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Development of an antimycin-impregnated bait for controlling common carp

The common carp Cyprinus carpio is a major problem for fisheries and wildlife managers because its feeding behavior causes degradation of valuable fish and waterfowl habitat. This study was designed to evaluate the effectiveness of an antimycin‐impregnated bait for control of common carp. The toxic bait contained fish meal, a binder, antimycin, and water. The ingredients were mixed together and made into pellets. This bait was force‐fed to common carp or administered in a pond environment, where fish voluntarily fed on the bait. The lowest lethal dose in the force‐feeding study was 0.346 mg antimycin/kg of fish and doses that exceeded 0.811 mg antimycin/kg were toxic to all fish. On three occasions, adult common carp held in 0.004‐ha concrete ponds were offered 10 g of toxic bait containing 5.0, 7.5, and 10 mg antimycin/g of bait and the mean mortalities 96 h later were 21, 35, and 51%, respectively. Three tests were conducted in 0.04‐ha earthen ponds each containing 100 adult common carp; these fish were offered 50 g of the toxic bait that contained 10 mg antimycin/g, and the mean mortalities (96 h) were 19, 32, and 74%. Toxic baits should be used in conjunction with other management techniques, and only when common carp are congregated and actively feeding, and when few nontarget bottom‐feeding species are present.

North American Journal of Fisheries Management↗

Size structure, age, growth, and mortality of flathead catfish in the Robert C. Byrd Pool of the Ohio and Kanawha Rivers

Flathead catfish ( Pylodictis olivaris ) were sampled in the Robert C. Byrd Pool of the Ohio and Kanawha rivers, West Virginia, to inform management decisions based on population characteristics of size structure, age, growth, and mortality. Sampling was conducted with low-frequency boat electrofishing during late May to early June over a four-year period (2017–2020). We examined size structure using proportional size distribution indi- ces. Growth was evaluated using otolith-derived ages, a von Bertalanffy growth curve, and mean length at age data, including comparisons to published mean length at age data of other populations. Annual mortality was estimated with a weighted catch curve. We documented a high-density population (mean CPUE = 49 fish h–1) with low mortality (A = 11.8%), characterized by slow growing individuals with a maximum recorded age of 36. Our results further demonstrate that this population is characterized by a broad size structure that likely is maintained only through low harvest and high rates of catch and release by anglers.

West Virginia↗

Estimation of population size using open capture-recapture models

One of the most important needs for wildlife managers is an accurate estimate of population size. Yet, for many species, including most marine species and large mammals, accurate and precise estimation of numbers is one of the most difficult of all research challenges. Open-population capture-recapture models have proven useful in many situations to estimate survival probabilities but typically have not been used to estimate population size. We show that open-population models can be used to estimate population size by developing a Horvitz-Thompson-type estimate of population size and an estimator of its variance. Our population size estimate keys on the probability of capture at each trap occasion and therefore is quite general and can be made a function of external covariates measured during the study. Here we define the estimator and investigate its bias, variance, and variance estimator via computer simulation. Computer simulations make extensive use of real data taken from a study of polar bears (Ursus maritimus) in the Beaufort Sea. The population size estimator is shown to be useful because it was negligibly biased in all situations studied. The variance estimator is shown to be useful in all situations, but caution is warranted in cases of extreme capture heterogeneity.

Journal of Agricultural, Biological, and Environme↗

Development and testing of species-specific quantitative PCR assays for environmental DNA applications

New, non-invasive methods for detecting and monitoring species presence are being developed to aid in fisheries and wildlife conservation management. The use of environmental DNA (eDNA) samples for detecting macrobiota is one such group of methods that is rapidly becoming popular and being implemented in national management programs. Here we focus on the development of species-specific targeted assays for probe-based quantitative PCR (qPCR) applications. Using probe-based qPCR offers greater specificity than is possible with primers alone. Furthermore, the ability to quantify the amount of DNA in a sample can be useful in our understanding of the ecology of eDNA and the interpretation of eDNA detection patterns in the field. Careful consideration is needed in the development and testing of these assays to ensure the sensitivity and specificity of detecting the target species from an environmental sample. In this protocol we will delineate the steps needed to design and test probe-based assays for the detection of a target species; including creation of sequence databases, assay design, assay selection and optimization, testing assay performance, and field validation. Following these steps will help achieve an efficient, sensitive, and specific assay that can be used with confidence. We demonstrate this process with our assay designed for populations of the mucket ( Actinonaias ligamentina ), a freshwater mussel species found in the Clinch River, USA.

