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At least 235 records · Page 13Linked to original sources

Assessment of operational and structural factors influencing performance of fish collectors in forebays of high-head dams

Providing efficient downstream passage is critical for improving populations of migratory fishes in impounded river systems. High‐head dams, such as those used for water storage or flood‐risk management, pose unique passage challenges requiring unique solutions. Systems to collect fish in dam forebays (“forebay collectors”) for transport to downstream release locations have been used at some high‐head dams in the western United States since the 1950s. Collection efficiency of these facilities has ranged from nearly 0% to 100%, suggesting the need for a better understanding of factors affecting performance in these complex environments if they are to be designed and deployed at new sites. We compiled information on environmental, structural, and performance characteristics of seven existing forebay collectors to quantify factors affecting their performance based on a meta‐analysis using a data set containing 52 separate collection estimates. Covariates included species type (steelhead Oncorhynchus mykiss, Chinook Salmon O. tshawytscha, Coho Salmon O. kisutch, and Sockeye Salmon O. nerka), collector inflow, collector entrance area, relative size of the dam forebay, and whether or not nets were used to enhance collection. We found that inflow, the use of lead nets, the size of the collector entrance area, the relative size of the dam forebay, and the interaction between collector entrance and forebay areas were significant predictors of collection performance. There was also evidence for differences between species. Chinook Salmon exhibited the lowest collection rates among the projects we examined, while steelhead collection rates were highest. These results provide guidance to design more efficient forebay collectors and improve the success of existing systems.

Oregon, Washington

Recovery of coded wire tags at a caspian tern colony in San Francisco Bay: A technique to evaluate impacts of avian predation on juvenile salmonids

We recovered coded wire tags (CWTs) from a colony of Caspian terns Hydroprogne caspia on Brooks Island in San Francisco Bay, California, to evaluate predation on juvenile salmonids originating from the Sacramento and San Joaquin rivers. Subsamples of colony substrate representing 11.7% of the nesting habitat used by the terns yielded 2,079 salmonid CWTs from fish released and subsequently consumed by terns in 2008. The estimated number of CWTs deposited on the entire tern colony was 40,143 (ranging from 26,763 to 80,288), once adjustments were made to account for tag loss and the total amount of nesting habitat used by terns. Tags ingested by terns and then egested on the colony were undamaged, and the tags' complete numeric codes were still identifiable. The CWTs found on the tern colony indicated that hatchery Chinook salmon Oncorhynchus tshawytscha trucked to and released in San Pablo Bay were significantly more likely to be consumed by Caspian terns than Chinook salmon that migrated in-river to the bay; 99.7% of all tags recovered were from bay-released Chinook salmon. Of the CWTs recovered on the tern colony, 98.0% were from fall-run Chinook salmon, indicating a higher susceptibility to tern predation than for the spring run type. None of the approximately 518,000 wild Chinook salmon that were coded-wire-tagged and released in the basin were recovered on the tern colony, suggesting that the impacts on wild, U.S. Endangered Species Act-listed Chinook salmon populations were minimal in 2008. Overall, we estimate that 0.3% of the approximately 12.3 million coded-wire-tagged Chinook salmon released in the basin in 2008 were subsequently consumed by Caspian terns from the Brooks Island colony. These results indicate that CWTs implanted in juvenile salmon can be recovered from a piscivorous waterbird colony and used to evaluate smolt losses for runs that are tagged. Abstract We recovered coded wire tags (CWTs) from a colony of Caspian terns Hydroprogne caspia on Brooks Island in San Francisco Bay, California, to evaluate predation on juvenile salmonids originating from the Sacramento and San Joaquin rivers. Subsamples of colony substrate representing 11.7% of the nesting habitat used by the terns yielded 2,079 salmonid CWTs from fish released and subsequently consumed by terns in 2008. The estimated number of CWTs deposited on the entire tern colony was 40,143 (ranging from 26,763 to 80,288), once adjustments were made to account for tag loss and the total amount of nesting habitat used by terns. Tags ingested by terns and then egested on the colony were undamaged, and the tags' complete numeric codes were still identifiable. The CWTs found on the tern colony indicated that hatchery Chinook salmon Oncorhynchus tshawytscha trucked to and released in San Pablo Bay were significantly more likely to be consumed by Caspian terns than Chinook salmon that migrated in-river to the bay; 99.7% of all tags recovered were from bay-released Chinook salmon. Of the CWTs recovered on the tern colony, 98.0% were from fall-run Chinook salmon, indicating a higher susceptibility to tern predation than for the spring run type. None of the approximately 518,000 wild Chinook salmon that were coded-wire-tagged and released in the basin were recovered on the tern colony, suggesting that the impacts on wild, U.S. Endangered Species Act-listed Chinook salmon populations were minimal in 2008. Overall, we estimate that 0.3% of the approximately 12.3 million coded-wire-tagged Chinook salmon released in the basin in 2008 were subsequently consumed by Caspian terns from the Brooks Island colony. These results indicate that CWTs implanted in juvenile salmon can be recovered from a piscivorous waterbird colony and used to evaluate smolt losses for runs that are tagged ?? American Fisheries Society 2011.

