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At least 397 records · Page 22Linked to original sources

Wild rodents harbor high diversity of Arthroderma

Arthroderma is the most diverse genus of dermatophytes, and its natural reservoir is considered to be soil enriched by keratin sources. During a study on the diversity of dermatophytes in wild small rodents in the Czech Republic, we isolated several strains of Arthroderma . To explore the diversity and ecological significance of these isolates from rodents (n = 29), we characterised the strains genetically (i.e., sequenced ITS, tubb and tef1α ), morphologically, physiologically, and by conducting mating experiments. We then compared the rodent-derived strains to existing ITS sequence data from GenBank and the GlobalFungi Database to further investigate biogeography and the association of Arthroderma species with different types of environments. In total, eight Arthroderma species were isolated from rodents, including four previously described species ( A. crocatum , A. cuniculi , A. curreyi , A. quadrifidum ) and four new species proposed herein, i.e., A. rodenticum , A. simile , A. zoogenum and A. psychrophilum . The geographical distribution of these newly described species was not restricted to the Czech Republic nor rodents. Additional isolates were obtained from bats and other mammals, reptiles, and soil from Europe, North America, and Asia. Data mining showed that the genus has a diverse ecology, with some lineages occurring relatively frequently in soil, whereas others appeared to be more closely associated with live animals, as we observed in A. rodenticum . Low numbers of sequence reads ascribed to Arthroderma in soil show that the genus is rare in this environment, which supports the hypothesis that Arthroderma spp. are not soil generalists but rather strongly associated with animals and keratin debris. This is the first study to utilise existing metabarcoding data to assess biogeographical, ecological, and diversity patterns in dermatophytes.

Persoonia - Molecular Phylogeny and Evolution of F↗

Evolutionary dynamics of an expressed MHC class IIβ locus in the Ranidae (Anura) uncovered by genome walking and high-throughput amplicon sequencing

The Major Histocompatibility Complex (MHC) is a genomic region encoding immune loci that are important and frequently used markers in studies of adaptive genetic variation and disease resistance. Given the primary role of infectious diseases in contributing to global amphibian declines, we characterized the hypervariable exon 2 and flanking introns of the MHC Class IIβ chain for 17 species of frogs in the Ranidae, a speciose and cosmopolitan family facing widespread pathogen infections and declines. We find high levels of genetic variation concentrated in the Peptide Binding Region (PBR) of the exon. Ten codons are under positive selection, nine of which are located in the mammal-defined PBR. We hypothesize that the tenth codon (residue 21) is an amphibian-specific PBR site that may be important in disease resistance. Trans-species and trans-generic polymorphisms are evident from exon-based genealogies, and co-phylogenetic analyses between intron, exon and mitochondrial based reconstructions reveal incongruent topologies, likely due to different locus histories. We developed two sets of barcoded adapters that reliably amplify a single and likely functional locus in all screened species using both 454 and Illumina based sequencing methods. These primers provide a resource for multiplexing and directly sequencing hundreds of samples in a single sequencing run, avoiding the labour and chimeric sequences associated with cloning, and enabling MHC population genetic analyses. Although the primers are currently limited to the 17 species we tested, these sequences and protocols provide a useful genetic resource and can serve as a starting point for future disease, adaptation and conservation studies across a range of anuran taxa.

Developmental and Comparative Immunology↗

Combining individual and close-kin mark–recapture to design an effective wildlife population survey