JOVE Journal Of Visualized Experiments↗

Learning and adaptation in the management of waterfowl harvests

A formal framework for the adaptive management of waterfowl harvests was adopted by the U.S. Fish and Wildlife Service in 1995. The process admits competing models of waterfowl population dynamics and harvest impacts, and relies on model averaging to compute optimal strategies for regulating harvest. Model weights, reflecting the relative ability of the alternative models to predict changes in population size, are used in the model averaging and are updated each year based on a comparison of model predictions and observations of population size. Since its inception the adaptive harvest program has focused principally on mallards ( Anas platyrhynchos ), which constitute a large portion of the U.S. waterfowl harvest. Four competing models, derived from a combination of two survival and two reproductive hypotheses, were originally assigned equal weights. In the last year of available information (2007), model weights favored the weakly density-dependent reproductive hypothesis over the strongly density-dependent one, and the additive mortality hypothesis over the compensatory one. The change in model weights led to a more conservative harvesting policy than what was in effect in the early years of the program. Adaptive harvest management has been successful in many ways, but nonetheless has exposed the difficulties in defining management objectives, in predicting and regulating harvests, and in coping with the tradeoffs inherent in managing multiple waterfowl stocks exposed to a common harvest. The key challenge now facing managers is whether adaptive harvest management as an institution can be sufficiently adaptive, and whether the knowledge and experience gained from the process can be reflected in higher-level policy decisions.

Journal of Environmental Management↗

Effects of fire on small mammal communities in frequent-fire forests in California

Fire is a natural, dynamic process that is integral to maintaining ecosystem function. The reintroduction of fire (e.g., prescribed fire, managed wildfire) is a critical management tool for protecting many frequent-fire forests against stand-replacing fires while restoring an essential ecological process. Understanding the effects of fire on forests and wildlife communities is important in natural resource planning efforts. Small mammals are key components of forest food webs and essential to ecosystem function. To investigate the relationship of fire to small mammal assemblages, we live trapped small mammals in 10 burned and 10 unburned forests over 2 years in the central Sierra Nevada, California. Small mammal abundance was higher in unburned forests, largely reflecting the greater proportion of closed-canopy species such as Glaucomys sabrinus in unburned forests. The most abundant species across the entire study area was the highly adaptable generalist species, Peromyscus maniculatus . Species diversity was similar between burned and unburned forests, but burned forests were characterized by greater habitat heterogeneity and higher small mammal species evenness. The use and reintroduction of fire to maintain a matrix of burn severities, including large patches of unburned refugia, creates a heterogeneous and resilient landscape that allows for fire-sensitive species to proliferate and, as such, may help maintain key ecological functions and diverse small mammal assemblages.

California↗

Effects of open marsh water management on numbers of larval salt marsh mosquitoes

Open marsh water management (OMWM) is a commonly used approach to manage salt marsh mosquitoes than can obviate the need for pesticide application and at the same time, partially restore natural functions of grid-ditched marshes. OMWM includes a variety of hydrologic manipulations, often tailored to the specific conditions on individual marshes, so the overall effectiveness of this approach is difficult to assess. Here, we report the results of controlled field trials to assess the effects of two approaches to OMWM on larval mosquito production at National Wildlife Refuges (NWR). A traditional OMWM approach, using pond construction and radial ditches was used at Edwin B. Forsythe NWR in New Jersey, and a ditch-plugging approach was used at Parker River NWR in Massachusetts. Mosquito larvae were sampled from randomly placed stations on paired treatment and control marshes at each refuge. The proportion of sampling stations that were wet declined after OMWM at the Forsythe site, but not at the Parker River site. The proportion of samples with larvae present and mean larval densities, declined significantly at the treatment sites on both refuges relative to the control marshes. Percentage of control for the 2 yr posttreatment, compared with the 2 yr pretreatment, was >90% at both treatment sites.

