HQs less than 10,<br />

whereas HQs for LC 50 comparisons exceeded 10 for endrin ketone (54), fluorene (143), TPH<br />

diesel (28), waste oil (14), and combined TPH diesel plus waste oil (16).<br />

The low-effect levels (i.e., ER-L or the LC 20 value for amphipod toxicity) were exceeded for a<br />

number of inorganic and organic chemicals. Those which did not have or exceed an acute<br />

effect level (discussed above) were given an overall risk rating of possible risk (Category B).<br />

This included 8 inorganics and 10 organics. The HQs for ER-L and LC 50 exceedances were<br />

less than 10, with the exception of dieldrin with an ER-L HQ of 380.<br />

There was only one chemical, fluoranthene, with some possible risk (Category C) since it<br />

exceeded the NOEC, but not any of the low-effect levels. However, there were 18 chemicals<br />

with uncertain risk (Category U) since they exceeded the Nereis toxicity NOEC, but did not<br />

have a low-effect level available to fully quantify the risk.<br />

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SECTION 4: RISK CHARACTERIZATION<br />

Nine toxicity bioassays were conducted with sediment collected from the Full Tidal area,<br />

primarily in Cells 1, 3, 8, and 51. The tests were conducted using the marine amphipod<br />

(Eohaustorius estuarius) (Table 3-14). Two tests (from Cell 1 and from between Cell 3 and 8)<br />

resulted in significantly reduced survival and reburial. One test (from Cell 3) resulted in<br />

significant reduction in survival, but not reburial.<br />

Seven sediment bioaccumulation tests were conducted using the clam worm Nereis viriens.<br />

None of the samples were significantly different from controls for survival. However,<br />

bioaccumulation for several chemicals was significantly increased including cobalt, nickel, and<br />

vanadium from worms tested in Cell 3 sediments; and lead in worms tested in Cell 8 sediments.<br />

Semi-Aquatic Birds<br />

Risk estimates for semi-aquatic birds indicated that terns were the most sensitive (Table 4-2).<br />

Chemicals with possible risk (Category B) included cobalt, copper, zinc, and 4,4’-DDE for<br />

terns, and zinc for herons. The NOAEL HQs for these chemicals ranged from 1.9 to 86, and<br />

the LOAEL HQs ranged from 1.5 to 9.6 for copper and zinc, respectively. Chemicals with<br />

some possible risk (Category C) included cobalt (heron) and lead (tern and heron).<br />

Uncertain risks were estimated for several chemicals including barium, chromium,<br />

selenium, and dieldrin. NOAEL HQs for these chemicals ranged from 1.0 for barium to<br />

57 for chromium, both for terns.<br />

4.1.2.3 Future Full Tidal<br />

Aquatic Plants<br />

Estimates of potential risk to aquatic plants in sediments of the Future Full Tidal area<br />

indicated that risks are primarily a result of metals and PAHs. A summary of HQs<br />

exceeding one for aquatic plants is presented in Table 4-1. Two chemicals, nickel and<br />

selenium, exceeded chronic NOECs with HQs of 650 and 384, respectively. Comparisons to<br />

chronic LOECs resulted in 17 inorganics and 4 organics posing a possible risk (Category B).<br />

The HQs ranged from 1.9 for 4-nitrophenol to 850 for lead. Of those chemicals exceeding<br />

chronic LOECs, 4 were evaluated using an exposure point concentration that was ½ the<br />

reporting limit for a non-detect.<br />

Aquatic Invertebrates<br />

There were 14 inorganic and 28 organic chemicals with probable risk (Category A)<br />

(Table 4-3). Chemicals that exceeded both the ER-M and LC 50 consisted of chromium, nickel,<br />

zinc, chrysene, fluorene, phenanthrene, and low MW PAHs. Several chemicals had HQ<br />

exceeding 100 for either the ER-M or the LC 50 . Chemicals with HQs greater than 100 from<br />

comparisons to the ER-M included mercury (268) and chlordane – technical (633). Chemicals<br />

with HQs greater than 100 for comparisons to the LC 50 included beryllium (133), cobalt<br />

(181), nickel (224), thallium (276), and vanadium (193).<br />

Chemicals with possible risk (Category B – exceedance of a chronic low-effect level, but not<br />

an acute effect level) included anthracene, benzo(a)anthracene, benzo(a)pyrene,<br />

benzo(b)fluoranthene, fluoranthene, pyrene, and high MW PAHs. The HQs for all these<br />

chemicals were less than 10.<br />

There were no chemicals in Category C (some possible risk), but there were several with<br />

uncertain risk (Category U). These chemicals exceeded the NOEC, but did not have a loweffect<br />

level RTV available. The NOEC HQs for these chemicals ranged from 44 to 1273.<br />

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SECTION 4: RISK CHARACTERIZATION<br />

Several toxicity bioassays were conducted using sediment collected from the Future Full<br />

Tidal area, including Cells 14 and 23 (4 samples); Cell 21 (3 samples); Cells 28, 36, 37, 40, and<br />

63 (1 sample each); Cells 30, 32, 38 (2 samples each). The tests were conducted using the<br />

marine amphipod (Eohaustorius estuarius) (Table 3-14). All samples were significantly<br />

different from controls for survival with the exception of three samples from Cell 14; one<br />

sample from Cells 23, 32, 36, and 38; and two samples from Cell 34. In addition, one sample<br />

from Cell 30 was also significantly different from controls for reburial.<br />

Nine sediment bioaccumulation studies were conducted using the clam worm Nereis viriens.<br />

None of the samples were significantly different from controls for survival, but several<br />

showed significantly increased levels of specific chemicals, as shown below:<br />

• Cell 21- 4,4’-DDD, 4,4’-DDE, acenaphthene, chrysene, and fluorene.<br />

• Cell 23 – 4,4’-DDD and BHC-beta<br />

• Cell 24 – copper and 4,4’-DDD<br />

• Cell 30 – barium, copper, and lead<br />

• Cell 34 – copper<br />

• Cell 38 – copper, mercury, selenium, vanadium, zinc, 4,4’-DDD, and chlordane (alpha-,<br />

gamma-, and technical)<br />

Semi-Aquatic Birds<br />

Risk estimates for semi-aquatic birds (Table 4-2) indicated that herons were more sensitive<br />

than terns in some instances, whereas terns were more sensitive in others. The differences<br />

are accounted for by differences in dietary composition and the concentrations found in<br />

various dietary components. Chemicals that herons showed more sensitivity to included<br />

barium, chromium, cobalt, copper, nickel, and selenium. Terns were more sensitive to<br />

cadmium, lead, mercury, vanadium, zinc, 4,4’-DDD, 4,4’-DDE, dieldrin, and Aroclor 1254.<br />

Chemicals that had possible risks (Category B) included cobalt, copper, lead, zinc, 4,4’-DDE,<br />

and Aroclor 1254. The NAOEL HQs for these chemicals ranged from 1.6 (copper) to 81<br />

(zinc), both for terns. The LOAEL HQs ranged from 1.2 (copper) to 9.0 (zinc) for terns.<br />

Chemicals with some possible risk (Category C) included cadimium (tern), and cobalt and<br />

lead (stilt). Several chemicals had uncertain risks (Category U) including barium, chromium,<br />

mercury, nickel, selenium, vanadium, 4,4-DDD, and dieldrin.<br />

4.1.2.4 Garden Grove-Wintersburg Flood Control Channel<br />

Aquatic Plants<br />

Estimates of potential risk to aquatic plants in sediments (Table 4-1) of the Garden Grove-<br />

Wintersburg Flood Control Channel indicated that risks are primarily due to metals and<br />

PAHs. Nickel and selenium both exceeded chronic NOECs, but only selenium also exceeded<br />

the LOEC indicating possible risk (Category B). Eight additional inorganics and 2 organics<br />

also showed possible risk (Category B) by exceeding chronic LOECs. The highest HQs were<br />

observed for benzo(a)pyrene (HQ=12) and benzo(g,h,i)perylene (HQ=10), both of which<br />

were also evaluated using an exposure point concentration that was ½ the reporting limit<br />

for a non-detect.<br />

ERA REPORT 4-10 SAC/143368(004.DOC)<br />

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SECTION 4: RISK CHARACTERIZATION<br />

Aquatic Invertebrates<br />

Acute effect levels (probable risk – Category A) were exceeded by 2 inorganic and 6 organic<br />

chemicals (Table 4-3). The ER-M was exceeded by 4,4’-DDD, 4,4’-DDE, chlordane (technical),<br />

chlordane-alpha, and total DDT. The HQs for these chemicals ranged from 1.2 to 3.6. The<br />

LC 50 was exceeded by selenium, thallium, and phenanthrene with HQs ranging from 1 to 1.9.<br />

Several chemicals showed possible risk (Category B) including 8 inorganics and 11 organics.<br />

The HQs for all these chemicals are less than 10. Both the ER-L and LC 20 were exceeded by<br />

nickel. Copper, lead, mercury, chlordane-gamma, and dieldrin exceeded the ER-L but not<br />

the LC 20 with HQs ranging from 1.0 (copper) to 60 (dieldrin). Beryllium, cobalt, thallium,<br />

vanadium, zinc, and 10 of the 11 organics exceeded the LC 20 but not the ER-L. HQs among<br />

this group ranged from 1.2 (vanadium) to 11 (for selenium).<br />

Several chemicals had some possible risk (Category C) or uncertain risk (Category U).<br />

Category C chemicals included 3 metals and 5 organics which were all PAHs. The NOEC<br />

HQs for these chemicals ranged from 2.3 (chrysene) to 71 (benzo(a)anthracene. The<br />

Category U chemicals had NOEC HQs ranging from 3.5 (barium) to 100<br />

(indeno(1,2,3-cd)perylene.<br />

Semi-Aquatic Birds<br />

Risk estimates for semi-aquatic birds (Table 4-2) indicated that metals and pesticides pose<br />

the greatest potential for adverse effects. Terns were the most sensitive receptor with the<br />

exception of exposure to barium and cadmium for which the heron was more sensitive. As<br />

noted previously for the Future Full Tidal area, this is due to differences in concentrations of<br />

chemicals present in site-collected biota and the differences in dietary composition between<br />

the two receptors. Chemicals that showed possible risk (Category B) included cobalt,<br />

copper, lead, zinc, 4,4’-DDE, for both herons and terns as well as Aroclor 1254 for terns. The<br />

NOAEL HQs for these chemicals ranged from 1.9 for copper (heron) to 286 for zinc (tern).<br />

The LOAEL HQs ranged from 1.5 for copper (heron) to 858 for 4,4’-DDE (tern). Chemicals<br />

with some possible risk (Category C) included cadmium for heron and tern, and cobalt and<br />

lead for stilt. Several chemicals had uncertain risks (Category U) including barium,<br />

chromium, selenium, vanadium, 4,4’-DDD, and dieldrin. The NOAEL HQs for these<br />

chemicals ranged from 1.2 for chromium (stilt) to 300 for selenium (tern).<br />

4.1.2.5 Gas Plant Pond Area<br />

Aquatic Plants<br />

Estimates of potential risk to aquatic plants in sediments of the Gas Plant Pond Area<br />

indicated that risks are primarily a result of metals and PAHs (Table 4-1). COPECs detected<br />

in the Gas Plant Pond Area that exceeded available chronic NOECs for aquatic plants<br />

consisted of selenium and nickel with HQs of 11 and 1.7, respectively. Chronic LOECs were<br />

exceeded by 11 chemicals indicating a possible risk (Category B). Of these chemicals, arsenic<br />

(41), benzo(g,h,i) perylene (23), and benzo(a)pyrene (21) had the highest HQs. Of those<br />

chemicals exceeding chronic LOECs, 5 were evaluated using an exposure point<br />

concentration that was ½ the reporting limit for a non-detect.<br />

SAC/143368(004.DOC) 4-11 ERA REPORT<br />

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SECTION 4: RISK CHARACTERIZATION<br />

Aquatic Invertebrates<br />

There were 4 inorganic and 14 organic chemicals that showed probable risk (Category A) by<br />

exceeding acute toxicity levels (Table 4-3). Chemicals that exceeded both the ER-M and the<br />