Close-kin mark–recapture (CKMR) is a promising approach for assessing population size of species that have been difficult to survey using more traditional methods. Here, we combine individual and close-kin mark–recapture in a single modeling framework (ICKMR) and provide an example of study design using this approach for Pacific walrus ( Odobenus rosmarus divergens ). We develop the ICKMR model and test it using simulated datasets, then use properties of the pseudo-likelihood to investigate the expected precision in estimates of abundance with different proposed survey designs. Our motivating example, the Pacific walrus, is an ice-associated marine mammal found in the Bering and Chukchi seas, where it is an important resource for Indigenous peoples. Pacific walrus abundance declined in the late 20th century, and it is currently a species of conservation concern due to potential impacts of climate change, particularly the loss of sea ice. To reduce uncertainty in population size estimates, researchers undertook a genetic mark–recapture sampling campaign from 2013 to 2017 and collected tissue samples from over 8000 individuals. Another campaign of a similar scale is ongoing (2023–2028). While sample collection was designed for individual mark–recapture, advances in CKMR methods and associated molecular techniques mean that these samples could also be suitable for CKMR. The advantages of CKMR over mark–recapture include an increased effective sample size (because each individual tags itself and its parents, siblings, and offspring) and additional insights into demographic quantities of interest. To make best use of genetic samples, we combine individual mark–recapture (IMR) with CKMR (ICKMR) and investigate whether different sampling strategies can increase precision in estimates of abundance. Our modeling approach includes special considerations for walrus life history, including a multi-year inter-birth interval. We found that expected coefficients of variation (CVs) of the ICKMR estimates of abundance, adult female survival, juvenile female survival, and proportion of breeding females are lower than those expected from IMR alone, and with ICKMR, fewer years of sampling can be conducted to obtain sufficient precision in estimates of abundance. This work demonstrates the utility of ICKMR and could be applicable across a variety of taxa.

Ecology↗

Gyrfalcon (Falco rusticolus) in Yakutia: Distribution, nesting areas, and features of nutrition

In Yakutia, gyrfalcon nests in tundra, forest-tundra, and taiga and may occur in the northeastern and, sometimes, in the northwestern parts, being almost absent or occasional over the large area separating these regions. The southern boundary of the nesting site is nowhere below 64 degrees N. In central Yakutia, gyrfalcon was suggested to be met as a visitant or migratory species. The long-term studies showed that this species occurred there in all the seasons, including winter periods. This fact became a reason to consider the bird as a migratory and wintering (not always) species, despite its repeated comings to inhabited localities that indicated difficulties in birds during winter periods. There are about 30 and 6 species of birds and mammals, respectively, in the gyrfalcon diet in Yakutia. The prevalence of birds is evident (65.4 to 91.3%). In the composition of food species, the share of willow and rock ptamigans is high everywhere, although in the Lower Kolyma tundra, they give way to ducks (19.2 and 30.7%, respectively). Ptamigans as an diet item seems to be of particular importance for the survival of the species. Gyrfalcons prey birds of medium size, such as ptamigans, ducks, and sandpipers. Large (geese. caterpillars) and small (small passerines) birds become gyrfalcon's prey less often. Species of open and semi-open habitats are mostly preferable among mammals. Drastic changes in the forage reserves of gyrfalcon are one of the most serious causes leading to the changes in its number and participation in the reproductive cycles.

Zoologicheskii Zhurnal↗

Causes of mortality in California sea otters during periods of population growth and decline

Elevated mortality appears to be the main reason for both sluggish growth and periods of decline in the threatened California sea otter population . We assessed causes of mortality from salvage records of 3,105 beach-cast carcasses recovered from 1968 through 1999, contrasting two periods of growth with two periods of decline . Overall, an estimated 40%-60% of the deaths were not recovered and 70% of the recovered carcasses died from unknown causes . Nonetheless, several common patterns were evident in the salvage records during the periods of population decline . These included greater percentages of (1) prime age animals (3-10 yr), (2) carcasses killed by great white shark attacks, (3) carcasses recovered in spring and summer, and (4) carcasses for which the cause of death was unknown. Neither sex composition nor the proportion of carcasses dying of infectious disease varied consistently between periods of population increase and decline . The population decline from 1976 to 1984 was likely due to incidental mortality in a set-net fishery, and the decline from 1995 to 1999 may be related to a developing live-fish fishery. Long-term trends unrelated to periods of growth and decline included a decrease in per capita pup production and mass/length ratios of adult carcasses over the 31-yr study. The generally high proportion of deaths from infectious disease suggests that this factor has contributed to the chronically sluggish growth rate of the California sea otter population .

California↗

Characterizing grazing disturbance in semiarid ecosystems across broad spatial scales using multiple indices.

