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At least 271 records · Page 15Linked to original sources

Combining eddy covariance and chamber methods to better constrain CO2 and CH4 fluxes across a heterogeneous restored tidal wetland

Tidal wetlands play an important role in global carbon cycling by storing carbon in sediment at millennial time scales, transporting dissolved carbon into coastal waters, and contributing significantly to global CH 4 budgets. However, these ecosystems' greenhouse gas monitoring and predictions are challenging due to spatial heterogeneity and tidal flooding. We utilized eddy covariance and chamber measurements to quantify fluxes of CO 2 and CH 4 at a restored tidal saltmarsh across spatial and temporal scales. Eddy covariance data revealed that the site was a strong net sink for CO 2 (−387 g C-CO 2 m −2 yr −1 , SD = 46) and a small net source of CH 4 (0.7 g C-CH 4 m −2 yr −1 , SD = 0.4). After partitioning net ecosystem exchange of CO 2 into gross primary production and ecosystem respiration, we found that high net uptake of CO 2 was due to low respiration emissions rather than high photosynthetic rates. We also found that respiration rates varied between land covers with increased respiration in mudflats compared to vegetated areas. Daytime soil chamber measurements revealed that the greatest CO 2 emission was from higher elevation mudflat soils (0.5 μmol m −2 s −1 , SE = 1.3) and CH 4 emission was greatest from lower elevation Spartina foliosa soils (1.6 nmol m −2 s −1 , SD = 8.2). Overall, these results highlight the importance of the relationships between wetland plant community and elevation, and inundation for CO 2 and CH 4 fluxes. Future research should include the use of high-resolution imagery, automated chambers, and a focus on quantifying carbon exported in tidal waters.

California

Disentangling direct and indirect effects of extreme events on coastal wetland communities

One of the primary ways in which climate change will impact coastal freshwater wetlands is through changes in the frequency, intensity, timing and distribution of extreme weather events. Disentangling the direct and indirect mechanisms of population- and community-level responses to extreme events is vital to predicting how species composition of coastal wetlands will change under future conditions. We extended static structural equation modelling approaches to incorporate system dynamics in a multi-year multispecies occupancy model to quantify the effects of extreme weather events on a coastal freshwater wetland system. We used data from an 8-year study (2009–2016) on St. Marks National Wildlife Refuge in Florida, USA, to quantify species-specific and community-level changes in amphibian and fish occupancy associated with two flooding events in 2012 and 2013. We examine how physical changes to the landscape, including potential changes in salinity and increased wetland connectivity, may have contributed to or exacerbated the effects of these extreme weather events on the biota of isolated coastal wetlands. We provide evidence that the primary effects of flooding on the amphibian community were through indirect mechanisms via changes in the composition of the sympatric fish community that may have had lethal (i.e. through direct predation) or non-lethal (i.e. through direct or indirect competitive interactions) effects. In addition, we have shown that amphibian species differed in their sensitivity to direct flooding effects and indirect changes in the fish community and wetland-specific conductance, which led to variable responses across the community. These effects led to the overall decline in amphibian species richness from 2009 to 2016, suggesting that wetland-breeding amphibian communities on St. Marks National Wildlife Refuge may not be resilient to predicted changes in coastal disturbance regimes because of climate change. Understanding both direct and indirect effects, as well as species interactions, is important for predicting the effects of a changing climate on individual species, communities and ecosystems.

Journal of Animal Ecology

Non-native species impacts on pond occupancy by an anuran

Non‐native fish and bullfrogs ( Lithobates catesbeianus ) are frequently cited as contributing to the decline of ranid frogs in the western United States, so we hypothesized that non‐native species, habitat, or a combination of these relate to the probability of local extinction for northern red‐legged frogs ( Rana aurora ) in Oregon, USA. We also hypothesized that the probability of colonization relates to land use, wetland size, or riparian forest. In a 5‐yr study, we found no support for an effect of non‐native species on northern red‐legged frogs. Instead, probability of local extinction decreased with the extent of emergent vegetation and riparian forest. This finding suggests that managers consider the role of habitat when confronting non‐native species problems.