LC 50 included fluorene, phenanthrene, and low MW PAHs. The HQs for these chemicals<br />

ranged from 1.0 (phenanthrene) to 367 (fluorene). The HQs for comparisons to the ER-M<br />

tended to be lower than those for comparisons to the LC 50 . The largest difference occurs<br />

with fluorene, for which the ER-M HQ was 6.7 and the LC 50 HQ was 367. This indicates that<br />

the LC 50 s for some chemicals may be overestimated depending on the availability of data.<br />

The HQs for other chemicals exceeding either the ER-M or the LC 50 were all less than 10.<br />

Possible risk (Category B), whereby the ER-L or the LC 20 value for amphipod toxicity was<br />

exceeded, was observed for 9 inorganic and 5 organic chemicals. Both the ER-L and LC 20<br />

were exceeded by nickel, zinc, and chrysene with HQs all below 2. The HQs for these<br />

chemicals were comparable between the ER-Ls and LC 20 s. Other chemicals exceeding the<br />

ER-L included copper, lead, mercury, silver, 4,4’-DDE, benzo(a)anthracene, and dieldrin<br />

with HQs ranging from <strong>1.1</strong> (silver) to 105 (dieldrin). Other chemicals exceeding the LC 20<br />

consisted of beryllium, cobalt, and benzo(b)fluoranthene with HQs ranging from 1.4 (cobalt)<br />

to 7.1 (benzo[b]fluoranthene).<br />

Some possible risk (Category C) was observed for cadmium, benzo(a)pyrene, fluoranthene,<br />

pyrene, and high MW PAHs. These were all based on exceeding the no-effect level (Nereis<br />

NOEC), but not a low-effect level. The HQs for these chemicals ranged from 2.3 (high MW<br />

PAHs) to 102 (fluoranthene). Similarly, several chemicals (1 inorganic and 8 organics)<br />

showed uncertain risk (Category U) since the Nereis NOEC was the only RTV available.<br />

Three toxicity bioassays were conducted using the marine amphipod (Eohaustorius estuarius)<br />

with sediment collected from the ponds downgradient from the former Gas Plant<br />

(Table 3-14). Two samples were significantly different from controls for survival. None were<br />

significantly different for reburial.<br />

Semi-Aquatic Birds<br />

Risk estimates for semi-aquatic birds indicated that metals and pesticides pose the greatest<br />

potential for adverse effects (Table 4-2). The tern was the most sensitive receptor in most<br />

cases followed by the heron. Herons were more sensitive to arsenic and equally sensitive to<br />

cadmium. The stilt was the least sensitive, with only one exceedance for chromium.<br />

Chemicals with possible risk (Category B) consisted of cobalt, copper, lead, zinc, 4,4’-DDE,<br />

and Aroclor 1254 (heron and tern). The NOAEL HQs for these chemicals ranged from 2.9 for<br />

copper (heron) to 318 for zinc (tern). The LOAEL HQs ranged from <strong>1.1</strong> for Aroclor 1254<br />

(heron) to 184 for 4,4’-DDE (tern). Two chemicals, arsenic (heron) and cadmium (heron and<br />

tern), showed some possible risk (Category C), and several chemicals showed uncertain<br />

risks (Category U). The NOAEL HQs for the Category U chemicals ranged from 1.4 for<br />

chromium (stilt) to 663 for selenium (tern).<br />

4.1.2.6 Muted Tidal plus Rabbit Island<br />

Aquatic Plants<br />

Potential risks to aquatic plants were estimated through comparison to RTVs for terrestrial<br />

plants (Table 4-1). Calculation of HQs indicate that potential risks are primarily as a result of<br />

metals and PAHs. Both nickel and selenium exceeded chronic NOECs for aquatic plants<br />

ERA REPORT 4-12 SAC/143368(004.DOC)<br />

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SECTION 4: RISK CHARACTERIZATION<br />

with HQs of 5 and 8.4, respectively. Chemicals exceeding chronic LOECs included<br />

14 inorganics and 3 organics with HQs ranging from 1 for cadmium to 480 for lead. These<br />

chemicals are considered to pose a possible risk to terrestrial plants (Category B). Of those<br />

chemicals exceeding chronic LOECs, 4 were evaluated using an exposure point<br />

concentration that was ½ the reporting limit for a non-detect.<br />

Aquatic Invertebrates<br />

Evaluation of potential toxicity to aquatic invertebrates (Table 4-3) indicated that 9 inorganic<br />

and 21 organic chemicals had probable (Category A) risk based on exceedance of an acute<br />

RTV (ER-M or LC 50 ). Only two chemicals, nickel and zinc, exceeded both the ER-M and the<br />

LC 50 . The HQs for these were similar between the two RTVs. All HQs for ER-M and LC 50<br />

exceedances were less than 10 with the exception of lead (44), chlordane-technical (18), and<br />

total PCBs (16) for ER-M and endrin aldehyde (14), endrin ketone (200), fluorene (32), TPHdiesel<br />

(17), waste oil (13), and combined TPH-diesel plus waste oil (14 ) for the LC 50 .<br />

Chemicals with possible risk (Category B) included 4 inorganics and 6 organics. Chrysene was<br />

the only chemical that exceeded both the ER-L and LC 20 . Cadmium, mercury, anthracene,<br />

benzo(a)anthracene, and naphthalene exceeded the ER-L but not the LC 20 . HQs among this<br />

group ranged from 1.2 (benzo[a]anthracene) to 4.4 (mercury). Chemicals that exceeded the LC 20 ,<br />

but not he ER-L included beryllium, vanadium, benzo(b)fluoranthene, and total PAHs. HQs<br />

among this group ranged from 2.0 (vanadium) to 13 (benzo[b]fluoranthene).<br />

Some possible risk (Category C) was estimated for silver, benzo(a)pyrene, fluoranthene,<br />

pyrene, and high MW PAHs based on exceedance of the no-effect level (Nereis NOEC) but<br />

not exceeding a low-effect level. The NOEC HQs for these chemicals ranged from 5.8 to 78.<br />

Similarly, there were several chemicals that have uncertain risk (Category U) based on<br />

exceedance of the Nereis NOEC. However, there was no other RTVs available for these<br />

chemicals so the risk estimates may be overestimated.<br />

Two toxicity bioassays were conducted using the marine amphipod (Eohaustorius estuarius)<br />

with sediment collected from the Muted Tidal area (Table 3-14). One sample was significantly<br />

different from controls for survival. Neither was significantly different for reburial.<br />

Two sediment bioaccumulation studies were conducted using the clam worm Nereis viriens.<br />

None of the samples were significantly different from controls for survival, but they were<br />

significantly different for bioaccumulation of nickel in Cell 60, and lead and zinc in Cell 67.<br />

Semi-Aquatic Birds<br />

Risk estimates for semi-aquatic birds indicate that metals and pesticides pose the greatest<br />

potential for adverse effects (Table 4-2). The tern was the most sensitive receptor in all cases.<br />

Chemicals with possible risk (Category B) included cobalt, lead, zinc, and 4,4’-DDE for both<br />

heron and tern); and copper and Aroclor 1254 for tern. The NOAEL HQs for these chemicals<br />

ranged from 3.5 for copper to 273 for lead, both for tern. The LOAEL HQs for these<br />

chemicals ranged from 1.3 for cobalt (heron) to 80 for 4,4’-DDE (tern). Three chemicals<br />

showed some possible risk (Category C), cobalt (stilt), copper (heron), and lead (stilt).<br />

Several chemicals had uncertain risks (Category U) because although they exceeded the<br />

NOAEL, LOAELs were not available. These included barium, chromium, selenium,<br />

vanadium, 4,4’-DDD, 4,4’-DDT, and dieldrin. The NOAEL HQs for these chemicals ranged<br />

from <strong>1.1</strong> for chromium (stilt) to 243 for selenium (tern).<br />

SAC/143368(004.DOC) 4-13 ERA REPORT<br />

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SECTION 4: RISK CHARACTERIZATION<br />

4.1.2.7 Seasonal Ponds<br />

Aquatic Plants<br />

Potential risks to aquatic plants were estimated through comparison to RTVs for terrestrial<br />

plants (Table 4-1). Calculation of HQs indicate that potential risks are primarily as a result of<br />

metals and PAHs. Nickel and selenium exceeded chronic NOECs for aquatic plants with<br />

HQs of 10 and 11, respectively. Chemicals that exceeded chronic LOECs (possible risk –<br />

Category B) included 12 inorganics and 2 organics. HQs ranged from 2.1 for molybdenum<br />

to 160 for arsenic. Of those chemicals exceeding chronic LOECs, 4 were evaluated using an<br />

exposure point concentration that was ½ the reporting limit for a non-detect.<br />

Aquatic Invertebrates<br />

Evaluation of potential toxicity for aquatic invertebrates showed that there was probable<br />

risk (Category A) for 7 inorganic 12 organic chemicals based on exceedance of an acute RTV<br />

(Table 4-3). Nickel and phenanthrene exceeded both the ER-M and LC 50 . For chemicals<br />

exceeding either the ER-M or the LC 50 , all of the HQs were less than 10 with the exception of<br />

phenanthrene which had a LC 50 HQ of 20.<br />

Possible risk (Category B) was observed for 6 inorganic and 10 organic chemicals that<br />

exceeded either the ER-L or the LC 20 . Zinc and chrysene exceeded both the ER-L and LC 20 ,<br />

and the HQs were fairly comparable between the two RTVs. The HQs for comparisons to<br />

the ER-L and LC 20 were all less than 10 with the exception of benzo(b)fluoranthene (11) and<br />

dieldrin (160).<br />

Some possible risk (Category C) was observed for cadmium, pyrene, and high MW PAHs<br />

based on exceedance of a no-effect level, but not a low-effect level. The NOEC HQs for these<br />

chemicals ranged from 4.3 to 32.<br />

Several chemicals had uncertain risk (Category U) because they exceeded the no-effect level,<br />

but did not have a low-effect level. The NOEC HQs for these chemicals ranged from<br />

<strong>1.1</strong> (total phthalate esters) to 710 (phenol). The no-effect level was based on the Nereis NOEC<br />

which has some uncertainty because no toxicity was observed in the bioassays. As such, the<br />

HQs for these chemicals may be overestimated.<br />

Seven toxicity bioassays were conducted using the marine amphipod (Eohaustorius estuarius)<br />

with sediment collected from the Seasonal Ponds (Table 3-14). One sample was tested for<br />

Cells 2 and 12, and five samples were tested from Cell 11. The samples from Cells 2 and 12,<br />

as well as two samples from Cell 11, were significantly different from controls for survival.<br />

None was significantly different for reburial.<br />

Four sediment bioaccumulation studies were conducted using the clam worm Nereis viriens.<br />

None of the samples was significantly different from controls for survival, but the samples<br />

were significantly different for 4,4’-DDE and nickel in sediments tested from Cell 11.<br />

Semi-Aquatic Birds<br />

Risk estimates for semi-aquatic birds indicated that metals and pesticides pose the highest<br />

potential for adverse effects (Table 4-2). Terns were the most sensitive receptor for all<br />

chemicals with the exception of arsenic for which the heron was more sensitive. This was<br />

primarily due to the intake from corixids which accounted for over 90% of the total<br />

exposure. Chemicals that showed possible risk (Category B) included arsenic for heron;<br />

ERA REPORT 4-14 SAC/143368(004.DOC)<br />

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SECTION 4: RISK CHARACTERIZATION<br />

cobalt, copper, lead, zinc, and 4,4’-DDE for both heron and tern; and arochlor 1254 for tern.<br />

The NOAEL HQs for these chemicals ranged from 1.3 for copper (heron) to 220 for zinc<br />

(tern). The LOAEL HQs ranged from 1.0 for copper (heron) to 91 for 4,4’-DDE (tern). Cobalt<br />

and lead showed some possible risk to stilts, but had relatively low HQs. Several chemicals<br />

had uncertain risks (Category U) including barium, chromium, nickel, selenium, vanadium,<br />

4,4’-DDD, and dieldrin. The NOAEL HQs for these chemicals ranged from <strong>1.1</strong> for nickel<br />

(tern) to 350 for selenium (tern).<br />

4.1.3 Surface Water – Aquatic Receptors<br />

Potential risks to aquatic receptors from exposure to surface water were evaluated using<br />

several RTVs (Table 4-4) including California State acute and chronic standards (used for all<br />

receptors - plants, invertebrates, and fish), established benchmarks (plants), and estimated<br />