Although management and conservation strategies continue to move toward broader spatial scales and consideration of many taxonomic groups simultaneously, researchers have struggled to characterize responses to disturbance at these scales. Most studies of disturbance by feral grazers investigate effects on only one or two ecosystem elements across small spatial scales, limiting their applicability to ecosystem-level management. To address this inadequacy, in 1997 and 1998 we examined disturbance created by feral horses ( Equus caballus ) in nine mountain ranges of the western Great Basin, USA, using plants, small mammals, ants, and soil compaction as indicators. Nine horse-occupied and 10 horse-removed sites were stratified into high- and low-elevation groups, and all sites at each elevation had similar vegetation type, aspect, slope gradient, and recent (≥15-yr) fire and livestock-grazing histories. Using reciprocal averaging and TWINSPAN analyses, we compared relationships among sites using five data sets: abiotic variables, percent cover by plant species, an index of abundance by plant species, 10 disturbance-sensitive response variables, and grass and shrub species considered “key” indicators by land managers. Although reciprocal averaging and TWINSPAN analyses of percent cover, abiotic variables, and key species suggested relationships between sites influenced largely by biogeography (i.e., mountain range), disturbance-sensitive variables clearly segregated horse-occupied and horse-removed sites. These analyses suggest that the influence of feral horses on many Great Basin ecosystem attributes is not being detected by monitoring only palatable plant species. We recommend development of an expanded monitoring strategy based not only on established vegetation measurements investigating forage consumption, but also including disturbance-sensitive variables (e.g., soil surface hardness, abundance of ant mounds) that more completely reflect the suite of effects that a large-bodied grazer may impose on mountain ecosystems, independent of vegetation differences. By providing a broader-based mechanism for detection of adverse effects, this strategy would provide management agencies with defensible data in a sociopolitical arena that has been embroiled in conflict for several decades.

Nevada↗

Mercury in precipitation in Indiana, January 2001–December 2003

Mercury in precipitation was monitored during 2001 through 2003 at four locations in Indiana as part of the National Atmospheric Deposition Program-Mercury Deposition Network (NADP-MDN). Monitoring stations were operated at Roush Lake near Huntington, Clifty Falls State Park near Madison, Monroe County Regional Airport near Bloomington, and Indiana Dunes National Lakeshore near Porter. At these monitoring stations, precipitation amounts were measured and weekly samples were collected for analysis of total mercury and methylmercury by low-level methods. Wet deposition was computed with the total mercury and methylmercury concentrations and the precipitation amounts. In 3 years of weekly samples collected at the four monitoring stations, the volume-weighted total mercury concentration was 11.5 ng/L (nanograms per liter). As a reference for comparison, the total mercury concentration in 47 percent of the samples analyzed was greater than the Indiana water-quality standard for mercury (12 ng/L, protecting aquatic life) and nearly all of the concentrations exceeded the Indiana water-quality standards for mercury in the Great Lakes system (1.8 ng/L, protecting human health, and 1.3 ng/L, protecting wild mammals and birds). The precipitation-weighted concentrations at three of the monitoring stations in Indiana in 2003 were in the top 40 percent of all monitoring stations in the NADP-MDN and the concentration at Indiana Dunes was the eighth highest in the NADP-MDN for 2003. At the four monitoring stations during the study period, the mean weekly total mercury deposition was 243 ng/m 2 (nanograms per square meter) and mean annual total mercury deposition was 12,623 ng/m 2 . The annual mercury deposition at the four monitoring stations in Indiana in 2003 was in the top 40 percent of all monitoring stations in the NADP-MDN and the annual mercury deposition at the Clifty Falls station was the tenth highest in the NADP-MDN for 2003. For the 3-year period, the median methylmercury concentration in weekly samples was 0.058 ng/L with a maximum of 5.77 ng/L. Normalized methylmercury deposition was 2.09 ng/m 2 per inch of precipitation and methylmercury deposition was 0.7 percent of the total mercury deposition. The annual and mean weekly methylmercury deposition was highest at the Roush Lake station. Among the monitoring stations in the NADP-MDN with methylmercury data, methylmercury deposition at the monitoring stations in Indiana appeared to be higher than at eight stations in Wisconsin and Minnesota for that same time period, although methylmercury concentrations in Indiana were similar to or lower than those in Wisconsin and Minnesota. Geographically, the weekly total mercury concentrations at Indiana Dunes and Clifty Falls were statistically higher than concentrations at Bloomington, although a statistical difference in weekly total mercury deposition was not found among the four monitoring stations. Annual mercury emissions from sources in the vicinity of Indiana Dunes and Clifty Falls in 2001 were more than 10 times those at Bloomington, although other factors may help explain the differences in total mercury concentrations, such as the types of mercury emissions, mercury transport from sources outside Indiana, and meteorological conditions. Mercury concentrations and deposition varied at the four monitoring stations during the 3-year period. Total mercury concentrations in weekly samples ranged from 1.54 to 77 ng/L and weekly mercury deposition ranged from 0.8 to 2,456 ng/m 2 . Data from weekly samples exhibited seasonal patterns. Total mercury concentrations and deposition were highest in spring and summer and lowest in winter. Methylmercury concentrations were highest in winter and methylmercury deposition was highest in spring. Annual precipitation at the four monitoring stations was highest in 2003, exceeding the precipitation normals in spring and summer 2003. Annual mercury deposition in 2003 at the Roush Lake, Clifty Falls, and Indiana Dunes was as much as 41 to 67 percent higher in 2003 than in 2001 or in 2002 at those stations. Total mercury deposition that was more than 10 percent of the mean annual deposition (1,262 ng/m 2 ) was recorded in 11 of 551 weekly samples from the study period. These samples contained approximately 3 inches or more of rain and most were collected in spring and summer 2003. The highest deposition (2,456 ng/m 2 in a sample from Roush Lake) was 15.7 percent of the annual deposition at that station and approximately 10 times the mean weekly deposition for Indiana. High deposition recorded in three weekly samples at Clifty Falls contributed 31 percent of the annual deposition at that station in 2003. Weekly samples with high mercury deposition may help to explain the differences in annual mercury deposition among the four monitoring stations in Indiana.