North American Journal of Fisheries Management

Avifaunal responses to fire in southwestern montane forests along a burn severity gradient

The effects of burn severity on avian communities are poorly understood, yet this information is crucial to fire management programs. To quantify avian response patterns along a burn severity gradient, we sampled 49 random plots (2001-2002) at the 17 351-ha Cerro Grande Fire (2000) in New Mexico, USA. Additionally, pre-fire avian surveys (1986-1988, 1990) created a unique opportunity to quantify avifaunal changes in 13 pre-fire transects (resampled in 2002) and to compare two designs for analyzing the effects of unplanned disturbances: after-only analysis and before-after comparisons. Distance analysis was used to calculate densities. We analyzed after-only densities for 21 species using gradient analysis, which detected a broad range of responses to increasing burn severity: (I) large significant declines, (II) weak, but significant declines, (III) no significant density changes, (IV) peak densities in low- or moderate-severity patches, (V) weak, but significant increases, and (VI) large significant increases. Overall, 71% of the species included in the after-only gradient analysis exhibited either positive or neutral density responses to fire effects across all or portions of the severity gradient (responses III-VI). We used pre/post pairs analysis to quantify density changes for 15 species using before-after comparisons; spatiotemporal variation in densities was large and confounded fire effects for most species. Only four species demonstrated significant effects of burn severity, and their densities were all higher in burned compared to unburned forests. Pre- and post-fire community similarity was high except in high-severity areas. Species richness was similar pre- and post-fire across all burn severities. Thus, ecosystem restoration programs based on the assumption that recent severe fires in Southwestern ponderosa pine forests have overriding negative ecological effects are not supported by our study of post-fire avian communities. This study illustrates the importance of quantifying burn severity and controlling confounding sources of spatiotemporal variation in studies of fire effects. After-only gradient analysis can be an efficient tool for quantifying fire effects. This analysis can also augment historical data sets that have small samples sizes coupled with high non-process variation, which limits the power of before-after comparisons. ?? 2007 by the Ecological Society of America.

Ecological Applications

Acid rain publications by the U.S. Fish and Wildlife Service, 1979-1989

Pollution of aquatic and terrestrial ecosystems has been a concern to society since the burning of fossil fuels began in the industrial revolution. In the past decade or so, this concern has been heightened by evidence that chemical transformation in the atmosphere of combustion by-products and subsequent long-range transport can cause environmental damage in remote areas. The extent of this damage and the rates of ecological recovery were largely unknown. "Acid rain" became the environmental issue of the 1980's. To address the increasing concerns of the public, in 1980 the Federal government initiated a 10-year interagency research program to develop information that could be used by the President and the Congress in making decisions for emission controls. The U.S. Fish and Wildlife Service has been an active participant in acid precipitation research. The Service provided support to a number of scientific conferences and forums, including the Action Seminar on Acid Precipitation held in Toronto, Canada, in 1979, an international symposium on Acidic Precipitation and Fishery Impacts in Northeastern North America in 1981, and a symposium on Acidic Precipitation and Atmospheric Deposition: A Western Perspective in 1982. These meetings as well as the growing involvement with the government's National Acidic Precipitation Assessment Program placed the Service in the lead in research on the biological effects of acidic deposition. Research projects have encompassed water chemistry, aquatic invertebrates, amphibians, fish, and waterfowl. Water quality surveys have been conducted to help determine the extent of acid precipitation effects in the northeast, Middle Atlantic, and Rocky Mountain regions. In addition to lake and stream studies, research in wetland and some terrestrial habitats has also been conducted. Specific projects have addressed important sport species such as brook trout (Salvelinus fontinalis), Atlantic salmon (Salmo salar), and striped bass (Morone saxatilis). Trace metal accumulation in fish has been investigated and a symposium sponsored on related work. U.S> Fish and Wildlife Service scientists serve as advisors and participants in research being conducted by industry, nonprofit groups, State and other Federal agencies. Researcher have worked closely with colleagues in Canada, England, Norway, Scotland, the Soviet Union, and Sweden to gain additional understanding of the problem. In 1982, the Service implemented a mitigation research program to provide resource managers with information to help them protect sensitive ecosystems, and rehabilitation methods for resources already affected by acidification. An international workshop was convened to outline the research needs. Several conferences were organized to develop appropriate field and laboratory procedures. Scientists with the mitigation research program are evaluating the ecological effects of liming (addition of base material) surface waters and surrounding watershed to provide buffering against acidic inputs. Through long-term cooperative project with States and other organizations, investigations are studying possible abatement methods for regions most affected by acidic deposition. To date, more than 200 reports the describe these studies have been published. These products include conference proceedings, journal articles, and in-house scientific publications. An education poster describing the effects of acid rain on aquatic ecosystems was developed and distributed to individuals, conservations and State organizations, and the public education system. This annotated bibliography lists current publications by Service authors, cooperators, or contractors on acid rain and related quality. Entire are arranged alphabetically by author surname. For further information about the research program, contact the U.S. Fish and Wildlife Service, Acid Precipitation Section, National Fishery Research Center -- Leetown, Box 700, Kearneysville, WV 25430.