NOECs and LOECs from the site-specific bioassays conducted using aquatic invertebrates<br />

and fish. In addition, the toxicity of surface waters to aquatic invertebrates and fish was also<br />

measured using bioassays (Table 3-14), and is discussed with the estimated risks for each<br />

area below.<br />

4.1.3.1 <strong>Bolsa</strong> Bay<br />

Aquatic Plants<br />

Risk estimates for aquatic plants showed that only one chemical, dissolved copper, exceeded<br />

any of the RTVs (Table 4-4). However, it showed probable risk (Category A) to plants<br />

because it exceeded the acute California Water Quality Standard (CA-WQS).<br />

Aquatic Invertebrates<br />

Evaluations for aquatic invertebrates (Table 4-4) showed that dissolved copper had probable<br />

risk (Category A) for exceedance of the acute CA-WQS. Four other inorganic and 2 organic<br />

chemicals showed possible risk (Category B) because they exceeded the low-effect level<br />

(Ceriodaphnia LOEC). The HQs for these chemicals ranged from 1.4 (dissolved cadmium) to<br />

32 (sulfate). Chemicals with some possible risk (Category C) exceeded a no-effect level, but<br />

not a low-effect level. The HQs for these chemicals ranged from <strong>1.1</strong> to 1.7.<br />

Fish<br />

Risk estimates for fish (Table 4-4) showed that dissolved copper had probable risk<br />

(Category A), dissolved silver and dissolved zinc had some possible risk (Category C), and<br />

dissolved beryllium and dissolved chromium had uncertain risk (Category U). The HQs for<br />

all of these chemicals were close to 1.<br />

Toxicity bioassays were conducted to evaluate toxicity to topsmelt using surface water<br />

samples from Inner <strong>Bolsa</strong> Bay (Cell IB). The percentage of sample resulting in NOECs for<br />

development, survival, and reproduction was 90.9 percent (the sample was adjusted for<br />

salinity, so could not be tested at full strength). Because no adverse effects were seen in this<br />

sample, the LOEC was greater than 90.9 percent.<br />

4.1.3.2 Full Tidal<br />

Aquatic Plants<br />

Evaluation of potential risk to aquatic plants (Table 4-4) showed that only 4 chemicals were<br />

of concern. Two, dissolved copper and endrin, have probable risk (Category A) to aquatic<br />

SAC/143368(004.DOC) 4-15 ERA REPORT<br />

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SECTION 4: RISK CHARACTERIZATION<br />

plants. Dissolved copper exceeded no-, low-, and acute RTVs with the HQs of 7.8, 2.5, and<br />

1.6 respectively. Endrin had HQs of 23 and 1.5 for the low-effect (chronic CA-WQS) and<br />

acute CA-WQS, respectively. Two chemicals (dissolved nickel and dieldrin) had possible<br />

risk (Category B) for exceeding the chronic CA-WQS.<br />

Aquatic Invertebrates<br />

Potential risks to aquatic invertebrates were probable (Category A) for dissolved copper and<br />

endrin (Table 4-4). Several chemicals showed possible risks (Category B) with LOEC HQs<br />

ranging from <strong>1.1</strong> (dieldrin) to 86 (sulfate).<br />

Fish<br />

Chemicals with probable risk (Category A) consisted of dissolved copper and endrin<br />

(Table 4-4). Chemicals with possible risk were dissolved nickel and dieldrin, with CA-WQS<br />

chronic HQs of 2.9 and 6.8, respectively. Dissolved arsenic, dissolved cadmium, dissolved<br />

lead, and dissolved zinc showed some possible risk with NOEC HQs ranging from 1.0 (zinc)<br />

to 3.3 (cadmium and arsenic).<br />

Toxicity bioassays using topsmelt were conducted on surface water samples collected from<br />

Cells 3 and 17 in the Full Tidal area. Neither sample was toxic to test organisms, but both<br />

were adjusted for salinity and could not be tested at full strength. Percents of sample<br />

resulting in NOECs for development, survival, and reproduction were 30.3 for Cell 3 and<br />

73.2 for Cell 17. These were the highest concentrations of original sample tested. Because no<br />

effects were seen, LOECs were greater than the tested concentrations.<br />

4.1.3.3 Future Full Tidal<br />

Aquatic Plants<br />

Evaluations for aquatic plants (Table 4-4) indicated that copper (total and dissolved) could<br />

have probable risks (Category A) for aquatic plants. The acute HQs were 3.1 and 2.7,<br />

respectively. Chemicals with possible risk (Category B) consisted of arsenic, lead, nickel<br />

(total and dissolved), zinc (total and dissolved), 4,4’-DDT, and dieldrin. The HQs for these<br />

chemicals were less than 10 with the exception of 4,4’-DDT (13) when compared to the<br />

chronic CA-WQS, and copper (15) and dissolved copper (13) when compared to the lowest<br />

chronic value for plants.<br />

Aquatic Invertebrates<br />

Copper (total and dissolved) was the only chemical with probable risk to aquatic<br />

invertebrates (Table 4-4). There were several chemicals with possible risk (Category B). The<br />

LOEC HQs for these chemicals were less than 10 with the exception of arsenic (15), sulfate<br />

(133), TPH-diesel (6,667) and waste oil (3,596).<br />

Toxicity bioassays were conducted on surface waters collected from Cell 38 (Ceriodaphnia),<br />

and Cell 36 (Mysidopsis). Bioassays using Ceriodaphnia were planned for the samples<br />

collected from Cell 36, but given the total dissolved solids (electrical conductivity),<br />

Mysidopsis were used instead. As such, the test waters were adjusted for salinity. Results of<br />

the Ceriodaphnia tests found that samples were slightly toxic to test organisms. The<br />

percentage of sample resulting in NOECs for reproduction, development, and survival was<br />

50 percent and 100 percent for LOECs of reproduction, development, and survival. The EC 50<br />

for reproduction was greater than 50 percent. The LC 50 was 57.4 percent. Mysidopsis<br />

ERA REPORT 4-16 SAC/143368(004.DOC)<br />

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SECTION 4: RISK CHARACTERIZATION<br />

bioassays were not toxic to test organisms at the highest concentration tested, so NOECs<br />

were 100 percent of the sample and the LOECs were greater than 100 percent.<br />

Fish<br />

Copper (total and dissolved) was the only chemical with probable risk to fish (Table 4-4).<br />

Arsenic, lead, nickel, 4,4’-DDT, and dieldrin showed possible risk (Category B). The chronic<br />

CA-WQS HQs for these chemicals were all less than 10 with the exception of 4,4’-DDT (13).<br />

There were also several chemicals with some possible risk (Category C). The NOEC HQs<br />

for these ranged from 1.0 (dissolved lead) to 6.3 (zinc). Chemicals with uncertain risks<br />

(Category U) had fish NOECs less than 10 except for TPH-diesel (1,491) and waste oil (754).<br />

Toxicity bioassays were conducted on surface waters collected from Cell 63 (topsmelt). The<br />

bioassays using topsmelt resulted in no adverse effects on test organisms using 100 percent<br />

sample. The NOEC was then 100 percent of sample and the LOEC was greater than<br />

100 percent.<br />

4.1.3.4 Garden Grove-Wintersburg Flood Control Channel<br />

Aquatic Plants<br />

Estimation of potential risks to aquatic plants showed that copper was the only chemical<br />

that had a probable risk (Category A) with an acute CA-WQS HQ of 3.5 (Table 4-4). Possible<br />

risk (Category B) was indicated for dissolved copper, nickel, zinc, and dieldrin. Dissolved<br />

copper exceeded both the lowest chronic value for plants and the CA-WQS chronic value<br />

with HQs of 4.7 and 1.5, respectively. Nickel (6.6) and dieldrin (52) also exceeded the CA-<br />

WQS chronic level, but not the plant lowest chronic value. Zinc exceeded the plant lowest<br />

chronic value, but not the CA-WQS chronic value.<br />

Aquatic Invertebrates<br />

Copper was the only chemical with probable risk to aquatic invertebrates (Table 4-4). There<br />

were several chemicals with possible risk (Category B). The LOEC HQs for these chemicals<br />

were less than 10 with the exception of 4-nitrophenol (23) and dieldrin (52). Arsenic (total<br />

and dissolved), chromium, dissolved cobalt, and zinc all had some possible risk<br />

(Category C). The NOEC HQs for these chemicals range from 1.4 (dissolved arsenic) to<br />

45 (4-nitrophenol).<br />

Toxicity bioassays were conducted with surface water collected from Cell 52. Given the total<br />

dissolved solids (electrical conductivity), Mysidopsis were used instead of Ceriodaphnia. As<br />

such, the test waters were adjusted for salinity. The results indicated that samples were not<br />

toxic to organisms at the highest concentration tested; therefore, the NOEC was 100 percent<br />

of the sample and the LOEC was greater than 100 percent of the sample.<br />

Fish<br />

Risk evaluations for fish indicated that copper was the only chemical with probable risk<br />

(Category A) to fish (Table 4-4). Chemicals with possible risk included dissolved copper,<br />

nickel, and dieldrin. The CA-WQS chronic HQs for these chemicals ranged from<br />

1.5 (dissolved copper) to 52 (dieldrin). Cadmium, lead, and zinc showed some possible<br />

risk (Category C) with fish NOEC HQs ranging from 2.9 to 6.7.<br />

SAC/143368(004.DOC) 4-17 ERA REPORT<br />

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SECTION 4: RISK CHARACTERIZATION<br />

4.1.3.5 Gas Plant Pond Area<br />

Aquatic Plants<br />

Estimates of potential risk to aquatic plants (Table 4-4) indicated that there were no COPECs<br />

that posed a risk to aquatic plants.<br />

Aquatic Invertebrates<br />

Evaluation of potential risk to aquatic invertebrates (Table 4-4) showed that TPH-diesel and<br />

waste oil were the only COPECs that posed a risk. Both of these chemicals pose a possible<br />

(Category B) risk based on exceedance of the LOEC for Ceriodaphnia.<br />

Fish<br />

Evaluation of potential risk to fish (Table 4-4) showed that TPH-diesel and waste oil were<br />

the only COPECs that posed a risk. Both of these chemicals pose an uncertain risk (Category<br />

U) because they exceeded the fish NOEC, but did not have any low-effect levels available.<br />

4.1.3.6 Muted Tidal plus Rabbit Island<br />

Aquatic Plants<br />

Estimates of potential risk to aquatic plants (Table 4-4) indicated that there were no COPECs<br />

that posed a risk to aquatic plants.<br />

Aquatic Invertebrates<br />

Evaluation of potential risk to aquatic invertebrates (Table 4-4) showed that TPH-diesel and<br />

waste oil were the only COPECs that posed a risk. Both of these chemicals pose a possible<br />

(Category B) risk based on exceedance of the LOEC for Ceriodaphnia.<br />

Fish<br />

Evaluation of potential risk to fish (Table 4-4) showed that were no COPECs that posed a<br />

risk to fish.<br />

4.1.3.7 Seasonal Ponds<br />

Aquatic Plants<br />

Estimates of potential risk to aquatic plants (Table 4-4) indicated that dissolved copper and<br />

zinc pose a probable risk (Category A) to aquatic plants. Both exceeded the plant lowest<br />

chronic value as well as the CA-WQS acute value (for which, the HQs were close to 1).<br />

Copper and dissolved zinc pose a possible risk (Category B) with exceedances of the plant<br />

lowest chronic value. The HQs for these chemicals were 1.5 and 2.8, respectively.<br />

Aquatic Invertebrates<br />

Evaluation of potential risk to aquatic invertebrates (Table 4-4) showed that dissolved<br />

copper and zinc have probable risk (Category A). Several chemicals have possible risks<br />

(Category B) to aquatic invertebrates. The LOEC HQs for these range from 1.4 (dissolved<br />

cadmium) to 1,333 ( TPH-diesel).<br />

Toxicity bioassays used surface water collected from Cell 11. Bioassays were conducted<br />

using Ceriodaphnia. The bioassays were slightly toxic to test organisms. The percent of<br />

sample resulting in a NOEC for reproduction, development, and survival was 50 percent<br />

with a LOEC of 100 percent. The EC 50 was greater than 50 percent and the LC 50 was<br />