New Jersey;Massachusetts↗

Drawing a line in the sand: Effectiveness of off-highway vehicle management in California's Sonoran desert

Public land policies manage multiple uses while striving to protect vulnerable plant and wildlife habitats from degradation; yet the effectiveness of such policies are infrequently evaluated, particularly for remote landscapes that are difficult to monitor. We assessed the use and impacts of recreational vehicles on Mojave Desert washes (intermittent streams) in the Chemehuevi Desert Wildlife Management Area (DWMA) of southern California. Wash zones designated as open and closed to off-highway vehicle (OHV) activity were designed in part to protect Mojave desert tortoise ( Gopherus agassizii ) habitat while allowing recreation in designated areas. OHV tracks were monitored in washes located near access roads during winter and early spring holidays – when recreation is typically high – and at randomly dispersed locations away from roads. Washes near access roads had fewer vehicle tracks within closed than open zones; further away from roads, OHV tracks were infrequent and their occurrence was not different between wash designations. Washes were in better condition in closed zones following major holidays as indicated by less vegetation damage, presence of trash, and wash bank damage. Furthermore, the frequency of washes with live tortoises and their sign was marginally greater in closed than open wash zones. Collectively, these results suggest that low impacts to habitats in designated closed wash zones reflect public compliance with federal OHV policy and regulations in the Chemehuevi DWMA during our study. Future monitoring to contrast wash use and impacts during other seasons as well as in other DWMAs will elucidate spatial and temporal patterns of recreation in these important conservation areas.

California↗

Gerrard strain Rainbow Trout are not piscivorous in a shallow, polymictic reservoir

Objective Georgetown Lake (Montana, USA) is renowned for its multispecies salmonid fishery. Although many anglers target kokanee Oncorhynchus nerka in Georgetown Lake, the body length of kokanee has typically been considered unsatisfactory. To reduce the density of kokanee and increase the average size, Montana Fish, Wildlife & Parks began stocking the piscivorous Gerrard strain of Rainbow Trout O. mykiss (hereafter “Gerrard”) in 2015 to consume kokanee. In 2020, preliminary evidence suggested that the average length of kokanee greater than 200 mm increased by almost 40 mm. Methods To assess the efficacy of biocontrol through the introduction of a piscivore to predate on kokanee, we examined the diet composition of all potential predators (three strains of Rainbow Trout and Brook Trout Salvelinus fontinalis ) to determine the amount of predation on kokanee and to understand the feeding ecology of all potential predators. Results There was little evidence of piscivory in any predator and no evidence of Gerrards consuming kokanee. Gerrards exhibited a generalist feeding strategy, and there was dietary overlap and no difference in trophic position among Gerrards and other predators. Conclusions From a biological-control perspective, there is no benefit in continuing to stock Gerrards to reduce kokanee densities in Georgetown Lake. These findings underscore the challenge of predicting predator–prey relationships, as diet plasticity can lead to unexpected dynamics based on resource availability and habitat structure within aquatic ecosystems, highlighting the importance of evaluating management interventions, such as biocontrols, in different ecosystems.