Oregon

Home range and movements of postfledging American black ducks in eastern Maine

We monitored the movements of 97 female and 15 male juvenile American black ducks (Anas rubripes) in the vicinity of Moosehorn National Wildlife Refuge in eastern Maine and southwestern New Brunswick from September through mid- December, 1985-1987.. Movements were described by estimating home ranges and radial movements from the primary roost marsh. Overall home range sizes averaged 4987 ha (range 54 - 28 070 ha), and maximum distances moved from the roost averaged 9.9 km (range 0.9-42.8 km). Home ranges were linear (linearity index 2.8), and home range area and distance of movements from the roost both increased monthly. Ducks that used >15 % riverine habitat had larger home ranges and moved greater distances from the roost than ducks using <15% riverine wetlands. Movements did not differ between ducks usually alone and those usually in flocks. Juvenile black ducks moved in small flocks and were often alone (34% of 355 observations). Most ducks showed fidelity to one roost-marsh complex from September until migration in late November. Daily and seasonal movement patterns were similar to those predicted for refuging systems.

Canadian Journal of Zoology

Improving the design of amphibian surveys using soil data: A case study in two wilderness areas

Amphibian populations are known, or thought to be, declining worldwide. Although protected natural areas may act as reservoirs of biological integrity and serve as benchmarks for comparison with unprotected areas, they are not immune from population declines and extinctions and should be monitored. Unfortunately, identifying survey sites and performing long-term fieldwork within such (often remote) areas involves a special set of problems. We used the USDA Natural Resource Conservation Service Soil Survey Geographic (SSURGO) Database to identify, a priori, potential habitat for aquatic-breeding amphibians on North and South Manitou Islands, Sleeping Bear Dunes National Lakeshore, Michigan, and compared the results to those obtained using National Wetland Inventory (NWI) data. The SSURGO approach identified more target sites for surveys than the NWI approach, and it identified more small and ephemeral wetlands. Field surveys used a combination of daytime call surveys, night-time call surveys, and perimeter surveys. We found that sites that would not have been identified with NWI data often contained amphibians and, in one case, contained wetland-breeding species that would not have been found using NWI data. Our technique allows for easy a priori identification of numerous survey sites that might not be identified using other sources of spatial information. We recognize, however, that the most effective site identification and survey techniques will likely use a combination of methods in addition to those described here.

Natural Areas Journal

Evidence for conservative transport of dissolved organic carbon in major river basins in the Gulf of Maine Watershed

Transport and fate of dissolved organic carbon (DOC) in rivers are important aspects of the carbon cycle and the critical linkage between terrestrial, aquatic, and marine systems. Recent studies have quantified fluvial export to the marine environment in many systems, but in-stream losses of DOC are poorly constrained. This study compares DOC yields (kg C/ha) between the area-weighted averages of several tributaries within larger watersheds with the DOC yields of the larger watersheds to gain insight on in-stream losses in larger river systems. Four large watersheds, 22 tributaries to those watersheds, and 5 additional main stem locations in Maine were studied during 1 April to 15 November in 2011 through 2013. There were no significant differences in the area-weighted average DOC yield of the tributaries and the larger watersheds indicating little net in-stream loss in the main stems of the larger rivers. It is unlikely that inputs of DOC from un-gauged areas compensated for losses from gauged tributaries based on similarity in DOC yield longitudinally along the main stems of two of the rivers. In addition, wetland abundance, which is associated with higher DOC yield in this environment, did not consistently increase from tributaries to the larger watershed or longitudinally along the main stems. This geographic distribution of wetlands therefore also indicates that it is unlikely that inputs of DOC from un-gauged areas compensated for losses from gauged tributaries. These findings suggest that in-stream losses of DOC in these larger river systems are minimal and that the vast majority of DOC in major rivers in Maine is transported conservatively to the coastal ocean.

Maine

A model of the spatiotemporal dynamics of soil carbon following coastal wetland loss applied to a Louisiana salt marsh in the Mississippi River Deltaic Plain

The potential for carbon sequestration in coastal wetlands is high due to protection of carbon (C) in flooded soils. However, excessive flooding can result in the conversion of the vegetated wetland to open water. This transition results in the loss of wetland habitat in addition to the potential loss of soil carbon. Thus, in areas experiencing rapid wetland submergence, such as the Mississippi River Delta, coastal wetlands could become a significant source of carbon emissions if land loss is not mitigated. To accurately assess the capacity of wetlands to store (or emit) carbon in dynamic environments, it is critical to understand the fate of soil carbon following the transition from vegetated wetland to open water. We developed a simple soil carbon model representing soil depths to 1 m using the data collected from a Louisiana coastal salt marsh in the Mississippi River Deltaic Plain to predict soil carbon density and stock following the transition from a vegetated salt marsh to an open water pond. While immediate effects of ponding on the distribution of carbon within the 1-m soil profile were apparent, there were no effects of ponding on the overall, integrated, carbon stocks 14 years, following wetland submergence. Rather, the model predicts that soil carbon losses in the first meter will be realized over long periods of time (∼200 years) due to changes in the source of carbon (biomass vs. mineral sediment) with minimal losses through mineralization.