70.7 percent.<br />

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SECTION 4: RISK CHARACTERIZATION<br />

Fish<br />

Estimates of potential risk to fish (Table 4-4) indicated that dissolved copper and zinc pose a<br />

probable risk (Category A) to fish. Both exceeded the CA-WQS acute value (for which, the<br />

HQs were close to 1), however, zinc did not exceed the fish NOEC derived from toxicity<br />

bioassays. This is most likely due to the fact that there was no toxicity observed in the<br />

bioassay and the zinc concentration was low.<br />

Toxicity bioassays used surface water collected from Cell 11. Bioassays were conducted<br />

using topsmelt. Samples were not toxic to topsmelt at the highest concentration tested.<br />

Accordingly, the NOEC was 100 percent of sample and the LOEC was greater than<br />

100 percent.<br />

4.2 Risk Description<br />

The Risk Description evaluates the different sources of information concerning potential risks<br />

including HQ risk estimates, results of toxicity bioassays, bioaccumulation testing, and any<br />

observed ecological effects at the <strong>Lowlands</strong> to establish a weight-of-evidence for<br />

determination of COECs. The weight-of-evidence for sediment/soil and surface water is<br />

presented by area in the following subsections. The selected COECs are summarized for each<br />

area in Table 4-5 (sediment/soil for terrestrial receptors), Table 4-6 (sediment/soil for aquatic<br />

receptors and semi-aquatic birds), and Table 4-7 (surface water for aquatic receptors). Any<br />

chemical with hazard quotient exceeding 1 was identified as a COEC. In addition, chemicals<br />

showing significant bioaccumulation in Nereis were also retained as COECs.<br />

4.2.1 <strong>Bolsa</strong> Bay<br />

Potential risks were evaluated for aquatic and semi-aquatic receptors in <strong>Bolsa</strong> Bay. All<br />

chemicals with HQs exceeding one were retained as COECs (Tables 4-6 and 4-7). A<br />

summary of the potential for risk is presented below for each exposure medium.<br />

4.2.<strong>1.1</strong> Sediment/Soil<br />

Review of the HQs for aquatic plants indicated that metals and selected PAHs<br />

[benzo(a)pyrene and benzo(g,h,i)perylene] in sediments pose a possible risk (Category B)<br />

COECs with the highest risk potential include arsenic and lead. Evaluation of exposures to<br />

aquatic invertebrates exposed to <strong>Bolsa</strong> Bay sediment samples indicated that selenium,<br />

nickel, and thallium had the highest potential for risks among the inorganics (Category A).<br />

Among the organics, pesticides (4,4’-DDD, 4,4’-DDE, chlordane, and total DDT),<br />

TPH-diesel, and waste oil were associated with the highest potential risks (Category A).<br />

Evaluation of potential risks for semi-aquatic birds indicates that metals and pesticides pose<br />

the highest risks (Category B – possible risk).<br />

4.2.1.2 Surface Water<br />

Chemicals exhibiting the highest HQs and exceeding RTVs for different receptor groups<br />

consisted of metals, diesel, and waste oil. All chemicals with HQs greater than one were<br />

similar in risk level. Copper was the only chemical exceeding acute criteria.<br />

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4.2.2 Full Tidal<br />

Potential risks were evaluated for aquatic and semi-aquatic receptors in the Full Tidal area.<br />

All chemicals with HQs exceeding one were retained as COECs (Tables 4-6 and 4-7). A<br />

summary of the potential for risk is presented below for each exposure medium.<br />

4.2.2.1 Sediment/Soil<br />

Review of the HQs for aquatic plants indicated that metals and selected PAHs in sediments<br />

pose a possible (i.e., both no effect and low effect levels were exceeded). COECs with the<br />

highest risk potential include arsenic, barium, mercury, benzo(a)pyrene and<br />

benzo(g,h,i)perylene.<br />

For aquatic invertebrates, the highest probable risks (Category A) were observed for metals,<br />

pesticides, and PAHs/diesel. The highest HQs were observed for dieldrin, chlordane<br />

(technical, alpha, and gamma), 4,4’-DDD, 4,4’-DDE, and 4,4’-DDT.<br />

Evaluation of potential risks for semi-aquatic birds indicates that metals – cobalt, copper,<br />

zinc - and dieldrin pose possible risks.<br />

4.2.2.2 Surface Water<br />

Chemicals exhibiting the highest HQs and exceeding RTVs for different receptor groups<br />

consisted of metals, pesticides, diesel, and waste oil. Chemicals with the highest HQs<br />

consisted of diesel, chromium, and copper. Copper and endrin were the only chemicals<br />

exceeding acute criteria.<br />

4.2.3 Future Full Tidal<br />

Potential risks were evaluated for terrestrial, aquatic, and semi-aquatic receptors in the<br />

Future Full Tidal area. All chemicals with HQs exceeding one were retained as COECs<br />

(Tables 4-5, 4-6, and 4-7). A summary of the potential for risk is presented below for each<br />

exposure medium.<br />

4.2.3.1 Sediment/Soil -Terrestrial Receptors<br />

Chemicals with possible risks for terrestrial plants in the Future Full Tidal area are metals<br />

and PAHs. Most exceedances had HQs greater than 10. Chemicals with the highest<br />

exceedances consisted of arsenic, barium, chromium, cobalt, copper, lead, mercury, nickel,<br />

selenium, thallium, vanadium, zinc, benzo(a)pyrene, and benzo(g,h,i)perylene.<br />

Chemicals with the highest possible risks to terrestrial invertebrates included barium,<br />

beryllium, chromium, mercury, and vanadium.<br />

Chemicals posing possible risks to upland birds and mammals included several metals.<br />

4.2.3.2 Sediment/Soil – Aquatic Receptors<br />

Chemicals posing possible and probable risks to aquatic plants are those listed above for<br />

terrestrial plants because the two receptor groups were evaluated using the same RTVs.<br />

Estimated risks for aquatic receptors indicated that metals (cadmium, chromium, copper,<br />

lead, mercury nickel, selenium, zinc), and pesticides (4,4,’-DDD, 4,4’-DDE, 4,4’-DDT,<br />

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SECTION 4: RISK CHARACTERIZATION<br />

chlordane – technical, alpha, and gamma, dieldrin) and PAHs (plus TPH diesel and waste<br />

oil) have probable risk (Category A) and the highest HQs for exceedance of an acute RTV.<br />

Chemicals posing a possible risk to semi-aquatic birds consisted of metals, pesticides, and<br />

Aroclor 1254.<br />

4.2.3.3 Surface Water<br />

Chemicals posing probable risks (Category A) consisted of metals, pesticides, petroleum<br />

products. Chemicals exceeding CA State water criterion for chronic effects consisted of<br />

arsenic, copper, lead, nickel, 4,4’-DDT, and dieldrin. Copper (total and dissolved) also<br />

exceeded acute toxicity values<br />

4.2.4 Garden Grove-Wintersburg Flood Control Channel<br />

Potential risks were evaluated for aquatic and semi-aquatic receptors in the Garden Grove<br />

area. All chemicals with HQs exceeding one were retained as COECs (Tables 4-6 and 4-7).<br />

A summary of the potential for risk is presented below for each exposure medium.<br />

4.2.4.1 Sediment/Soil – Aquatic Receptors<br />

Potential risks to aquatic plants resulted from to metals and PAHs. Chemicals with the<br />

highest HQs consisted of arsenic, lead, benzo(a)pyrene, and benzo(g,h,i)perylene.<br />

For sediment-related risks to aquatic invertebrates, probable risks (Category A) were<br />

observed for selenium, 4,4’-DDD, 4,4’-DDE, chlordane (technical and alpha), phenanthrene,<br />

and total DDT. Possible risks (Category B) were estimated for many metals, PAHs, and<br />

dieldrin. Estimation of potential risks to semi-aquatic birds show that cobalt, copper, lead,<br />

zinc, 4,4’-DDE, and Aroclor 1254 pose possible (Category B) risks.<br />

4.2.4.2 Surface Water<br />

Chemicals exhibiting the highest HQs and exceeding RTVs for different receptor groups<br />

consisted of metals, pesticides, diesel, and waste oil. Chemicals with the highest HQs for<br />

chronic effects consisted of cadmium, copper, nickel, vanadium, 4-nitorphenol, dieldrin, and<br />

waste oil. Copper was the only chemical exceeding acute criteria.<br />

4.2.5 Gas Plant Pond Area<br />

Potential risks were evaluated for terrestrial, aquatic, and semi-aquatic receptors in the Gas<br />

Plant Pond area. All chemicals with HQs exceeding one were retained as COECs (Tables 4-5,<br />

4-6, and 4-7). A summary of the potential for risk is presented below for each exposure medium.<br />

4.2.5.1 Sediment/Soil – Terrestrial Receptors<br />

Potential risks to terrestrial plants resulted from metals and PAHs. Chemicals with the<br />

highest HQs consisted of arsenic, copper, lead, thallium, benzo(a)pyrene, and<br />

benzo(g,h,i)perylene.<br />

Potential risks to terrestrial invertebrates resulted from 4 metals and one PAH. These were<br />

arsenic, chromium, copper, vanadium, and acenaphthene. The hazard quotients were fairly<br />

low, with the highest value being that for chromium.<br />

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SECTION 4: RISK CHARACTERIZATION<br />

Potential risks to upland birds and mammals were in the some possible range (Category C)<br />

for metals. Arsenic in mice was the only chemical with a probable risk (Category B –<br />

exceedance of a LOAEL).<br />

4.2.5.2 Sediment/Soil – Aquatic Receptors<br />

Potential risks to aquatic plants are the same as those reported for terrestrial plants in the<br />

previous subsection because both receptors were evaluated using the same RTVs.<br />

For sediment-related risks to aquatic invertebrates, probable risks were estimated for metals<br />

(arsenic, chromium, selenium, thallium), pesticides (4,4’-DDD, total DDT), petroleumrelated<br />

chemicals (acenaphthene, fluorene, napthalene, oil and grease, phenanthrene,<br />

TPH-diesel, waste oil, low MW PAHs, total PAHs), total PCB, and di-n-octylphthalate.<br />

Possible risks (Category B) were estimated for several other metals, pesticides, and PAHs.<br />

Estimated risks to semi-aquatic birds were in the possible range for several metals (cobalt,<br />

copper, lead, zinc), as well as 4,4’-DDE and Aroclor 1254.<br />

4.2.5.3 Surface Water<br />

Potential risks to aquatic organisms exposed to surface water were limited to diesel and<br />

waste oil. Both had possible risks.<br />

4.2.6 Muted Tidal Plus Rabbit Island<br />

Potential risks were evaluated for terrestrial, aquatic, and semi-aquatic receptors in the<br />

Muted Tidal and Rabbit Island area. All chemicals with HQs exceeding one were retained as<br />

COECs (Tables 4-5, 4-6, and 4-7). A summary of the potential for risk is presented below for<br />

each exposure medium.<br />

4.2.6.1 Sediment/Soil – Terrestrial Receptors<br />

Estimated risks to terrestrial plants were in the possible range (Category B) for metals and<br />

PAHs. Chemicals with the highest estimated risk consisted of arsenic, barium, copper, lead,<br />

benzo(a)pyrene, and benzo(g,h,i)perylene.<br />

Chemicals that showed potential risks to terrestrial invertebrates were limited to metals,<br />

most with lower HQs. The highest HQs were observed for barium and lead. Potential risks<br />

to upland birds and mammals showed possible risks from lead. Some possible risks were<br />

estimated for other metals. The highest HQs were observed for barium and lead.<br />

4.2.6.2 Sediment/Soil – Aquatic Receptors<br />

Potential risks to aquatic plants were the same as those listed above for terrestrial plants<br />

because they were evaluated using the same RTVs.<br />

For sediment-related risks to aquatic invertebrates, probable risks (Category A) were<br />

estimated for metals (chromim, cobalt, copper, lead, nickel, selenium, thallium, and zinc),<br />

pesticides (4,4’-DDD, 4,4’-DDE, 4,4’-DDT , chlordane [alpha, gamma, technical], dieldrin,<br />

endrin, endrin aldehyde, endrin ketone, total DDT ), petroleum (acenaphthylene, fluorene ,<br />

oil and grease, phenanthrene, TPH diesel, waste oil, low MW PAHs), and other organics<br />