Indiana↗

Mercury in precipitation in Indiana, January 2004–December 2005

Mercury in precipitation was monitored during 2004–2005 at five locations in Indiana as part of the National Atmospheric Deposition Program–Mercury Deposition Network (NADP–MDN). Monitoring stations were operated at Roush Lake near Huntington, Clifty Falls State Park near Madison, Fort Harrison State Park near Indianapolis, Monroe County Regional Airport near Bloomington, and Indiana Dunes National Lakeshore near Porter. At these monitoring stations, precipitation amounts were measured continuously and weekly samples were collected for analysis of mercury by methods achieving detection limits as low as 0.05 ng/L (nanograms per liter). Wet deposition was computed as the product of mercury concentration and precipitation. The data were analyzed for seasonal patterns, temporal trends, and geographic differences. In the 2 years, 520 weekly samples were collected at the 5 monitoring stations and 448 of these samples had sufficient precipitation to compute mercury wet deposition. The 2-year mean mercury concentration at the five monitoring stations (normalized to the sample volume) was 10.6 ng/L. As a reference for comparison, the total mercury concentration in 41 percent of the samples analyzed was greater than the statewide Indiana water-quality standard for mercury (12 ng/L, protecting aquatic life) and 99 percent of the concentrations exceeded the most conservative Indiana water-quality criterion (1.3 ng/L, protecting wild mammals and birds). The normalized annual mercury concentration at Clifty Falls in 2004 was the fourth highest in the NADP–MDN in eastern North America that year. In 2005, the mercury concentrations at Clifty Falls and Indiana Dunes were the ninth highest in the NADP–MDN in eastern North America. At the five monitoring stations during the study period, the mean weekly total mercury deposition was 0.208 µg/m 2 (micrograms per square meter) and mean annual total mercury deposition was 10.8 µg/m 2 . The annual mercury deposition at Clifty Falls in 2004 and 2005 was in the top 25 percent of the NADP–MDN stations in eastern North America. Mercury concentrations and deposition varied at the five monitoring stations during 2004–2005. Mercury concentrations in wet-deposition samples ranged from 1.2 to 116.6 ng/L and weekly mercury deposition ranged from 0.002 to 1.74 µg/m 2 . Data from weekly samples exhibited seasonal patterns. During April through September, total mercury concentrations and deposition were higher than the median for all samples. Annual precipitation at four of the five monitoring stations was within 10 percent of normal both years, with the exception of Indiana Dunes, where precipitation was 23 percent below normal in 2005. Episodes of high mercury deposition, which were the top 10 percent of weekly mercury deposition at the five monitoring stations, contributed 39 percent of all mercury deposition during 2004–2005. Mercury deposition more than 1.04 µg/m 2 (5 times the mean weekly deposition) was recorded for 12 samples. These episodes of highest mercury deposition were recorded at all five monitoring stations, but the most (7 of 12) were at Clifty Falls and contributed 34.4 percent of the total deposition at that station during 2004–2005. Weekly samples with high mercury deposition may help to explain the differences in annual mercury deposition among the five monitoring stations in Indiana. A statistical evaluation of the monitoring data for 2001–2005 indicated several statistically significant temporal trends. A statewide (5-station) decrease (p = 0.007) in mercury deposition and a statewide decrease (p = 0.059) in mercury concentration were shown. Decreases in mercury deposition (p = 0.061 and p = 0.083) were observed at Roush Lake and Bloomington. A statistically significant trend was not observed for precipitation at the five monitoring stations during this 5-year period. A potential explanation for part of the statewide decrease in mercury concentration and mercury deposition was a 28 percent decrease in the total