Biological Report

Seasonal Distribution and Movements of Atlantic and Shortnose Sturgeon in the Penobscot River Estuary, Maine

Relatively little is known about the distribution and seasonal movement patterns of shortnose sturgeon Acipenser brevirostrum and Atlantic sturgeon Acipenser oxyrinchus oxyrinchus occupying rivers in the northern part of their range. During 2006 and 2007, 40 shortnose sturgeon (66–113.4 cm fork length [FL]) and 8 Atlantic sturgeon (76.2–166.2 cm FL) were captured in the Penobscot River, Maine, implanted with acoustic transmitters, and monitored using an array of acoustic receivers in the Penobscot River estuary and Penobscot Bay. Shortnose sturgeon were present year round in the estuary and overwintered from fall (mid-October) to spring (mid-April) in the upper estuary. In early spring, all individuals moved downstream to the middle estuary. Over the course of the summer, many individuals moved upstream to approximately 2 km of the downstream-most dam (46 river kilometers [rkm] from the Penobscot River mouth [rkm 0]) by August. Most aggregated into an overwintering site (rkm 36.5) in mid- to late fall. As many as 50% of the tagged shortnose sturgeon moved into and out of the Penobscot River system during 2007, and 83% were subsequently detected by an acoustic array in the Kennebec River, located 150 km from the Penobscot River estuary. Atlantic sturgeon moved into the estuary from the ocean in the summer and concentrated into a 1.5-km reach. All Atlantic sturgeon moved to the ocean by fall, and two of these were detected in the Kennebec River. Although these behaviors are common for Atlantic sturgeon, regular coastal migrations of shortnose sturgeon have not been documented previously in this region. These results have important implications for future dam removals as well as for rangewide and river-specific shortnose sturgeon management.

Maine

Finding the sweet spot: Shifting climate optima for maple syrup production in North America

Climate change is affecting the benefits society derives from forests. One such forest ecosystem service is maple syrup, which is primarily derived from Acer saccharum (sugar maple), currently an abundant and widespread tree species in eastern North America. Two climate sensitive components of sap affect syrup production: sugar content and sap flow. The sugar in maple sap derives from carbohydrate stores influenced by prior year growing season conditions. Sap flow is tied to freeze/thaw cycles during early spring. Predicting climate effects on syrup production thus requires integrating observations across scales and biological processes. We observed sap at 6 sugar maple stands spanning sugar maple’s latitudinal range over 2¬–6 years to predict the role of climate variation on sugar content and sap flow. We found that the timing of sap collection advanced by 4.3 days for every 1 °C increase in March mean temperature, sap volume peaked at a January-May mean temperature of 1 °C, and sap sugar content declined by 0.1 °Brix for every 1 °C increase in previous May-October mean temperature. Using these empirical relationships, we projected that the sap collection season midpoint will be 1 month earlier and sap sugar content will decline by 0.7 °Brix across sugar maple’s range by the year 2100 in an RCP 8.5 climate change scenario. The region of maximum sap flow is expected to shift northward by 400km, from near the 43rd parallel to the 48th parallel by 2100. Our findings suggest climate change will have profound effects on syrup yield across most of sugar maple’s range; drastic shifts in the timing of the tapping season accompanied by flat to moderate increases in syrup yield per tap in Canada contrast with declines in syrup yield and higher frequencies of poor syrup production years across most of the U.S. range.