(di-n-ocylphthalate, total PCB). Possible risks (Category B) were estimated for several other<br />

metals and PAHs. Potential risks to semi-aquatic birds were in the possible range for several<br />

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SECTION 4: RISK CHARACTERIZATION<br />

metals and pesticides including cobalt, copper, lead, zinc, 4,4’-DDE, and Aroclor 1254. The<br />

highest HQs were observed for chromium, cobalt, lead, selenium, zinc, and 4,4’-DDD, and<br />

4,4’-DDE. .<br />

4.2.6.3 Surface Water<br />

Potential risks to aquatic organisms exposed to surface water were limited to diesel and<br />

waste oil. Both had possible risks.<br />

4.2.7 Seasonal Ponds<br />

Potential risks were evaluated for terrestrial, aquatic, and semi-aquatic receptors in the<br />

Seasonal Ponds area. All chemicals with HQs exceeding one were retained as COECs<br />

(Tables 4-5, 4-6, and 4-7). A summary of the potential for risk is presented below for each<br />

exposure medium.<br />

4.2.7.1 Sediment/Soil – Terrestrial Receptors<br />

Estimated risks to terrestrial plants were in the possible range for metals and PAHs.<br />

Chemicals with the highest estimated risk consisted of arsenic, barium, lead, and<br />

benzo(a)pyrene.<br />

Chemicals that showed potential risks to terrestrial invertebrates included metals and<br />

PAHs; most with lower HQs. The highest HQs were observed for barium and chromium.<br />

Potential risks to upland birds and mammals showed some possible risk (Category C) for<br />

most of the exceedances. The highest HQs were observed for barium and chromium.<br />

4.2.7.2 Sediment/Soil – Aquatic Receptors<br />

Sediment-related risks to aquatic invertebrates were probable (Category A) for metals<br />

(arsenic, chromium, lead, mercury, selenium, and thallium), pesticides (4,4’-DDD, 4,4’-DDE,<br />

endrin, endrin aldehyde, and total DDT), petroleum (dibenzo[a,h]anthracene, oil and<br />

grease, phenanthrene, TPH diesel, and waste oil), and other organics (di-n-octylphthalate).<br />

Possible risks (Category B) were estimated for several additional metals and PAHs.<br />

4.2.7.3 Surface Water<br />

Chemicals exhibiting the highest HQs and exceeding RTVs for different receptor groups<br />

consisted of metals, pesticides, diesel, and waste oil. Chemicals with the highest HQs for<br />

chronic effects consisted of barium, silver sulfate, zinc, diazinon, TPH-diesel, and waste oil.<br />

Copper and zinc were the only chemicals exceeding acute criteria.<br />

4.3 Uncertainty Analysis<br />

Uncertainties, which are inherent in all aspects of an ERA, include those related to Problem<br />

Formulation, Analysis, and Risk characterization. The uncertainties and limitations associated<br />

with this ERA Report, including the problem formulation, exposure characterization, and risk<br />

characterization, are summarized in the following sections. Within this ERA, the uncertainties<br />

are addressed qualitatively; no attempt was made to quantify the magnitude of specific<br />

sources of uncertainty.<br />

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4.3.1 Problem Formulation<br />

The Scoping Assessment (CH2M HILL, 1998b) was the basis for the problem formulation for<br />

the EEC Report (CH2M HILL, 1999) and this ERA report, and uncertainties are primarily<br />

associated with the limited availability of chemical stressor information at the time that the<br />

document was produced. Other uncertainties are associated with the selection of<br />

representative species and the identification of exposure pathways.<br />

The stressor data available for the identification of COPECs was limited to hard-copy<br />

reports from the Phase II sampling conducted by Tetra Tech (1996). The data were not<br />

available in electronic format at that time, so evaluations were limited to screening the<br />

maximum detected concentrations in each medium against screening-level benchmarks. In<br />

addition, the nature and extent of contamination across the <strong>Lowlands</strong> could not be<br />

evaluated because the Tetra Tech results were based on a focused sampling plan, whereby<br />

only those locations with suspected toxicity were evaluated, and the ERA Sampling and<br />

Analyses was just beginning. The electronic version of the Tetra Tech data was obtained, but<br />

was found to be incomplete and not in a structure conducive to incorporation into the<br />

database format necessary to calculate exposure point concentrations, estimate exposures, or<br />

conduct Geographic Information System (GIS) mapping. This uncertainty was rectified in<br />

this ERA with the acquisition and incorporation of the electronic database from the Tetra<br />

Tech sampling (1996).<br />

Representative species are selected to reduce uncertainty and to focus on species that are<br />

both maximally exposed and representative of the wildlife using the site. However,<br />

differences between species, including physiology, reproductive biology, or foraging habits,<br />

can result in different exposures and sensitivities to different chemicals.<br />

4.3.2 Analysis<br />

The analysis consists of the exposure characterization and the ecological effects<br />

characterization. Uncertainties related to these tasks are presented below.<br />

4.3.2.1 Exposure Characterization<br />

The uncertainties associated with the exposure characterization include limitations in the<br />

background evaluation, assumptions made in calculating exposure point concentrations,<br />

selection of exposure routes to quantify, and identification of species-specific exposure<br />

parameters.<br />

The evaluation of background inorganic levels in sediments included all samples collected<br />

in the ERA Sampling and Analysis, including those samples collected from the dredge<br />

footprint area. Some of these samples have been impacted by contaminants from onsite<br />

activities or drainage to the <strong>Lowlands</strong>, which would have increased the levels of some of the<br />

inorganic constituents. Dredge area sediment samples could not be readily separated by<br />

depth because of different sampling approaches used there. For example, the surface<br />

interval in the dredge area included at least the top 2 feet bgs, and may have included the<br />

entire core (8 feet) if the core material was uniform rather than just the top 6 inches of<br />

material (sampling was conducted to characterize each distinct layer of sediment that was at<br />

least 2 feet thick). Therefore, the “surface sediment” data set includes samples that were<br />

actually sampled to depths greater than 6 inches bgs. For this reason, a statistical analysis to<br />

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SECTION 4: RISK CHARACTERIZATION<br />

determine whether the mean surface and subsurface inorganic levels differed throughout<br />

the <strong>Lowlands</strong> was not done. The estimate of background conditions was based on the “all<br />

sample” data set.<br />

Because there were no comparable offsite reference areas for <strong>Bolsa</strong> <strong>Chica</strong>, the estimate of<br />

inorganic background levels was based on a qualitative evaluation of the cumulative percent<br />

distribution curves for each constituent derived from onsite samples to indicate the<br />

background or ambient levels. The determination of the curve break points required<br />

professional judgment based on review of the data. Where the data sets contained a large<br />

number of elevated non-detect (“U”-flagged) values, the curves were regenerated to<br />

determine the distribution of detected values. This was done only for the “all sample” groups<br />

of cadmium, mercury, selenium, silver, and thallium. There were a few elevated non-detect<br />

values on some of the other “all sample,” surface, and subsurface cumulative percent plots.<br />

However, the non-detects were not screened out of those data sets unless they directly<br />

interfered with the interpretation of the break points for the cumulative percent curves.<br />

The calculation of exposure point concentrations included assumptions that chemical<br />

concentrations would remain constant over time, chemicals not detected or analyzed were<br />

not present, and detected concentrations had the same bioavailability as those used in the<br />

literature-reported toxicity tests or other toxicological studies. These assumptions may not<br />

be realistic for all chemicals in all media, but they are generally conservative and represent<br />

standard practice for conducting ERAs. The calculation of exposure point concentrations<br />

was also limited by the lack of sample-specific reporting limits for non-detected chemicals in<br />

the Tetra Tech data. Specifically, the electronic (and hardcopy version) of the Tetra Tech<br />

data reported a “0” for non-detected chemicals rather than the detection limit. When<br />

calculating summary statistics, non-detected chemicals are typically evaluated at one-half of<br />

the reported detection limit. Because this information was not available, the non-detect<br />

values were statistically evaluated at one-half of “0”, which equaled “0”. This results in a<br />

downward or underestimation of the mean and 95th UCL. The 95th UCL was used to<br />

estimate risks to mobile receptors (birds and mammals) and so these risks may be underestimated.<br />

In addition, the summary statistical program used (SAS, 1990) did not<br />

distinguish between detected chemicals and non-detected chemicals when selecting the<br />

maximum value. If a ½ non-detect value was still greater than the maximum detected value,<br />

the ½ non-detect value was selected as the maximum and used to estimate risks. This<br />

resulted in an overestimation of many hazard quotients. Some were within the same order<br />

of magnitude, but others were greater. The hazard quotients calculated using ½ non-detect<br />

values are noted with an “*” in Tables 4-1 through 4-4.<br />

Several exposure routes were considered minor and were not included in the exposure<br />

analysis. Nonetheless, exposure via these other routes still contributes to the total risk to<br />

each receptor; therefore, potential risks could have been underestimated because these<br />

routes were not quantified. The routes of exposure that were not retained for quantitative<br />

exposure evaluations include the following:<br />

• Dermal contact with sediment/soil and surface water by birds or mammals<br />

• Inhalation of volatiles from sediment/soil or surface water by birds or mammals<br />

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Dermal contact with sediment or surface water is considered to be a minor secondary route<br />

of exposure for birds and mammals. Dermal contact is of concern primarily with organic<br />

chemicals that are lipophilic (i.e., have an affinity for fats) and can cross the epidermis of the<br />

exposed organism. Although some COPECs are highly lipophilic (e.g., DDT) and can<br />

bioaccumulate, they are of greater concern in the food chain pathway as opposed to direct<br />

contact.<br />

Inhalation of volatiles from sediment/soil or surface water is considered a minor exposure<br />

route, primarily because of the low frequency of detection and the short half-life of most<br />

volatile chemicals.<br />

Exposure route assumptions were also made for each representative species, including rates<br />

of ingestion and intake of exposure media (sediment/soil and biota). These factors, plus<br />

other biological characteristics, influence potential exposure by a particular species and may<br />

cause the selected species to be not truly representative of their guild. These differences may<br />

not be accounted for by the representative species selected, which could result in an underor<br />

overestimation of potential exposure (intake), depending on the species.<br />

4.3.2.2 Ecological Effects Characterization<br />

Uncertainties associated with the ecological effects characterization include salinity<br />

adjustments required in the toxicity bioassays conducted on site sediment, pore water, and<br />

surface water; the evaluation of those results through regression analyses; and the selection<br />

of RTVs for use in the ERA.<br />

The bioassays were conducted on standard toxicity testing organisms, but most of the<br />

sediments and extracted pore waters had salinities outside of the tolerance ranges of the test<br />

organisms. These sediments and pore waters had to be adjusted to salinities within the<br />

tolerance range prior to bioassay test initiation so that false results would not be observed.<br />

Salinity adjustments were required for more than one-half of the sediment samples used for<br />

amphipod and Nereis tests and for more 80 percent of the pore waters used for Mytilus tests.<br />

For pore waters, the dilution from salinity adjustment could be related to the actual test<br />

dilutions used in the bioassays, but additional uncertainty arose in many samples because<br />

the salinity dilutions resulted in no toxicity to test organisms when there were high<br />

concentrations of chemicals in the undiluted sample. Adjusting the sample for salinity could<br />

have also resulted in dilution of chemical concentrations or resulted in changes to<br />

bioavailability or toxicity of some COPECs. The effects of dilution could not be quantitated<br />

based on the methodologies used.<br />

For the sediment bioassays, no correlation could be made because all sediments were tested<br />

at 100 percent sample, and changes in salinity were made via the overlying waters. The<br />

potential or actual changes in concentrations of other chemicals as a result of these<br />

adjustments could not be quantified in any reliable way.<br />

The evaluation of bioassay data through regression analyses provided an additional level of<br />

data evaluation and additional effect concentrations. The uncertainties associated with the<br />

regression analyses include data transformations, assumption that chemical concentrations<br />

decreased linearly with dilution of the test medium for Mytilus bioassays, and the<br />

estimation of EC 50 . The data were transformed to maximize the regression analyses so that a<br />

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SECTION 4: RISK CHARACTERIZATION<br />

dose-response effect could be observed if it were present. The data had to be transformed<br />

back to the original state after the regression analyses so that the EC 50 could be estimated.<br />