Louisiana

Modeling anuran detection and site occupancy on North American Amphibian Monitoring Program (NAAMP) routes in Maryland

One of the most fundamental problems in monitoring animal populations is that of imperfect detection. Although imperfect detection can be modeled, studies examining patterns in occurrence often ignore detection and thus fail to properly partition variation in detection from that of occurrence. In this study, we used anuran calling survey data collected on North American Amphibian Monitoring Program routes in eastern Maryland to investigate factors that influence detection probability and site occupancy for 10 anuran species. In 2002, 17 calling survey routes in eastern Maryland were surveyed to collect environmental and species data nine or more times. To analyze these data, we developed models incorporating detection probability and site occupancy. The results suggest that, for more than half of the 10 species, detection probabilities vary most with season (i.e., day-of-year), air temperature, time, and moon illumination, whereas site occupancy may vary by the amount of palustrine forested wetland habitat. Our results suggest anuran calling surveys should document air temperature, time of night, moon illumination, observer skill, and habitat change over time, as these factors can be important to model-adjusted estimates of site occupancy. Our study represents the first formal modeling effort aimed at developing an analytic assessment framework for NAAMP calling survey data.

Maryland

Great Lakes coastal fish habitat classification and assessment

Basin-scale assessment of fish habitat in Great Lakes coastal ecosystems would increase our ability to prioritize fish habitat management and restoration actions. As a first step in this direction, we identified key habitat factors associated with highest probability of occurrence for several societally and ecologically important coastal fish species as well as community metrics, using data from the Great Lakes Aquatic Habitat Framework (GLAHF), Great Lakes Environmental Indicators (GLEI) and Coastal Wetland Monitoring Program (CWMP). Secondly, we assessed whether species-specific habitat was threatened by watershed-level anthropogenic stressors. In the southern Great Lakes, key habitat factors for determining presence/absence of several species of coastal fish were chlorophyll concentrations, turbidity, and wave height, whereas in the northern ecoprovince temperature was the major habitat driver for most of the species modeled. Habitat factors best explaining fish richness and diversity were bottom slope and chlorophyll a . These models could likely be further improved with addition of high-resolution submerged macrophytecomplexity data which are currently unavailable at the basin-wide scale. Proportion of invasive species was correlated primarily with increasing maximum observed inorganic turbidity and chlorophyll a . We also demonstrate that preferred habitat for several coastal species and high-diversity areas overlap with areas of high watershed stress. Great Lakes coastal wetland fish are a large contributor to ecosystem services as well as commercial and recreational fishery harvest, and scalable basin-wide habitat models developed in this study may be useful for informing management actions targeting specific species or overall coastal fish biodiversity.

Great Lakes

Glyphosate and its degradation product AMPA occur frequently and widely in U.S. soils, surface water, groundwater, and precipitation

Glyphosate use in the United States increased from less than 5,000 to more than 80,000 metric tons/yr between 1987 and 2007. Glyphosate is popular due to its ease of use on soybean, cotton, and corn crops that are genetically modified to tolerate it, utility in no-till farming practices, utility in urban areas, and the perception that it has low toxicity and little mobility in the environment. This compilation is the largest and most comprehensive assessment of the environmental occurrence of glyphosate and aminomethylphosphonic acid (AMPA) in the United States conducted to date, summarizing the results of 3,732 water and sediment and 1,018 quality assurance samples collected between 2001 and 2010 from 38 states. Results indicate that glyphosate and AMPA are usually detected together, mobile, and occur widely in the environment. Glyphosate was detected without AMPA in only 2.3% of samples, whereas AMPA was detected without glyphosate in 17.9% of samples. Glyphosate and AMPA were detected frequently in soils and sediment, ditches and drains, precipitation, rivers, and streams; and less frequently in lakes, ponds, and wetlands; soil water; and groundwater. Concentrations of glyphosate were below the levels of concern for humans or wildlife; however, pesticides are often detected in mixtures. Ecosystem effects of chronic low-level exposures to pesticide mixtures are uncertain. The environmental health risk of low-level detections of glyphosate, AMPA, and associated adjuvants and mixtures remain to be determined.