Forest Ecology and Management

Reach-scale associations between introduced Brook Trout and juvenile and stream-resident Bull Trout in Idaho

Objective Native Bull Trout Salvelinus confluentus populations can be influenced by a variety of stressors operating at multiple spatial scales, making the relative importance of biotic versus abiotic controls difficult to discern at small scales where monitoring and management typically occur. Nonnative Brook Trout S. fontinalis were widely introduced throughout western North America and negatively affect Bull Trout occurrence. Here, we examine reach-scale associations between nonnative Brook Trout and juvenile and stream-resident Bull Trout (i.e., <250 mm) abundances through the lens of a constraining threshold, where nonnative fish exceeding a certain fish density may constrain native fish abundance. Methods We used a large spatial data set to define the abiotic conditions in which stream-dwelling Brook Trout and Bull Trout smaller than 250 mm typically co-occur in Idaho. Next, we queried multipass electrofishing survey data collected in reaches with abiotic conditions suitable for both species within localized areas where their distributions overlap. We then used two-dimensional Kolmogorov–Smirnov tests to identify threshold Brook Trout densities beyond which Bull Trout less than 250 mm were consistently rare or absent. Result Bull Trout smaller than 250 mm were rare or absent where Brook Trout density exceeded 0.54 fish/100 m 2 across the full range of abiotic conditions over which both species overlapped. However, Brook Trout rarely occurred in habitats associated with high Bull Trout density (e.g., where mean August water temperatures were 8.2°C). Conclusion Our results support existing hypotheses that the long-term co-occurrence of Bull Trout and Brook Trout in stream reaches suitable for both species may be unstable. Because low densities of Brook Trout appear to threaten Bull Trout, additional research is needed to better understand factors driving ongoing range shifts and invasion dynamics in Bull Trout habitat. We provide a simple tool to inform where Brook Trout represent a primary threat to Bull Trout, with potential applications for future monitoring, threat assessments, and conservation efforts.

Idaho

Timing is everything: Drivers of upstream movement of fishes

Objective Understanding whether fishes quickly respond to shifting temperatures and flows, especially as they pass through river reaches that may be thermally unsuitable, may help to prioritize climate-informed management strategies. Methods Here, we use 15 years of daily fish passage data (2005–2020) from the Leaburg Dam on the McKenzie River, Oregon, USA, with water temperatures and river flows from two associated gauges. We examine the relative influence of temperature, flow, and calendar date on fish moving upstream, the range of conditions experienced by each species, and long-term patterns in timing, supported by annual count data from the years 1971–2020. Results Comparisons of timing and conditions while each species passed upstream through the Leaburg Dam fish ladders revealed that some taxa were more consistent seasonally (e.g., Pacific Lamprey Entosphenus tridentatus and Largescale Sucker Catostomus macrocheilus ), experiencing a more restricted range of conditions, while others moved throughout the year under highly variable environmental conditions (e.g., trout). For both groups, calendar date appeared to be a primary driver of movement timing, even when local environmental factors of temperature and flow were considered. We note broad trends toward earlier passage across all species except Chinook Salmon Oncorhynchus tshawytscha . Notable declines in movement of Mountain Whitefish Prosopium williamsoni and Largescale Suckers occurred during years of extreme weather events, indicating that they may be particularly sensitive to the combined impacts of water temperature and flow and could serve as sentinel taxa. Conclusions Although timing is recognized as a driver for the onset of migrations, this suggests that most fish may continue to move upriver during consistent time periods, potentially increasing their risk of exposure to suboptimal environmental conditions. Our results demonstrate the utility of long-term passage data for detecting patterns in local timing, environmental conditions co-occurring with fish movement, and the sensitivity of different fish species in responding to environmental extremes during upstream migrations.

Oregon

Survival rates, mortality causes, and habitats of Pennsylvania white-tailed deer fawns

Estimates of survival and cause-specific mortality of white-tailed deer ( Odocoileus virginianus ) fawns are important to population management. We quantified cause-specific mortality, survival rates, and habitat characteristics related to fawn survival in a forested landscape and an agricultural landscape in central Pennsylvania. We captured and radiocollared neonatal (<3 weeks) fawns in 2000–2001 and monitored fawns from capture until death, transmitter failure or collar release, or the end of the study. We estimated survivorship functions and assessed influence on fawn survival of road density, habitat edge density, habitat patch diversity, and proportion of herbaceous habitat. We captured 110 fawns in the agricultural landscape and 108 fawns in the forested landscape. At 9 weeks after capture, fawn survival was 72.4% (95% Cl = 63.3–80.0%) in the agricultural landscape and 57.2% (95% Cl = 47.5–66.3%) in the forested landscape. Thirty-four-week survival was 52.9% (95% Cl = 42.7–62.8%) in the agricultural landscape and 37.9% (95% Cl = 27.7–49.3%) in the forested landscape. We detected no relationship between fawn survival and road density, percent herbaceous cover, habitat edge density, or habitat patch diversity (all P >0.05). Predation accounted for 46.2% (95% Cl = 37.6–56.7%) of 106 mortalities through 34 weeks. We attributed 32.7% (95% Cl = 21.9–48.6%) and 36.7% (95% Cl = 25.5–52.9%) of 49 predation events to black bears ( Ursus americanus ) and coyotes ( Canis latrans ), respectively. Natural causes, excluding predation, accounted for 27.4% (95% Cl = 20.1–37.3) of mortalities. Fawn survival in Pennsylvania was comparable to reported survival in forested and agricultural regions in northern portions of the white-tailed deer range. We have no evidence to suggest that the fawn survival rates we observed were preventing population growth. Because white-tailed deer are habitat generalists, home-range-scale habitat characteristics may be unrelated to fawn survival; therefore, future studies should consider landscape-related characteristics on fawn survival.