estimated annual mercury emissions in Indiana between 2002 and 2005. Mercury deposition statistically was correlated most closely to precipitation in the 448 samples, 2004–2005, and this relation was demonstrated by statewide maps of annual precipitation and annual mercury deposition based on precipitation data from 127 National Weather Service Cooperative Observer Program stations. However, one area in southeastern Indiana in the vicinity of Clifty Falls exhibited high mercury deposition that might be related more to mercury concentration than to precipitation. This is because areas with the same range of precipitation as southeastern Indiana were mapped with less mercury deposition. Other data demonstrate a geographic difference for mercury in precipitation in the vicinity of the Clifty Falls monitoring station. The weekly mercury concentrations at Clifty Falls were statistically higher than concentrations at Roush Lake, Fort Harrison, and Bloomington. Clifty Falls data ranked highest among the five monitoring stations for mercury concentration and mercury deposition, 2004–2005, and in the previous 3 years. Episodes of high mercury deposition were recorded most often at Clifty Falls in 2004–2005 and in the previous 3 years. Statistical trends in mercury concentration or mercury deposition were not observed for the Clifty Falls data. A potential explanation for this geographic difference is that annual mercury emissions from sources in the vicinity of Clifty Falls were higher than those at the other stations. Other factors may help explain the differences in total mercury concentrations, such as the types of mercury emissions, mercury transport from stationary sources outside Indiana, and meteorological conditions. Additional data are needed to assign a localized or regional boundary to the area affected by high deposition of mercury near Clifty Falls.

Indiana↗

Comparison of aerial thermal infrared imagery and helicopter surveys of bison (Bison bison) in Grand Canyon National Park, USA

Aerial thermal infrared (TIR) surveys are an attractive option for estimating abundances of large mammals inhabiting extensive and heterogenous terrain. Compared to standard helicopter or fixed-wing aerial surveys, TIR flights can be conducted at higher altitudes translating into greater spatial coverage and increased observer safety; however, monetary costs are much greater. Further, there is no consensus on whether TIR surveys offer improved detection. Consequently, we per-formed a study to compare results of a TIR and helicopter survey of bison (Bison bison) on the Powell Plateau in Grand Canyon National Park, USA. We also compared results of both surveys to esti-mates obtained using a larger dataset of bison helicopter detections along the entire North Rim of the Grand Canyon. Observers in the TIR survey counted fewer individual bison than helicopter ob-servers (101 to 127) and the TIR survey cost was 367% higher. Additionally, the TIR estimate was 18.8% lower than the estimate obtained using a larger dataset, while the comparative helicopter survey was 9.3% lower. Given the higher raw count, ostensibly more accurate estimates, and lower cost, we propose that helicopter surveys are currently the best choice for estimation and monitoring of bison abundance in Grand Canyon National Park.

Arizona↗

Dicofol (Kelthane) as an environmental contaminant: A review

Dicofol is persistent in soil and on plants. No compelling evidence exists that dicofol breaks down or is metabolized to DDTr in nature. Dicofol does not accumulate in birds as rapidly as DDE, and it has reproductive effects that are less harmful than DDE. Fish, birds, and mammals are reproductively sensitive to dicofol products, but levels presently found in wildlife are below levels shown experimentally to cause significant harm. Eggs of fish-eating wild birds from citrus, cotton, and apple-growing areas should be analyzed for dicofol residues. Nest success of fish-eating birds in the most contaminated populations should be studied to evaluate the environmental effects of dicofol.