Montana↗

Monitoring and modeling wetland chloride concentrations in relationship to oil and gas development

Extraction of oil and gas via unconventional methods is becoming an important aspect of energy production worldwide. Studying the effects of this development in countries where these technologies are being widely used may provide other countries, where development may be proposed, with some insight in terms of concerns associated with development. A fairly recent expansion of unconventional oil and gas development in North America provides such an opportunity. Rapid increases in energy development in North America have caught the attention of managers and scientists as a potential stressor for wildlife and their habitats. Of particular concern in the Northern Great Plains of the U.S. is the potential for chloride-rich produced water associated with unconventional oil and gas development to alter the water chemistry of wetlands. We describe a landscape scale modeling approach designed to examine the relationship between potential chloride contamination in wetlands and patterns of oil and gas development. We used a spatial Bayesian hierarchical modeling approach to assess multiple models explaining chloride concentrations in wetlands. These models included effects related to oil and gas wells (e.g. age of wells, number of wells) and surficial geology (e.g. glacial till, outwash). We found that the model containing the number of wells and the surficial geology surrounding a wetland best explained variation in chloride concentrations. Our spatial predictions showed regions of localized high chloride concentrations. Given the spatiotemporal variability of regional wetland water chemistry, we do not regard our results as predictions of contamination, but rather as a way to identify locations that may require more intensive sampling or further investigation. We suggest that an approach like the one outlined here could easily be extended to more of an adaptive monitoring approach to answer questions about chloride contamination risk that are of interest to managers.

Montana, North Dakota↗

Measuring the relationship between sportfishing trip expenditures and anglers’ species preferences

We examined the relationship between fishing trip expenditures and anglers’ species preferences from a survey of Oklahoma resident anglers conducted in 2014. Understanding patterns in fishing trip expenditures is important because a significant share of state wildlife agency revenue comes from taxes on purchases of fishing equipment. Presently, there is little research that addresses the question of how spending levels vary within groups of sportspersons, including anglers. We used regression analysis to identify a relationship between trip spending and several preference variables, and included controls for other characteristics of fishing trips, such as location, party size, and duration. We received 780 surveys for a response rate of 26%, but only 506 were useable due to missing data or nonfishing responses. Average trip expenditures were approximately US$140, regardless of species preferences, but anglers who preferred to fish for trout and black bass tended to spend more than those who preferred to fish for catfish and panfish. These results were even more pronounced when location was considered, those who last fished at lakes spending more than those who fished at rivers or ponds. The results underscore the differences in spending among anglers with different preferred species and fishing locations.

North American Journal of Fisheries Management↗

The expectations and challenges of wildlife disease research in the era of genomics: Forecasting with a horizon scan-like exercise

The outbreak and transmission of disease-causing pathogens are contributing to the unprecedented rate of biodiversity decline. Recent advances in genomics have coalesced into powerful tools to monitor, detect, and reconstruct the role of pathogens impacting wildlife populations. Wildlife researchers are thus uniquely positioned to merge ecological and evolutionary studies with genomic technologies to exploit unprecedented ‘Big Data’ tools in disease research; however, many researchers lack the training and expertise required to use these computationally intensive methodologies. To address this disparity, the inaugural ‘Genomics of Disease in Wildlife’ workshop assembled early to mid-career professionals with expertise across scientific disciplines (e.g., genomics, wildlife biology, veterinary sciences, and conservation management) for training in the application of genomic tools to wildlife disease research. A horizon scanning-like exercise, an activity to identify forthcoming trends and challenges, performed by the workshop participants identified and discussed five themes considered to be the most pressing to the application of genomics in wildlife disease research: i) “Improving Communication”, ii) “Methodological and Analytical Advancements”, iii) “Translation into Practice”, iv) “Integrating Landscape Ecology and Genomics”, and v) “Emerging New Questions”. Wide-ranging solutions from the horizon scan were international in scope, itemized both deficiencies and strengths in wildlife genomic initiatives, promoted the use of genomic technologies to unite wildlife and human disease research, and advocated best practices for optimal use of genomic tools in wildlife disease projects. The results offer a glimpse of the potential revolution in human and wildlife disease research possible through multi-disciplinary collaborations at local, regional, and global scales.