Pennsylvania

Techniques for capturing bighorn sheep lambs

Low lamb recruitment is a major challenge facing managers attempting to mitigate the decline of bighorn sheep ( Ovis canadensis ), and investigations into the underlying mechanisms are limited because of the inability to readily capture and monitor bighorn sheep lambs. We evaluated 4 capture techniques for bighorn sheep lambs: 1) hand-capture of lambs from radiocollared adult females fitted with vaginal implant transmitters (VITs), 2) hand-capture of lambs of intensively monitored radiocollared adult females, 3) helicopter net-gunning, and 4) hand-capture of lambs from helicopters. During 2010–2012, we successfully captured 90% of lambs from females that retained VITs to ≤1 day of parturition, although we noted differences in capture rates between an area of high road density in the Black Hills (92–100%) of South Dakota, USA, and less accessible areas of New Mexico (71%), USA. Retention of VITs was 78% with pre-partum expulsion the main cause of failure. We were less likely to capture lambs from females that expelled VITs ≥1 day of parturition (range = 80–83%) or females that were collared without VITs (range = 60–78%). We used helicopter net-gunning at several sites in 1999, 2001–2002, and 2011, and it proved a useful technique; however, at one site, attempts to capture lambs led to lamb predation by golden eagles ( Aquila chrysaetos ). We attempted helicopter hand-captures at one site in 1999, and they also were successful in certain circumstances and avoided risk of physical trauma from net-gunning; however, application was limited. In areas of low accessibility or if personnel lack the ability to monitor females and/or VITs for extended periods, helicopter capture may provide a viable option for lamb capture.

Colorado;New Mexico;South Dakota

Landscape-scale evaluation of asymmetric interactions between Brown Trout and Brook Trout using two-species occupancy models

Predicting the distribution of native stream fishes is fundamental to the management and conservation of many species. Modeling species distributions often consists of quantifying relationships between species occurrence and abundance data at known locations with environmental data at those locations. However, it is well documented that native stream fish distributions can be altered as a result of asymmetric interactions between dominant exotic and subordinate native species. For example, the naturalized exotic Brown Trout Salmo trutta has been identified as a threat to native Brook Trout Salvelinus fontinalis in the eastern United States. To evaluate large-scale patterns of co-occurrence and to quantify the potential effects of Brown Trout presence on Brook Trout occupancy, we used data from 624 stream sites to fit two-species occupancy models. These models assumed that asymmetric interactions occurred between the two species. In addition, we examined natural and anthropogenic landscape characteristics we hypothesized would be important predictors of occurrence of both species. Estimated occupancy for Brook Trout, from a co-occurrence model with no landscape covariates, at sites with Brown Trout present was substantially lower than sites where Brown Trout were absent. We also observed opposing patterns for Brook and Brown Trout occurrence in relation to percentage forest, impervious surface, and agriculture within the network catchment. Our results are consistent with other studies and suggest that alterations to the landscape, and specifically the transition from a forested catchment to one that contains impervious surface or agriculture, reduces the occurrence probability of wild Brook Trout. Our results, however, also suggest that the presence of Brown Trout results in lower occurrence probability of Brook Trout over a range of anthropogenic landscape characteristics, compared with streams where Brown Trout were absent.

Pennsylvania

Thunder on the Yellowstone revisited: An assessment of management of native ungulates by natural regulation, 1968-1993