The transformation and then back-transformation can result in some uncertainty. The<br />

uncertainty in the estimated EC 50 values is inversely proportional to both the sample size<br />

and r 2 for the regression model on which they are based. As both sample size and<br />

r 2 increase, confidence in the EC 50 increases. The best EC 50 measurements (e.g., those with<br />

the least uncertainty) are based on models with the highest r 2 (i.e., > 0.5) and the largest<br />

sample sizes, followed by EC 50 based on models with high r 2 and small sample sizes.<br />

Moderate uncertainty is associated with EC 50 based on models where 0.2 < r 2 < 0.5. Given<br />

the small amount of variation they describe, the EC 50 based on models with r 2 < 0.2,<br />

regardless of sample size, are not recommended for use in remedial decisionmaking.<br />

For Nereis (in sediment), topsmelt (in surface water), and Mysidopsis (in surface water), it<br />

was not possible to determine the maximum concentrations of any chemicals that would not<br />

cause significant effects (the NOECs) or the lowest concentrations that cause effects<br />

(LOECs). This occurred because no effects were observed at the highest exposure<br />

concentrations that were tested. Therefore, the NOECs and LOECs for those species<br />

represent uncertainties, may result in an overestimation of the HQ.<br />

Uncertainties associated with the selection of RTVs for use in the ERA include the effects<br />

data available and extrapolations made. An attempt was made to identify RTVs for each<br />

chemical for each receptor group, but toxicological information that can be correlated to<br />

media concentrations is generally limited for terrestrial plants, invertebrates, and birds. In<br />

general, RTVs for terrestrial receptors were limited to chronic no-effect and low-effect levels.<br />

RTVs for aquatic receptors included both chronic and acute effect levels. As such, the<br />

highest level of risk that could potentially quantified was Category B for terrestrial receptors<br />

and Category A for aquatic receptors.<br />

Lack of RTVs for several chemicals results in uncertainty of the risk posed by these<br />

chemicals. Receptors that had the least number of RTVs available were terrestrial plants,<br />

terrestrial invertebrates, and birds. RTVs were available for most chemicals for mammals<br />

and aquatic receptors.<br />

The other main source of uncertainty in RTVs is for those chemicals for which the only RTV<br />

available was a NOEC based on a toxicity bioassay which did not show any toxicity. Since<br />

there were no other RTVs with which to compare the HQs, it is unknown whether the HQ<br />

represents an accurate estimation or is over-estimated. The other site-specific RTVs<br />

(e.g., NOECs, LOECs, LC 20 s, and LC 50 s) were generally within the same magnitude as<br />

established benchmarks, but not in all cases. Specifically, some LC 20 values were far more<br />

conservative than ER-Ls.<br />

4.3.3 Risk Characterization<br />

Uncertainties related to the risk characterization include the use of hazard quotients to<br />

quantify potential risks and the assumption that estimated risks for the representative<br />

species will be protective of all similar receptors.<br />

Hazard quotients are an estimate of potential risk and, while it can be conservatively<br />

determined that if an HQ exceeds one there is a potential for risk, the magnitude of the HQ<br />

cannot be used as a definitive measure of the risk. Different types of effect levels such as<br />

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SECTION 4: RISK CHARACTERIZATION<br />

no-effect levels, low-effect levels, and acute effect levels are used to aid in the weighting<br />

of potential risks. In addition, results of toxicity bioassays are also used to increase the<br />

confidence in the estimation of risk to a given receptor.<br />

Given the differences in species, the estimated risks for one species may be over-or underrepresentative<br />

of another species.<br />

4.3.4 Overall Uncertainty<br />

The uncertainties that have the greatest impact on the results of the ERA and their potential<br />

impact are listed below:<br />

• Use of ½ non-detect limits for estimating risk – overestimation of HQs. The HQs would<br />

be lower if the actual value in that sample was much less than 1/2 the reporting limit<br />

and the maximum detected value had been used. In some cases the HQ would have<br />

been within the same order of magnitude, but in others, it would have been less and<br />

may possibly have resulted in an HQ less than 1.<br />

• Use of “0” for reporting non-detected chemicals – results in an underestimation of the<br />

exposure point concentrations using the 95 th UCL. These calculations typically use ½ the<br />

non-detect value. Use of “0”s lowers the 95 th UCL and as such lowers the resulting HQs.<br />

• Lack of any RTV for a given chemical and receptor – level of impact varies based on<br />

whether there is an RTV for the given chemical for another receptor group (e.g., RTVs<br />

for 4,4’-DDD were not available for terrestrial plants or invertebrates, but were available<br />

for birds and mammals). If the chemical can be evaluated at some trophic level, then<br />

there is less uncertainty than if the chemical could not be evaluated at all.<br />

• Lack of site-specific RTVs – level of impact varies depending on the chemical and<br />

receptors potentially involved. Site-specific RTVs add power to the quantification of risk<br />

and may provide RTVs where none were available in the literature, but if they<br />

complement those available in the literature, then the impact is minimal.<br />

Use of RTVs with inherent uncertainty – level of impact can be minimal or large. RTVs with<br />

some uncertainty include those taken from older references (e.g., Long and Morgan, 1990) that<br />

are not used in more recent references as well as those that are based on toxicity bioassays in<br />

which there were no toxic effects. The use of older references had a minimal impact as they<br />

allowed quantification of risks to some chemicals that would otherwise have no other<br />

low-confidence RTVs. Use of NOECs from toxicity bioassays that had no toxic response<br />

could have a larger impact and result in overestimated risks for those chemicals. This was<br />

most apparent in the estimates for aquatic receptor exposure to sediment (Table 4-3).<br />

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SECTION 5<br />

Summary, Conclusions, and Recommendations<br />

This section presents the summary, conclusions, and recommendations of the ERA for the<br />

<strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong>. The objectives of the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> project ERA consisted<br />

of adequately characterizing of contamination in the <strong>Lowlands</strong>, providing<br />

bioassay/bioaccumulation data necessary to assess ecological risks and to determine cleanup<br />

criteria, to assess potential and actual risks to ecological receptors using the <strong>Lowlands</strong>,<br />

and to aid in the design of wetland restoration. The ERA provides a format to achieve these<br />

objectives and uses all of the available site information to evaluate potential effects to aquatic,<br />

semi-aquatic, and terrestrial receptors under current and expected future conditions.<br />

5.1 Summary<br />

The ERA was conducted using a phased/tiered approach that was consistent with<br />

established methodologies, but had been adapted to the specific needs of the <strong>Bolsa</strong> <strong>Chica</strong><br />

project. Phase I included an initial review of available data and resulted in the CSP/ERA<br />

Work Plan (CH2M HILL, 1998a), and Scoping Assessment (CH2M HILL, 1998b). Phase II<br />

consisted of the ERA Sampling and Analyses whereby additional site-specific data were<br />

collected and evaluated resulting in the EEC Report (CH2M HILL, 1999 ) and Revised Work<br />

Plan (CH2M HILL, 2000). Phase III consisted of the Focused Sampling and Analyses, during<br />

which additional site-specific data were collected and evaluated to fill remaining data gaps,<br />

and completion of this baseline ERA.<br />

The analytical data used to characterize exposures consist of the sediment/soil, pore water,<br />

surface water, and biota collected previously by Tetra Tech (1996) and by CH2M HILL/Kinnetic<br />

Laboratories during the ERA Sampling and Analyses and the Focused Sampling and Analyses.<br />

The results of data quality evaluation processes indicated that overall, the project data quality<br />

objectives for precision, accuracy, representativeness, completeness, and comparability were<br />

met (Appendix C) and the data set was of high quality.<br />

The ERA Sampling and Analyses project component was designed to complete sampling for<br />

areas away from known or suspected sources of contamination (random sampling<br />

locations), to conduct toxicity bioassays and bioaccumulation studies using site-collected<br />

sediment and water from both random and focused sampling areas, and to analyze fieldcollected<br />

biota for chemicals that bioaccumulate. Random sampling was conducted in areas<br />

away from known or suspected contamination, while focused sampling was conducted at<br />

selected areas with known contamination.<br />

The Focused Sampling and Analysis phase of the ERA occurred in 2000 to conduct more<br />

detailed analyses of previously sampled “random” locations (sampled as part of the ERA<br />

Sampling), and to identify the nature of contamination associated with previously identified<br />

sources (such as sumps, wells, pipelines, maintenance areas, etc.) and potential sources. The<br />

focused sampling locations were divided into three main categories: (1) Random Follow-up<br />

sites, (2) Previously Uncharacterized sites (Cleanup Agreement and Release [CAR] sites),<br />

and (3) Partially Characterized sites.<br />

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CHAPTER 5: SUMMARY, CONCLUSIONS, AND RECOMMENDATIONS<br />

This ERA Report was the culmination of the phased approach and incorporated/updated<br />

information obtained in previous reports, evaluated results of all phases of field sampling as<br />

well as data from the Tetra Tech Phase II Environmental Assessment (1996), and evaluated<br />

potential risks to aquatic and terrestrial representative species identified for the <strong>Lowlands</strong>.<br />

The major outputs from the ERA consisted of the development of the ecological conceptual<br />

site model (Problem Formulation), the exposure profile (Exposure Characterization), the<br />

stressor-response profile (Ecological Effects Characterization), and the risk description (Risk<br />

Characterization).<br />

Problem Formulation<br />

The major product of the Problem Formulation was the ecological conceptual site model.<br />

This model combined information on COPECs, potential ecological receptors, potential<br />

exposure pathways, assessment endpoints and measures to provide an overall picture of<br />

potential for exposure and risk at the site. This model (shown graphically in Figure 2-5) was<br />

then used to focus the remainder of the ERA.<br />

Exposure Characterization<br />

The potential exposure of receptors to COPECs in the <strong>Lowlands</strong> was determined via the<br />

Exposure Characterization. The primary product of the Exposure Characterization was the<br />

exposure profile. The exposure profile established a relationship between stressors and<br />

potential receptors through: (1) identification of potential sources of chemical stressors (the<br />

COPECs) and their spatial distribution across the site, (2) calculation of exposure point<br />

concentrations for various exposure media and receptors based on the most likely exposure<br />

scenario for each species, and (3) calculation of reasonable maximum daily dosages for<br />

chemical intake from abiotic and biotic sources by terrestrial and semi-aquatic birds and<br />

terrestrial mammals<br />

The <strong>Lowlands</strong> were divided into areas with similar habitat types under current and/or<br />

post-restoration conditions for purposes of evaluating potential risk. The specific Cells<br />

included in each area are:<br />

• <strong>Bolsa</strong> Bay – Inner <strong>Bolsa</strong> Bay (Cell IB) and Outer <strong>Bolsa</strong> Bay (Cell OB)<br />

• Full Tidal – Cells 1, 1A, 3 through 8, 15 through 18, 43, 44, 51, 58, 59, 61, and 62<br />

• Future Full Tidal – Cells 14, 19 through 40, and 63<br />

• Garden Grove – Wintersburg Flood Control Channel – Cell 52<br />

• Gas Plant Pond Area – offsite areas downgradient from the former Gas Plant, south of<br />

Cells 11 and 12<br />

• Muted Tidal plus Rabbit Island – Cells 41, 42, 45 through 50, 53, 55, 60, 66, and 67<br />

• Seasonal Ponds – Cells 2, 9 through 13<br />

• Sitewide (biota only) – terrestrial invertebrates that were composited from throughout<br />

the <strong>Lowlands</strong><br />

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CHAPTER 5: SUMMARY, CONCLUSIONS, AND RECOMMENDATIONS<br />

The evaluation of background levels for inorganic constituents in sediments was completed<br />

using samples collected from onsite focused and random sample locations (including those<br />

within the proposed dredge area footprint). Maximum concentrations of chemicals<br />

considered to be background levels in surface and subsurface sediments and a combined<br />

value for all sediments were estimated; this was accomplished using cumulative<br />

distribution plots in which detected and non-detected results were evaluated together and<br />

separately to distinguish the impact of non-detected results on the distribution and<br />

estimated background concentrations. Maximum background values for the combined data<br />

set were estimated for arsenic (11 mg/Kg), barium (110 mg/Kg), beryllium (0.94 mg/Kg),<br />

cadmium (0.66 mg/Kg), chromium (43 mg/Kg), cobalt (10.1 mg/Kg), copper (26.1 mg/Kg),<br />

lead (48 mg/Kg), mercury (0.28 mg/Kg), nickel (30 mg/Kg), selenium (0.54 mg/Kg), silver<br />