Journal of the American Water Resources Associatio

Forest area and distribution in the Mississippi alluvial valley: Implications for breeding bird conservation

Knowing the current forest distribution and patch size characteristics is integral to the development of geographically defined, habitat-based conservation objectives for breeding birds. Towards this end, we classified 2.6 million ha of forest cover within the Mississippi Alluvial Valley using 1992 thematic mapper satellite imagery. Although historically this area, from southern Illinois to southern Louisiana, was dominated by forested wetlands, forest cover remains on less than 25% of the floodplain. Remaining forest cover is comprised of > 38,000 discrete forest patches > 2 ha. Mean patch area (64.1±5.2 ha; x̄ ±SE) was highly skewed towards small fragment size. Larger patches had a higher proportion of more hydric forest cover classes than did smaller patches which had a higher proportion of less hydric forest cover classes. Public lands accounted for 16% of remaining forested wetlands. Fewer than 100 forest patches exceeded our hypothesized habitat objective (4000 ha minimum contiguous forest area) intended to support self-sustaining populations of forest breeding birds. To increase the number of forest patches exceeding 4000 ha contiguous area, and thereby increase the likelihood of successful forest bird conservation, we recommend afforestation adjoining existing forest fragments ≥1012 ha and focused within designated Forest Bird Conservation Regions.

Journal of Biogeography

Experimental evaluation of predator exclosures on nest, chick, and adult survival of piping plovers

Species of conservation concern often receive intensive management to improve vital rates and facilitate recovery. Piping plovers ( Charadrius melodus ) are federally listed in the United States and concerns over nest depredation have prompted widespread use of plover-permeable predator exclosures placed around nests (0.5–2-m radius). While effectiveness of exclosures for improving nest survival has been demonstrated, concerns remain about decreased chick survival (through predator cueing or density-dependent processes) or increased vulnerability of adults to predation (ambush as adult leaves exclosure). Either one of these concerns could demographically outweigh the benefits of increased nest survival. During 2014–2016, we conducted an experiment designed to evaluate survival of uniquely identified nests ( n = 418), chicks ( n = 453), and adults ( n = 367) at wetlands across the Northern Great Plains, USA. We assigned wetlands ( n 2014 = 26, n 2015 = 28, n 2016 = 25) into 2 groups: wetlands in which half of the nests received exclosures and wetlands in which none of the nests received exclosures. Exclosed nests had greater cumulative survival (0.73 [85% CI = 0.70–0.77]) than unexclosed nests at treatment wetlands (0.58 [0.54–0.62]) or unexclosed nests at control wetlands (0.52 [0.49–0.56]). Survival to fledging was highest for chicks hatched from exclosed nests (0.51 [0.47–0.56]), and similar between chicks hatched from unexclosed nests at treatment (0.34 [0.30–0.39]) and control (0.37 [0.32–0.42]) wetlands. Cumulative survival of adults during incubation varied by exclosure status, but adults associated with exclosed nests (0.90 [0.88–0.93]) and unexclosed nests at treatment wetlands (0.89 [0.86–0.92]) had greater survival than those associated with unexclosed nests at control wetlands (0.75 [0.64–0.84]). Adult annual survival rates varied by year (0.79–0.95) but not by exclosure status. The positive influence of exclosures on nest survival was not offset by a reduction in chick or adult survival, indicating that exclosures are a viable tool for piping plover conservation.

Montana, North Dakota

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

Tundra swan habitat preferences during migration in North Dakota

I studied tundra swan (Cygnus columbianus columbianus) habitat preference in North Dakota during autumn migration, 1988-89. Many thousand tundra swans stop in the Prairie Pothole region during autumn migration, but swan resource use has not been quantified. I examined habitat preference in relation to an index of sago pondweed ( Potamogeton pectinatus ) presence, extent of open water, and wetland size. I compared habitat preference derived from counts of all swans to those derived from foraging swans only and cygnets only. Foraging swans preferred wetlands with sago pondweed ( P = 0.03); the number of foraging swans per wetland was >4 times higher on wetlands with sago pondweed than on wetlands without sago. In contrast, nonforaging swans did not prefer wetlands with sago pondweed ( P = 0.85) but preferred large wetlands ( P = 0.02) and those with a high proportion of contiguous open water ( P < 0.01). Thus, conclusions about habitat preference derived from counts of all swans, most of which were nonforaging, would not have revealed the importance of sago pondweed. Cygnets were more likely to be feeding than adults ( P = 0.03) and occurred proportionately more often in smaller flocks ( P = 0.04), but cygnets and adults had similar habitat preferences.