Natural regulation of native ungulates was initiated in 1968 in Yellowstone National Park (YNP) based on the premise that ungulates would reach an equilibrium with their plant resources. The natural-regulation management model stated: density dependence will regulate ungulates (i.e., a dynamic equilibrium will result between ungulates and their food supply, within some bounds of vegetation and soil effects); and no retrogression of soil and vegetation will occur from elk (Cervus elaphus) grazing during this process. The historical record indicated that elk were abundant in the system and elk were primarily food limited before settlement by European man (i.e., wolves [Canis lupus] and Native Americans were only an adjunct to the density dependent population regulation of ungulates). Density dependence was demonstrated in elk, but not in bison (Bison bison). No widespread evidence of overgrazing was observed through 1993 in study sites within vegetation communities that comprised about 97% of the winter range. No evidence of increased exotics, increased sediment yield, warming or drying of the soil, changes in soil nutrients, or differences in aboveground standing-crop biomass of plants was found between grazed and ungrazed plots. Ungulate herbivory apparently stimulated aboveground production of grasses, enhanced nitrogen and macronutrients in grasses, increased nutrient cycling, and enhanced measures of fitness in 6 common plants. However, exposed soil surface (bare ground and pebbles combined) was 11-18% greater on grazed than ungrazed plots, apparently due to a 71% decline in dead and standing litter on grazed plots. Percent live-plant basal cover, however, did not differ on grazed versus ungrazed plots, and there was no difference in soil microclimate or sediment yield. Differences in the abundance of 12% of the herbaceous species were found in grazed versus ungrazed sites (16 of 128 species); 10 were declines and 6 were increases. Willow (Salix spp.) and aspen (Populus tremuloides) declines predated the new management policy, but their slow declines also continued after 1968. Three uncommon plant species (aspen, willow, and Wyoming big sagebrush [Artemisia tridentata tridentata]) and 1 herbivore (moose [Alces alces]) declined under natural-regulation management. Two uncommon species of woody browse (aspen, Wyoming big sagebrush) were overutilized by ungulates (consumption of >2/3 current annual growth occurred). We conclude the natural-regulation model for YNP was flawed in its assumptions of a single, steady state for the park, based on conditions presumed to exist in 1870 prior to establishment of the national park. The period selected as a standard (1870) was an unusual period characterized by frequent large fires and floods, common wolves, few elk, and a cooler, wetter climate. We also conclude there is a high level of uncertainty surrounding what elk densities were in pre-Columbian times (element 3 of the management model) and what effects wolves and Native Americans had in regulating the elk population.

Wildlife Society Bulletin

Concordance in diagnostic testing for respiratory pathogens of bighorn sheep

Reliable diagnostic tests are essential for disease investigation and management. This is particularly true for diseases of free-ranging wildlife where sampling is logistically difficult precluding retesting. Clinical assays for wildlife diseases frequently vary among laboratories because of lack of appropriate standardized commercial kits. Results of diagnostic testing may also be called into question when investigators report different etiologies for disease outbreaks, despite similar clinical and pathologic findings. To evaluate reliability of diagnostic testing for respiratory pathogens of bighorn sheep ( Ovis canadensis ), we conducted a series of ring tests across 6 laboratories routinely involved in detection of Mycoplasma ovipneumoniae , Pasteurellaceae, lktA (the Pasteurellaceae gene encoding leukotoxin), and 3 reference laboratories. Consistency of results for replicate samples within laboratories was high (median agreement = 1.0). Agreement between laboratories was high for polymerase chain reaction (PCR) detection of M. ovipneumoniae and culture isolation of Mannheimia spp. and Bibersteinia trehalosi (median agreement = 0.89–0.95, Kappa = 0.65–0.74), and lower for PCR detection of Mannheimia spp. lktA (median agreement = 0.58, Kappa = 0.12). Most errors on defined status samples were false negatives, suggesting test sensitivity was a greater problem than specificity. However, tests for M. haemolytica and lktA yielded some false positive results. Despite differences in testing protocols, median agreement among laboratories and correct classification of controls for most agents was ≥0.80, meeting or exceeding the standard required by federal proficiency testing programs. This information is valuable for interpreting test results, laboratory quality assessments, and advancing diagnosis of respiratory disease in wild sheep. Published 2016. This article is a U.S. Government work and is in the public domain in the USA.

Wildlife Society Bulletin

Decadal stability in stream fish communities and contemporary ecological drivers of species occupancy in two Appalachian U.S. National Parks

Objective Although conserving fish biodiversity in lotic systems is challenging, protected areas can provide refuge from certain environmental stressors. In the Appalachian region, USA, the National Park Service manages Delaware Water Gap National Recreation Area (DEWA) and New River Gorge National Park & Preserve (NERI), which contain abundant and diverse freshwater resources. To assess the effectiveness of these protected areas in conserving stream fishes, we evaluated decadal changes and ecological drivers of species occupancy and detection. Methods Using fish assemblage data from backpack electrofishing surveys conducted in both parks during 2013–2014 and 2022–2023, we quantified temporal differences in species occupancy and detection probabilities using a Bayesian hierarchical multispecies occupancy modeling approach. For the 2022–2023 survey, we included habitat variables as predictors of occupancy and detection. Results Community composition and occupancy probabilities for species in both parks remained similar through time, with the most recent occupancy estimates ranging from 0.07 (90% CI = 0.02, 0.14) for Variegate Darter Etheostoma variatum and Rainbow Darter E. ­caeruleum to 0.73 (90% credible interval = 0.59, 0.85) for Blacknose Dace Rhinichthys atratulus . Changes in occupancy were more prominent at Delaware Water Gap National Recreation Area than New River Gorge National Park & Preserve, with Yellow Perch Perca flavescens having a posterior mean difference of −0.17 [90% credible interval = −0.35, −0.01] and American Eel Anguilla rostrata having a high posterior probability (>80%) of occupancy increasing by at least 1%. Habitat variables were related to community structure, but effects varied in significance, magnitude, and direction among species and parks. Conversely, species-specific detection probabilities were comparatively less affected by environmental and sampling effort predictors. Conclusions Between 2013 and 2023, occupancy estimates for 44 fish species across two protected, ecologically diverse landscapes remained relatively stable. Furthermore, we highlight the efficacy of national parks in maintaining freshwater fish biodiversity amidst rapid global change.