Journal of Heredity↗

Prediction of areas where irrigation drainage may induce selenium contamination of water

The U.S. Department of the Interior has investigated 25 areas in the western USA to determine whether irrigation drainage has caused harmful effects on wildlife or has reduced subsequent beneficial uses of the water. A database of chemical analyses of water, sediment, and biota from the 25 areas was created and supplemented with geologic, climatologic, and hydrologic data. The data were evaluated to identify common features among study areas and principal factors that result in Se contamination of water in lakes, ponds, and streams downgradient of irrigated areas. From the analysis of data, a decision tree that uses readily available geologic, climatologic, and hydrologic data was derived for use by resource managers as a screening tool to predict the likelihood that irrigation drainage will result in Se contamination in areas of the western USA. Irrigation in areas that are not associated with marine sedimentary rocks of late Cretaceous age is unlikely to cause Se contamination. Irrigation in very arid areas that are associated with these Cretaceous sediments is almost certain to cause Se contamination if the irrigation water drains to terminal lakes and ponds. The likelihood that an area will be contaminated with Se because of irrigation drainage can change, particularly with changes in precipitation. During normal or wet periods, Se contamination may not occur in an area, even though it has seleniferous soils, but reduced water deliveries during a drought in such an area may result in Se contamination.

Journal of Environmental Quality↗

Context matters: Intrinsic and extrinsic factors modulate habitat choices in an endangered forest bat

Effective management of declining species depends upon fundamental understanding of habitat preferences during key life stages such as reproduction. Peripheral populations of wildlife are often poorly understood and rarely the focus of study, despite their contribution to genetic diversity and their potential to aid in recolonization if a species becomes endangered. We assessed the maternal roost-site preferences of the endangered northern long-eared bat ( Myotis septentrionalis ) within a managed forest near the western edge of their range in the Black Hills region of Wyoming, USA. We further examined whether habitat preferences and roost-switching varied by reproductive state (pregnant or lactating) or proximate weather conditions. Bats were more likely to roost in quaking aspens during pregnancy, and when weather was cooler and wetter. Conversely, bats roosted more in ponderosa pines ( Pinus ponderosa) post-parturition, and when temperatures were warmer. Bats also were more likely to switch to a new roost after periods of warmer temperature and reduced solar radiation. Our results support growing evidence that habitat choices can be modulated proximately by intrinsic and extrinsic factors. Northern long-eared bats in the Black Hills relied on a variety of roost types, from healthy live trees to snags at different decay stages depending on reproductive stage and ambient weather. Our study highlights the importance of considering diverse contexts when characterizing habitat preferences, particularly for endangered species in a rapidly changing world.

Wyoming↗

A computer model to forecast wetland vegetation changes resulting from restoration and protection in coastal Louisiana

The coastal wetlands of Louisiana are a unique ecosystem that supports a diversity of wildlife as well as a diverse community of commercial interests of both local and national importance. The state of Louisiana has established a 5-year cycle of scientific investigation to provide up-to-date information to guide future legislation and regulation aimed at preserving this critical ecosystem. Here we report on a model that projects changes in plant community distribution and composition in response to environmental conditions. This model is linked to a suite of other models and requires input from those that simulate the hydrology and morphology of coastal Louisiana. Collectively, these models are used to assess how alternative management plans may affect the wetland ecosystem through explicit spatial modeling of the physical and biological processes affected by proposed modifications to the ecosystem. We have also taken the opportunity to advance the state-of-the-art in wetland plant community modeling by using a model that is more species-based in its description of plant communities instead of one based on aggregated community types such as brackish marsh and saline marsh. The resulting model provides an increased level of ecological detail about how wetland communities are expected to respond. In addition, the output from this model provides critical inputs for estimating the effects of management on higher trophic level species though a more complete description of the shifts in habitat.

Louisiana↗

Hydroclimate projections and effects on runoff at National Wildlife Refuges in the semi-arid western U.S.