(0.22 mg/Kg), thallium (0.61 mg/Kg), vanadium (75 mg/Kg), and zinc (103 mg/Kg). These<br />

site specific background levels were higher (2 to 6 times) than the preliminary background<br />

used in the Scoping Assessment (Table 2-12).<br />

The exposure profile outlined the receptors and exposure routes that were most likely to<br />

occur at the <strong>Lowlands</strong>, and the basis for the exposure point concentration as listed below:<br />

• Terrestrial plants - Direct contact via root uptake from sediment/soil. Exposure point<br />

concentrations based on the maximum reported value for each chemical detected.<br />

• Terrestrial invertebrates - Direct contact with and ingestion of sediment/soil. Exposure<br />

point concentrations based on the maximum reported value for each chemical detected.<br />

• Belding's savannah sparrow - Ingestion of terrestrial plants, terrestrial invertebrates,<br />

sediment/soil, and surface water. Exposure point concentrations based on the 95 th UCL<br />

value for each chemical detected.<br />

• American kestrel - Ingestion of terrestrial invertebrates, small mammals, sediment/soil,<br />

and surface water. Exposure point concentrations based on the 95 th UCL value for each<br />

chemical detected.<br />

• Black-crowned night-heron - Ingestion of aquatic invertebrates, fish, small mammals,<br />

sediment/soil, and surface water. Exposure point concentrations based on the 95 th UCL<br />

value for each chemical detected.<br />

• Black-necked stilt - Ingestion of aquatic invertebrates, sediment/soil, and surface water.<br />

Exposure point concentrations based on the 95 th UCL value for each chemical detected.<br />

• Least tern - Ingestion of fish, sediment/soil, and surface water. Exposure point<br />

concentrations based on the 95 th UCL value for each chemical detected.<br />

• Western harvest mouse - Ingestion of terrestrial plants, invertebrates, sediment/soil, and<br />

surface water. Exposure point concentrations based on the 95 th UCL value for each<br />

chemical detected.<br />

• Coyote - Ingestion of terrestrial plants, bird eggs, small mammals, sediment/soil, and<br />

surface water. Exposure point concentrations based on the 95 th UCL value for each<br />

chemical detected.<br />

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CHAPTER 5: SUMMARY, CONCLUSIONS, AND RECOMMENDATIONS<br />

• Aquatic plants – Direct contact/root uptake from sediment/soil and surface water.<br />

Exposure point concentration based on the maximum reported value for each chemical<br />

detected.<br />

• Aquatic macroinvertebrates - Direct contact with and ingestion of sediment/soil.<br />

Exposure point concentration based on the maximum reported value for each chemical<br />

detected.<br />

• Fish - Direct contact with surface water. Exposure point concentration based on the<br />

maximum reported value for each chemical detected.<br />

Ecological Effects Characterization<br />

The Ecological Effects Characterization focused on (1) evaluating site-specific effects data to<br />

determine the potential adverse effects that may result from different concentrations of<br />

chemical stressors, and (2) establishing a link between these effects and the assessment<br />

endpoints and ecological conceptual site model. The product of this portion of the ERA was<br />

the stressor-response profile that was combined with the exposure profile to conduct the<br />

Risk Characterization. The stressor-response profile summarized the potential effect levels<br />

for different receptors that are related to the assessment endpoints for the ERA. These effect<br />

levels included:<br />

• NOECs, NOAELs, LOECs, LOAELs and other toxicity-based endpoints – Obtained from<br />

the literature for terrestrial receptors (plants, invertebrates, birds, and mammals) (see<br />

Tables 3-25 through 3-28)<br />

• LC 20 s and LC 50 s for survival of aquatic invertebrates in sediment – Derived from the<br />

regression analyses conducted on amphipod toxicity bioassay results. (See Table 3-29)<br />

• NOECs for survival of aquatic invertebrates in sediment – Calculated from polychaete<br />

worm toxicity bioassay results (see Table 3-29)<br />

• EC 20 s and EC 50<br />

s for larval development of aquatic invertebrates in pore water – Derived<br />

from the regression analyses conducted on bivalve toxicity bioassay results (see<br />

Table 3-30)<br />

• NOECs for survival and growth of fish in surface water – Calculated from fish toxicity<br />

bioassay results (see Table 3-30)<br />

• NOECs and/or LOECs for survival, growth, reproduction, and/or fecundity for aquatic<br />

invertebrates - Calculated from Ceriodaphnia and Mysidopsis toxicity bioassay results (see<br />

Table 3-30).<br />

Risk Characterization<br />

The Risk Characterization presents the evidence linking COPECs to potential adverse effects<br />

in the <strong>Lowlands</strong> including calculation of HQs and evaluation of site-specific toxicity bioassays<br />

and bioaccumulation studies to provide a weight-of-evidence for potential risks and identify<br />

COECs. The identification of COECs was presented in Figure 4-1. All COPECs that exceeded<br />

any available RTV as well as chemicals that showed significant bioaccumulation in Nereis<br />

clam worms were retained as COECs. The overall risk posed by a COEC in a given medium<br />

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CHAPTER 5: SUMMARY, CONCLUSIONS, AND RECOMMENDATIONS<br />

and evaluation area was determined based on the types of RTVs that were exceeded (i.e., noeffect<br />

levels vs. low-effect levels and chronic effect levels vs. acute effect levels). The overall<br />

risk categories were defined as follows:<br />

• Unknown – RTVs were not available, so risk could not be quantified.<br />

• None – Exposure does not exceed any of the available RTVs.<br />

• Uncertain – Exposure exceeds a no-effect level, but risk could not be fully quantified<br />

because a low-effect level was not available (Category U).<br />

• Some Possible Risk – Exposure exceeds a no-effect level, but not a chronic low-effect<br />

level (Category C).<br />

• Possible Risk – Exposure exceeds a chronic low-effect level, but not an acute effect level<br />

(Category B).<br />

• Probable Risk – Exposure represents the highest level that could be quantified. Exposure<br />

exceeds an acute effect level or showed significant bioaccumulation in Nereis clam<br />

worms (Category A).<br />

The COECs in each medium for terrestrial and aquatic receptors were presented in Tables 4-5<br />

through 4-7.<br />

Terrestrial Receptors<br />

The primary chemicals in sediment/soil showing potential for risk to terrestrial receptors<br />

consisted of metals and some PAHs (Table 4-5). The highest level of risk that could be<br />

quantified for terrestrial receptors was Category B (possible risk) because RTVs were limited<br />

to chronic no-effect and low-effect levels; acute RTVs were not identified. Therefore, it is<br />

possible that the risk is underestimated for terrestrial receptors at the <strong>Bolsa</strong> <strong>Chica</strong> site. These<br />

risks are located throughout the terrestrial portions of the existing and future restored site<br />

including parts of the Future Full Tidal, Gas Plant Pond, Muted Tidal, and Seasonal Pond<br />

areas.<br />

Aquatic Receptors and Sediment Exposure<br />

The chemicals in sediment/soil that showed the highest potential for risk (Category A) to<br />

aquatic receptors included metals, pesticides, some PAHs, and TPH-diesel and waste oil<br />

(Table 4-6). In addition, significant bioaccumulation of metals and pesticides in Nereis clamworms<br />

was observed for several evaluation areas. All COECs that also had significant<br />

bioaccumulation were considered to pose a probable risk (Category A) based on<br />

comparisons to RTVs, with the exception of lead and vanadium in the Full Tidal area. These<br />

chemicals were estimated to pose a possible risk (Category B) to aquatic receptors.<br />

The Future Full Tidal area had both the greatest number of COECs present and the highest<br />

magnitude of risk overall due to sediment /soil contamination, whereas <strong>Bolsa</strong> Bay and the<br />

Garden Grove channel had fewer COECs and a lower magnitude of risk from sediment/soil<br />

contamination.<br />

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CHAPTER 5: SUMMARY, CONCLUSIONS, AND RECOMMENDATIONS<br />

Aquatic Receptors and Water Exposure<br />

The chemicals in surface water that showed probable risk (Category A) to aquatic receptors<br />

were limited to copper, zinc, and endrin as these chemicals were the only ones that<br />

exceeded the CA-WQS acute level (Table 4-7). Possible risk (Category B) was estimated for<br />

several other metals, pesticides, and TPH-diesel and waste oil.<br />

The Future Full Tidal area had both the greatest number of COECs present and the highest<br />

magnitude of risk overall due to surface water quality, whereas the Gas Plant Pond and<br />

Muted Tidal areas had few COECS present and none that exceeded acute level RTVs.<br />

Overall<br />

Metals, some PAHs and petroleum products (TPH-diesel and waste oil) were found to<br />

consistently exceed toxic levels in many areas of the site for many receptors (terrestrial and<br />

aquatic). These chemicals are consistent with those that are associated with the oil and gas<br />

exploration, production and processing activities that have occurred on the site for many<br />

decades. Pesticides were also found to be widespread throughout the site. On-site pesticide<br />

application is known to have occurred for mosquito control in previous decades.<br />

Additionally, urban and agricultural run-off from surrounding areas has likely contributed<br />

to certain metal and pesticide concentrations found on-site.<br />

5.2 Conclusion<br />

Because this ERA identified a link between exposure to chemical concentrations on this site<br />

and adverse effects to plants or wildlife that occur there, it has established that on-site<br />

availability of contaminated sediment/soil or water presents a risk of adverse effects to<br />

important ecological resources.<br />

Many chemicals were identified that pose risk to terrestrial and aquatic receptors. Most<br />

notably, metals, pesticides, PAHs, and TPH-diesel and waste oil consistently show possible<br />

(Category B) and probable (Category A) risks to receptors.<br />

Based on the results concerning the geographic extent of the contamination, the number of<br />

individual COECs and the pathways of exposure, the risk to plants and wildlife on the <strong>Bolsa</strong><br />

<strong>Chica</strong> site from sediment/soil contamination is likely greater than from surface water<br />

contamination. Similarly, the risk of adverse effects to aquatic and semi-aquatic receptors is<br />

likely greater than the risk to terrestrial receptors.<br />

Without remediation, the impacts to plants and wildlife in certain areas of the <strong>Bolsa</strong> <strong>Chica</strong><br />

site will remain high including continuing contaminated habitat for certain benthic species<br />

at chemical concentrations causing chronic or acute impacts, continuing chemical<br />

contamination in the food chain resulting in chronic or acute impacts to wildlife feeding on<br />

the site and bioaccumulation of certain chemicals into higher trophic levels possibly causing<br />

reduced productivity.<br />

The results of the ERA provide the basis for determining appropriate clean-up goals for the<br />

<strong>Bolsa</strong> <strong>Chica</strong> site. The level of risk to terrestrial and aquatic receptors can be reduced from<br />

current conditions (presence of known concentrations exceeding acute [or chronic] effects<br />

levels) to a future restored state that would reduce the risk by reducing exposure<br />

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CHAPTER 5: SUMMARY, CONCLUSIONS, AND RECOMMENDATIONS<br />

concentrations to those below acute or chronic effects levels. This reduction in risk will<br />

contribute to achievement of the management goals for the site, which are stated as follows:<br />

• Sediment, surface water quality, and food source conditions capable of supporting<br />

terrestrial, aquatic, and semi-aquatic plant and wildlife populations that would typically<br />

be found in Full Tidal and Managed Tidal coastal wetland habitats, and non-tidal<br />

Seasonal Ponds.<br />

• Sediment, surface water quality, and food source conditions supportive of individuals of<br />

special-status biota and migratory birds protected under the Migratory Bird Treaty Act<br />

likely to be found in Full Tidal and Managed Tidal coastal wetland habitats, and nontidal<br />