New Jersey, Pennsylvania, West Virginia

Reconstructing relative abundance indices for Atlantic sturgeon using hierarchical ecological models

Objective The Atlantic Sturgeon Acipenser oxyrinchus is a wide-ranging, long-lived diadromous fish that is endangered in most of its range. Our objective was to develop and apply long-term, detection-corrected indices of relative abundance for juvenile and adult Atlantic Sturgeon in the Hudson River, New York, United States, to support population monitoring and stock assessment. Methods We used long-term gill-net catches to estimate relative abundances of juvenile and adult Atlantic Sturgeon while accounting for imperfect detection within an N- mixture modeling framework. We validated the model framework using a simulation–estimation framework based on mean parameter estimates from the adult Atlantic Sturgeon relative abundance index. Results Simulation testing indicated that absolute abundance estimates may be biased low due to poor characterization of detection probabilities. However, model estimates of relative abundance tracked simulated abundance trends well. Juvenile relative abundance estimates followed similar trends as raw gill-net catches but were less variable among years when corrected for detection probability. Relative abundance of juveniles increased from 2004 to 2015 prior to declining through 2022, with little evidence for change between the start and end of the survey. Detection-corrected indices for adult sturgeon indicated a consistent increase in relative abundance that was not readily apparent in raw catch indices. Conclusions Detection-corrected catch indices can provide improved characterization of Atlantic Sturgeon relative abundance dynamics over raw gill-net catches through use of N- mixture models. The approach has broad applicability to data types that are commonly collected for understanding population trends in stock assessment. Estimation of absolute abundance and other population demographics germane to management would benefit from alternative or auxiliary data collected through approaches such as side-scan sonar or acoustic telemetry, which are increasingly common for monitoring sturgeon populations.

New York

An empirical comparison of stock identification techniques applied to striped bass

Managers of migratory striped bass stocks that mix along the Atlantic coast of the USA require periodic estimates of the relative contributions of the individual stocks to coastal mixed- stock fisheries; however, to date, a standard approach has not been adopted. We compared the performances of alternative stock identification approaches, using samples taken from the same sets of fish. Reference (known) samples were collected from three Atlantic coast spawning systems: the Hudson River, Chesapeake Bay, and the Roanoke River. Striped bass of mixed-stock origin were collected from eastern Long Island, New York, and were used as test (unknown) samples. The approaches applied were discriminant analysis of morphometric data and of meristic data, logistic regression analysis of combined meristic and morphometric data, discriminant analysis of scale-shape features, discriminant analysis of immunoassay data, and mixed-stock analysis of mitochondrial DNA (mtDNA) data. Overall correct classification rates of reference samples ranged from 94% to 66% when just the Hudson and Chesapeake stocks were considered and were comparable when the Chesapeake and Roanoke stocks were grouped as the ''southern'' stock. When all three stocks were treated independently, correct classification rates ranged from 82% to 49%. Despite the moderate range in correct classification rates, bias due to misallocation was relatively low for all methods, suggesting that resulting stock composition estimates should be fairly accurate. However, relative contribution estimates for the mixed-stock sample varied widely (e.g., from 81% to 47% for the Hudson River stock, when only the Hudson River and Chesapeake Bay stocks were considered). Discrepancies may be related to the reliance by all of these approaches (except mtDNA) on phenotypic features. Our results support future use of either a morphometrics-based approach (among the phenotypic methods) or a genotypic approach based on mtDNA analysis. We further recommend a conservative strategy of reliance on a single approach in tracking changes in relative contributions of striped bass stocks to coastal fisheries.

Transactions of the American Fisheries Society

Effects of structural marsh management and salinity on invertebrate prey of waterbirds in marsh ponds during winter on the Gulf Coast Chenier Plain