This study evaluated hydroclimate projections and effects on runoff at National Wildlife Refuges in a semiarid region of the western United States (U.S. Fish and Wildlife Service Region 6) using mean air temperature (TAVE) and precipitation (PPT) inputs and runoff (RO) output from a national application of a Monthly Water Balance Model (MWBM). An ensemble of statistically downscaled global circulation models for two future emissions scenarios from Coupled Model Intercomparison Project 3 and 5 (CMIP3 and 5) were assessed at the refuges for the years 1950–2099. TAVE, PPT, and RO and departures from mean baseline conditions were analyzed from MWBM hydrologic response units within refuge boundaries. Seasonal results were evaluated across four periods: historical (1951–1969), baseline (1981–1999), 2050 (2041–2059), and 2080 (2071–2089). Projected TAVE increases for all refuges and time periods, whereas PPT and RO are much more variable across ecoregions. Using the high emission scenario, summer mean monthly TAVE increases range from 4.8°C to 5.5°C by 2080. Summer mean monthly PPT departures vary from −5.7 to 3.9 mm (up to 14% decrease), with decreases at 41% of refuges. Summer RO departures range from −16.7 to 0.2 mm (up to 60% decrease), with decreases at 71% of refuges. Under the same emission scenario, winter PPT and RO increase at most refuges by 2080. These variable departures will create substantial challenges for future conservation management in the region.

JAWRA Journal of the American Water Resources Asso↗

Invasive Brown Treesnake movements at road edges indicate road-crossing avoidance

Roads have significant impacts on the dispersal of wildlife. Although this poses a threat to the abundance and diversity of desirable flora and fauna, it also affords some opportunity for enhancing control of invasive species. Roads are the most common terrain features that may affect the rate of landscape-scale movements of invasive Brown Treesnakes (Boiga irregularis) throughout Guam. We radio tracked 45 free-ranging Brown Treesnakes in close proximity to two roads in Guam and recorded instances where daily relocations of snakes spanned roads. Then we reconstructed observed movement histories with randomized turning angles, which served as a useful null hypothesis for assessing the effect of roads or road edge habitat on Brown Treesnake movement patterns. Random walk simulations demonstrated that Brown Treesnakes crossed these roads at a rate far lower than would be expected if snake movement was random with respect to roads and road edge habitat. We discuss two alternative hypotheses for these results: 1) habitat gaps posed by roads physically or behaviorally restrict snake movement; or 2) road edges provide preferred foraging habitat from which snakes are reluctant to depart. Because roads often form the boundaries of jurisdictional and management units, the effects of roads on the movement of invasive Brown Treesnakes will influence the prospects for success of future landscape-level suppression efforts.

Journal of Herpetology↗

Quantification of instream flow needs of a wild and scenic river for water rights litigation

The lower 4 miles of the Red River, a tributary of the Rio Grande in northern New Mexico, was designated as one of the “instant” components of the National Wild and Scenic River System in 1968. The Bureau of Land Management (BLM), as the managing agency of the wild and scenic river, was a participant in a general water rights adjudication of the Red River stream system. The BLM sought a federal reserved water right and asserted a claim to the instream flows necessary to protect and maintain the values of the river. Instream flows are not recognized under New Mexico water law. Instream flow requirements were determined by several methods to quantify the claims made by the United States for a federal reserved water right under the Wild and Scenic Rivers Act. The scenic (aesthetic), recreational, and fish and wildlife values are the purposes for which instream flow requirements were claimed. Since water quality is related to these values, instream flows for waste transport and protection of water quality were also included in the claim. The U.S. Fish and Wildlife Service's Instream Flow Incremental Methodology was used to quantify the relationship between various flow regimes and fish habitat. Experience in this litigation indicates the importance of using state-of-the-art methodologies in quantifying instream flow claims. The incremental methodology held up well under technical and legal scrutiny and is an example of the latest methodology that was applied successfully in an adjudication. On February 23, 1984, the parties involved in the adjudication entered a precedential stipulation recognizing a federal reserved right to instream flows for the Red River component of the National Wild and Scenic River System.

New Mexico↗

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