Seasonal Ponds.<br />

5.3 Recommendations<br />

Chemicals that were not identified as COECs fall into two categories: (a) those that have low<br />

or no potential for exposure or risk and (b) those that have no known reference toxicity<br />

values for the receptors we evaluated. The development of clean-up strategies for these<br />

chemicals is not recommended.<br />

Chemicals identified as COECs in the <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> are recommended for further<br />

evaluation or remediation. Clean-up goals should be developed based on the receptors that<br />

may be at risk.<br />

The integrated nature of the exposure (through surface water, sediment/soil and food web<br />

pathways) demonstrates a need to remove the contamination at the source. In most<br />

instances, clean-up of COECs in the sediment/soil would provide the greatest opportunity<br />

to reduce the risk through improving the habitat and reducing the exposure potential to<br />

lower trophic organisms and thus reducing the contamination throughout the food chain.<br />

The following factors should be considered in the development of clean-up goals:<br />

• Magnitude of observed concentrations and toxic concentrations as defined by the<br />

reference toxicity values in this ERA<br />

• Likelihood of persistence of contamination without remediation<br />

• Functional value and uniqueness of the <strong>Bolsa</strong> <strong>Chica</strong> site in relation to the surrounding<br />

area<br />

• Recovery potential of the site<br />

• Short-term and long-term impacts of clean-up on the site habitat and larger ecosystem<br />

• Effectiveness of a clean-up effort; that is, whether there are other continuing, nearby<br />

contaminant releases that will continue to adversely affect the ecosystem after cleanup is<br />

implemented<br />

The results of the ERA provide adequate information to evaluate the need for clean-up and<br />

appropriate levels of clean-up. However, additional delineation of individual sites is needed<br />

to determine the bounds of the clean-up effort.<br />

SAC/143368(005.DOC) 5-7 ERA REPORT<br />

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SECTION 6<br />

References<br />

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Octochaetus pattoni exposed to chromium (VI) and mercury (II) – Implications in<br />

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Abdel-Rahman, M. S., J. J. Saladin, C. E. Bohman, and D. Coure. 1978. The effect of<br />

2-hexanone and 2-hexanone metabolites on pupillomotor activity and growth. Am. Ind. Hyg.<br />

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Ambrose, A. M., P. S. Larson, J. F. Borzelleca, and G. R. Hennigar, Jr. 1976. Long-term<br />

toxicologic assessment of nickel in rats and dogs. J. Food Sci. Tech. 13: 181-187.<br />

ASTM. 1990. Standard Guide for Conducting 10-Day Static Sediment Toxicity Tests with Marine<br />

and Estuarine Amphipods. ASTM Designation: E 1367-90. American Society for Testing and<br />

Materials.<br />

Bengtsson, G. and L. Tranvik. 1989. Critical metal concentrations for forest soil<br />

invertebrates. Water, Air, and Soil Pollution 47: 381-417.<br />

Bennett, J., et al. 1996. Preliminary Level I Preacquisition Environmental Contaminant Survey of<br />

the Koll Company, <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> and Edwards Thumb Uplands. U.S. Fish and Wildlife<br />

Service, Carlsbad, CA. March 6.<br />

Beyer, W. N. and C. Stafford. 1993. Survey and evaluation of contaminants in earthworms<br />

and in soils derived from dredged material at confined disposal facilities in the Great Lakes<br />

region. Environmental Monitoring and Assessment 24: 151-165.<br />

Beyer, W. N., E. Conner, and S. Gerould. 1994. Survey of Soil Ingestion by Wildlife. J. Wildl.<br />

Manage. 58: 375-382.<br />

Biomedical and Environmental Information Analysis (BEIA). 1989. The installation restoration<br />

program toxicology guide, Vols. 2 and 3. Health and Safety Research Division, Oak Ridge<br />

National Laboratory for Harry G. Armstrong Aerospace Medical Research Laboratory.<br />

Bisessar, S. 1982. Effect of heavy metals on microorganisms in soils near a secondary lead<br />

smelter. Water, Air, and Soil Pollution 17: 305-308.<br />

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7/31/02


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CH2M HILL. 1999. Ecological Effects Characterization Report for <strong>Bolsa</strong> <strong>Chica</strong> <strong>Lowlands</strong> <strong>Project</strong>,<br />

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7/31/02


SECTION 6: REFERENCES<br />

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Earth Technology Corporation. 1988. Preliminary Hazardous Waste Survey for the Proposed<br />

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7/31/02


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7/31/02


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7/31/02


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ERA REPORT 6-8 SAC/143368(006.DOC)<br />

7/31/02


SECTION 6: REFERENCES<br />

U.S. EPA. 1991a. The Role of BTAGs in Ecological Assessment. ECO Update Volume 1,<br />

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U.S. EPA. 1991b. Ecological Assessment of Superfund Sites: An Overview. ECO Update<br />

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U.S. EPA. 1992b. The Role of Natural Resource Trustees in the Superfund Process. ECO Update<br />

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U.S. EPA. 1992c. Developing a Work Scope for Ecological Assessments. ECO Update Volume 1,<br />

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U.S. EPA. 1992d. Briefing the BTAG: Initial Description of Setting, History, and Ecology of a Site.<br />

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U.S. EPA. 1993a. Sediment Quality Criteria for the Protection of Benthic Organisms: Fluoranthene.<br />

EPA-822-R-93-012. Washington, D.C.<br />

U.S. EPA. 1993b. Sediment Quality Criteria for the Protection of Benthic Organisms: Phenanthrene.<br />

EPA-822-R-93-014. Washington. D.C.<br />

U.S. EPA. 1993c. Wildlife Exposure Factors Handbook. Office of Research and Development,<br />

Washington D.C. EPA/600/R-93/187a. December.<br />

U.S. EPA. 1994a. Using Toxicity Tests in Ecological Risk Assessment. ECO Update Volume 2,<br />

Number 1. Office of Solid Waste and Emergency Response. Publication 9345.0-05I.<br />

EPA 540-F-94-012. September.<br />

U.S. EPA. 1994b. Catalogue of Standard Toxicity Tests for Ecological Risk Assessment. ECO<br />

Update Volume 2, Number 2. Office of Solid Waste and Emergency Response. Publication<br />

9345.0-05I. EPA 540-F-94-013. September.<br />

U.S. EPA. 1994c. Field Studies for Ecological Risk Assessment. ECO Update Volume 2, Number<br />

3. Office of Solid Waste and Emergency Response. Publication 9345.0-05I. EPA 540-F-94-014.<br />

September.<br />

SAC/143368(006.DOC) 6-9 ERA REPORT<br />

7/31/02


SECTION 6: REFERENCES<br />

U.S. EPA. 1994d. Selecting and Using Reference Information in Superfund Ecological Risk<br />

Assessments. ECO Update Volume 2, Number 4. Office of Solid Waste and Emergency<br />

Response. Publication 9345.0-10I. EPA 540-F-94-050. September.<br />

U.S. EPA, 1994e. Short-term methods for estimating the chronic toxicity of effluents and receiving<br />

waters to freshwater organisms. EPA/600/4-91/002. July.<br />

U.S. EPA, 1994f. Short-term methods for estimating the chronic toxicity of effluents and receiving<br />

waters to marine and estuarine organisms. EPA/600/4-91/003. July.<br />

U.S. EPA. 1995a. Short-Term Methods for Estimating the Chronic Toxicity of Effluents and<br />

Receiving Waters to West Coast Marine and Estuarine Organisms. EPA/600/R-95-136.<br />

U.S. EPA. 1995b. Study of federal water quality criteria for metals, water quality standards,<br />

establishment of numeric criteria for priority toxic pollutants, states' compliance, revision of<br />

metals criteria, final rules. Federal Register 22,228-22,237.<br />

U.S. EPA. 1996a. Ecological Significance and Selection of Candidate Assessment Endpoints. ECO<br />

Update Volume 3, Number 1. Office of Solid Waste and Emergency Response. Publication<br />

9345.0-11FSI. EPA 540/F-95/037. January.<br />

U.S. EPA. 1996b. Ecotox Thresholds. ECO Update Volume 3, Number 2. Office of Solid Waste<br />

and Emergency Response. Publication 9345.0-12FSI. EPA 540/F-95/038. January.<br />

U.S. EPA. 1996c. Calculation and Evaluation of Sediment Effect Concentrations for the Amphipod<br />

Hyalella azteca and the Midge Chironomus riparius, EPA-905-R96-008. Great Lakes National<br />

Program Office. <strong>Chica</strong>go, IL.<br />

U.S. EPA. 1997. Water Quality Standards; Establishment of Numeric Criteria for Priority<br />

Toxic Pollutants for the State of California; Proposed Rule. Federal Register: 42,159-42,208.<br />

August.<br />

U.S. EPA. 1998. Guidelines for Ecological Risk Assessment Final. EPA/630/R-95/002F. Risk<br />

Assessment Forum. U.S. Environmental Protection Agency. Washington, D.C. April.<br />

U.S. EPA. 2000. Water Quality Standards; Establishment of Numeric Criteria for Priority<br />

Toxic Pollutants for the State of California; Rule. 40 CFR Part 131, Vol. 65, No. 97. May 18.<br />

U.S. Fish and Wildlife Service/U.S. Naval Weapons Station-Seal Beach. 1990. Final<br />

Environmental Impact Statement: Endanged Species Management and Protection Plan. Naval<br />

Weapons Station-Seal Beach and Seal Beach National Wildlife Refuge. August.<br />

UTAB, 1994. UTAB database search conducted by Carole Shriner/CH2M HILL. January.<br />

Verschueren, K. 1983. Handbook of Environmental Data on Organic Chemicals, 2nd ed. Van<br />

Nostrand Reinhold. New York, NY. 1310 pp.<br />

Wallace, A., G. V. Alexander, and F. M. Chaudhry. 1977. Phytotoxicity and Some<br />

Interactions of the Essential Trace Metals Iron, Manganese, Molybdenum, Zinc, Copper, and<br />

Boron. Commun. Soil Sci. Plant Anal. 8 (9): 741-50.<br />

ERA REPORT 6-10 SAC/143368(006.DOC)<br />

7/31/02


SECTION 6: REFERENCES<br />

Wentsel, R. S., et al. 1996. Tri-Service Procedural Guidelines for Ecological Risk Assessments,<br />

Volume I. U.S. Army; The Institute of Wildlife and Environmental Toxicology, Clemson<br />

University; Geo-Centers, Inc.; EA Engineering, Science, and Technology; and EBA, Inc. June.<br />

Wheelwright, N. T. and J. D. Rising. 1993. The Savannah Sparrow. In The Birds of North<br />

America. No. 45. A. Poole and F. Gill (eds). Academy of Natural Sciences, Washington D.C.<br />

Whitworth, M. R., G. W. Pendleton, D. J. Hoffman, and M. B. Camardese. 1991. Effects of<br />

boron and arsenic on the behavior of mallard ducklings. Envir. Toxicol. Chem. 10: 911-916.<br />

World Health Organization (WHO). 1984. Chlordane. Environ. Health Criter. 34. 82 pp.<br />

Will, M. E. and G. W. Suter II, 1995. Toxicological Benchmarks for Screening Potential<br />

Contaminants of Concern for Effects on Terrestrial Plants. Oak Ridge National Laboratory, Oak<br />

Ridge, TN. 123 pp. ES/ER/TM-85/R-1.<br />

Wolf, M. A., V. K. Rowe, D. D. McCollister, R. L. Hollinsworth, and F. Oyen. 1956.<br />

Toxicological studies of certain alkylated benzenes and benzene. Arch. Ind. Health 14: 387-398.<br />

Woodward-Clyde Consultants, 1987. Geotechnical Investigation Proposed <strong>Bolsa</strong> <strong>Chica</strong><br />

Development Orange County, California. Prepared for Signal <strong>Bolsa</strong> Corporation, <strong>Project</strong> No.<br />

421000S.<br />

Zar, J. H. 1984. Biostatistical Analysis. Prentice-Hall, Inc., Englewood Cliffs, NJ. 718 pp.<br />

Zeiner, D. C, W. M. Laudenslayer, K. E. Mayer, and M. White. 1990a. California’s Wildlife,<br />

Volume II: Birds. California State Wildlife Habitats Relationships System. State of California.<br />

The Resources Agency. Department of Fish and Game, Sacramento, CA.<br />

Zeiner, D. C., W. F. Laudenslayer, K. E.Mayer, and M. White. 1990b. California’s Wildlife, Vol.<br />

III: Mammals. California Department of Fish and Game, Sacramento, CA. April.<br />

SAC/143368(006.DOC) 6-11 ERA REPORT<br />

7/31/02

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