Aquatic invertebrates are important food resources for wintering waterbirds, and prey selection generally is limited by prey size. Aquatic invertebrate communities are influenced by sediments and hydrologic characteristics of wetlands, which were affected by structural marsh management (levees, water-control structures and impoundments; SMM) and salinity on the Gulf Coast Chenier Plain of North America. Based on previous research, we tested general predictions that SMM reduces biomass of infaunal invertebrates and increases that of epifaunal invertebrates and those that tolerate low levels of dissolved oxygen (O2) and salinity. We also tested the general prediction that invertebrate biomass in freshwater, oligohaline, and mesohaline marshes are similar, except for taxa adapted to specific ranges of salinity. Finally, we investigated relationships among invertebrate biomass and sizes, sediment and hydrologic variables, and marsh types. Accordingly, we measured biomass of common invertebrate by three size classes (63 to 199 ??m, 200 to 999 ??m, and ???1000 ??m), sediment variables (carbon content, C:N ratio, hardness, particle size, and O, penetration), and hydrologic variables (salinity, water depth,temperature, 02, and turbidity) in ponds of impounded freshwater (IF), oligohaline (IO), mesohaline (IM), and unimpounded mesohaline (UM) marshes during winters 1997-1998 to 1999-2000 on Rockefeller State Wildlife Refuge, near Grand Chenier, Louisiana, USA. As predicted, an a priori multivariate analysis of variance (MANOVA) contrast indicated that biomass of an infaunal class of invertebrates (Nematoda, 63 to 199 ??m) was greater in UM marsh ponds than in those of IM marshes, and biomass of an epifaunal class of invertebrates (Ostracoda, 200 to 999 ??m) was greater in IM marsh ponds than in those of UM marshes. The observed reduction in Nematoda due to SMM also was consistent with the prediction that SMM reduces invertebrates that do not tolerate low salinity. Furthermore, as predicted, an a priori MANOVA contrast indicated that biomass of a single invertebrate class adapted to low salinity (Oligochaeta, 200 to 999 ??m) was greater in ponds of IF marshes than in those of IO and IM marshes. A canonical correspondence analysis indicated that variation in salinity and O2 penetration best explained differences among sites that maximized biomass of the common invertebrate classes. Salinity was positively correlated with the silt-clay fraction, O2, and O2 penetration, and negatively correlated with water depth, sediment hardness, carbon, and C:N. Nematoda, Foraminifera, and Copepoda generally were associated with UM marsh ponds and high salinity, whereas other invertebrate classes were distributed among impounded marsh ponds and associated with lower salinity. Our results suggest that SMM and salinity have relatively small effects on invertebrate prey of wintering waterbirds in marsh ponds because they affect biomass of Nematoda and Oligochaeta, and few waterbirds consume these invertebrates. ?? 2003, The Society of Wetland Scientists.

Wetlands

Broadband seismic noise attenuation versus depth at the Albuquerque Seismological Laboratory

Seismic noise induced by atmospheric processes such as wind and pressure changes can be a major contributor to the background noise observed in many seismograph stations, especially those installed at or near the surface. Cultural noise such as vehicle traffic or nearby buildings with air handling equipment also contributes to seismic background noise. Such noise sources fundamentally limit our ability to resolve earthquake‐generated signals. Many previous seismic noise versus depth studies focused separately on either high‐frequency ( &gt; 1 &#x2009;&#x2009; Hz "> > 1 Hz ) or low‐frequency ( &lt; 0.05 &#x2009;&#x2009; Hz "> < 0.05 Hz ) bands. In this study, we use modern high‐quality broadband (BB) and very broadband (VBB) seismometers installed at depths ranging from 1.5 to 188 m at the Albuquerque Seismological Laboratory to evaluate noise attenuation as a function of depth over a broad range of frequencies (0.002–50 Hz). Many modern seismometer deployments use BB or VBB seismometers installed at various depths, depending on the application. These depths range from one‐half meter or less in aftershock study deployments, to one or two meters in the Incorporated Research Institutions for Seismology Transportable Array (TA), to a few meters (shallow surface vaults) up to 100 m or more (boreholes) in the permanent observatories of the Global Seismographic Network (GSN). It is important for managers and planners of these and similar arrays and networks of seismograph stations to understand the attenuation of surface‐generated noise versus depth so that they can achieve desired performance goals within their budgets as well as their frequency band of focus. The results of this study will assist in decisions regarding BB and VBB seismometer installation depths. In general, we find that greater installation depths are better and seismometer emplacement in hard rock is better than in soil. Attenuation for any given depth varies with frequency. More specifically, we find that the dependence of depth will be application dependent based on the frequency band and sensitive axes of interest. For quick deployments (like aftershock studies), 1 m may be deep enough to produce good data, especially when the focus is on vertical data where temperature stability fundamentally limits the low‐frequency noise levels and little low‐frequency data will be used. For temporary (medium‐term) deployments (e.g., TA) where low cost can be very important, 2–3 m should be sufficient, but such shallow installations will limit the ability to resolve low‐frequency signals, especially on horizontal components. Of course, one should try for maximum burial depth within the budget when there is interest in using the data for low‐frequency applications. For long‐term deployments like the permanent observatories of the GSN and similar networks, 100–200 m depth in hard rock is desirable to achieve lowest noise, although 30–60 m may be acceptable.

Bulletin of the Seismological Society of America