North Dakota

Enhancing Great Lakes coastal ecosystems research by initiating engagement between scientists and decision-makers

A disconnect between scientific research and environmental management communities can be a detriment to both. In the case of Great Lakes coastal ecosystems, which are inherently complex and subject to uncertain effects of future climatic, environmental, and anthropogenic drivers, greater collaboration could be beneficial to their sustainability. We capture the challenges and opportunities identified by a scientist/decision-maker co-production workshop focused on the future environmental quality of Great Lakes coastal wetlands. We explain our path through the stakeholder workshop process, our challenges in translating meeting outcomes into actionable items, and lessons learned to bridge gaps between scientists and decision-makers. Additionally, we determine topics and directions identified by decision-makers that can be modeled with existing technologies and others that require further research. These topics may be incorporated into future research efforts and could serve as a shortlist of research priorities that were identified by decision-makers working with coastal wetland issues. Based on lessons learned during and after the workshop, we provide suggestions for bridging the gap between researchers and decision-makers, including sustained engagement between these groups and improved interaction through the beginning, duration, and end of research and/or management efforts.

Great Lakes

Response of American black ducks to dietary uranium: A proposed substitute for lead shot

Lead (Pb) shot has been associated with mortality in waterfowl (Trainer and Hunt 1965, Anderson 1975, Stout and Cornwell 1976) and other avian species (Benson et al. 1974, Kaiser et al. 1980, Pattee et al. 1981). Bellrose (1959) indicated that between 2 and 3% of waterfowl populations may be lost yearly to lead poisoning. Incidence of lead shot in waterfowl and estimates of mortality from lead poisoning have decreased slightly (Trost 1980) or not at all (Longcore et al 1982) in local areas since 1976, when the U.S. Fish and Wildlife Service designated certain wetland areas in 32 states as steel shot zones. Studies in specific areas do not give a complete national picture, but do point to remaining problems. Steel shotshells are more expensive than Pb shotshells when purchased in a retail outlet; they cannot be used in all guns and have not been well received by some hunters who question their performance on ducks and geese (Humburg et al 1982).

Journal of Wildlife Management

Introduction to the special issue on “Understanding and predicting change in the coastal ecosystems of the northern Gulf of Mexico”

The coastal region of the northern Gulf of Mexico owes its current landscape structure to an array of tectonic, erosional and depositional, climatic, geochemical, hydrological, ecological, and human processes that have resulted in some of the world's most complex, dynamic, productive, and threatened ecosystems. Catastrophic hurricane landfalls, ongoing subsidence and erosion exacerbated by sea-level rise, disintegration of barrier island chains, and high rates of wetland loss have called attention to the vulnerability of northern Gulf coast ecosystems, habitats, built infrastructure, and economy to natural and anthropogenic threats. The devastating hurricanes of 2005 (Katrina and Rita) motivated the U.S. Geological Survey Coastal and Marine Geology Program and partnering researchers to pursue studies aimed at understanding and predicting landscape change and the associated storm hazard vulnerability of northern Gulf coast region ecosystems and human communities. Attaining this science goal requires increased knowledge of landscape evolution on geologic, historical, and human time scales, and analysis of the implications of such changes in the natural and built components of the landscape for hurricane impact susceptibility. This Special Issue of the Journal of Coastal Research communicates northern Gulf of Mexico research results that (1) improve knowledge of prior climates and depositional environments, (2) assess broad regional ecosystem structure and change over Holocene to human time scales, (3) undertake process studies and change analyses of dynamic landscape components, and (4) integrate framework, climate, variable time and spatial scale mapping, monitoring, and discipline-specific process investigations within interdisciplinary studies.

Journal of Coastal Research

Use of prairie pothole habitat by breeding mallards

Detailed information on the use by mallards ( Anas platyrhynchos ) of prairie pothole habitat during the nesting season is necessary to interpret habitat needs of the species during the breeding period. Many data have been collected and published relating pair counts to habitat use and water conditions (e.g., Evans and Black 1956; Smith 1971; Stoudt 1971; Stewart and Kantrud 1973, 1974). However, use of pair-count data to assess wetland use tends to emphasize individual wetland units and does not consider total wetland habitat required to sustain a breeding pair on a daily or seasonal basis. We therefore attempted to determine habitat use by individually radio marked mallards during the breeding period. This paper describes home range characteristics and habitat use of a radiomarked sample of mallard hens breeding in North Dakota during 1973-75. Time budget data are also presented for 2 marked pairs of mallard pairs of mallards.

North Dakota