Fish and Wildlife Technical Report↗

Conflict of energies: Spatially modeling mule deer caloric expenditure in response to oil and gas development

Context Wildlife avoid human disturbances, including roads and development. Avoidance and displacement of wildlife into less suitable habitat due to human development can affect their energy expenditures and fitness. The heart rate and oxygen uptake of large mammals varies with both natural aspects of their habitat (terrain, climate, predators, etc.) and anthropogenic influence (noise, light, fragmentation, etc.). Although incorporating physiological analyses of energetics can inform the impacts of both development and conservation, management decisions rarely incorporate individuals’ energetic requirements when deciding on locations for potential development. Objectives We aimed to estimate the change in expected energy expenditure, numerically and spatially, for mule deer to traverse a landscape with varying levels of oil and gas development through time. Methods Using calculations of energy expenditure of mule deer ( Odocoileus hemionus ) by weight, in relation to physical terrain components, plus avoidance factors for anthropogenic disturbance, we developed a spatiotemporal model of the minimum energy required for mule deer to traverse a landscape. We compared expected energy expenditure across 12 study sites with increasing levels of oil and gas development and over time in our study area, on the northern Colorado Plateau of Utah. Results We found that energy expenditure can be increased by development, regardless of terrain, through increased travel distance associated with avoidance behavior. Maximum median energy expenditure to traverse a 1400 ha sample area rose from 1135 to 1935 kilocalories, a 70% increase in energy required of a mule deer. There was a significant relationship between energy expenditure and the size of oil and gas development (p < 0.001), its compactness (p < 0.05), and its ‘thinness’ (p < 0.001), but not terrain ruggedness (p = 0.25). Conclusion As the energy costs of movement correlate across multiple species of large mammals, our analysis of the energetic cost, for mule deer, associated with development can serve as a quantitative representative of the impacts of oil and gas development for multiple mammals—including threatened or endangered species. Our bioenergetic cost-distance model provides a means of delineating impediments to efficient movement and can be used to quantify the expected energetic costs of proposed future developments. As wildlife are exposed to increasing anthropogenic stressors which reduce fitness, it is important to make strategic siting decisions to reduce energetic costs imposed by human activities.

Utah↗

Grassland birds wintering at U.S. Navy facilities in southern Texas

Grassland birds have undergone widespread decline throughout North America during the past several decades. Causes of this decline include habitat loss and fragmentation because of conversion of grasslands to cropland, afforestation in the East, brush and shrub invasion in the Southwest and western United States, and planting of exotic grass species to enhance forage production. A large number of exotic plant species, including grasses, have been introduced in North America, but most research on the effects of these invasions on birds has been limited to breeding birds, primarily those in northern latitudes. Research on the effects of exotic grasses on birds in winter has been extremely limited. This is the first study in southern Texas to examine and compare winter bird responses to native and exotic grasslands. This study was conducted during a period of six years (2003–2009) on United States Navy facilities in southern Texas including Naval Air Station–Corpus Christi, Naval Air Station–Kingsville, Naval Auxiliary Landing Field Waldron, Naval Auxiliary Landing Field Orange Grove, and Escondido Ranch, all of which contained examples of native grasslands, exotic grasslands, or both. Data from native and exotic grasslands were collected and compared for bird abundance and diversity; ground cover, vegetation density, and floristic diversity; bird and vegetation relationships; diversity of insects and arachnids; and seed abundance and diversity. Effects of management treatments in exotic grasslands were evaluated by comparing numbers and diversity of birds and small mammals in mowed, burned, and control areas. To determine bird abundance and bird species richness, birds were surveyed monthly (December–February) during the winters of 2003–2008 in transects (100 meter × 20 meter) located in native and exotic grasslands distributed at all five U.S. Navy facilities. To compare vegetation in native and exotic grasslands, vegetation characteristics were measured during 2003–2008 in the same transects used for bird surveys and included five measures of ground cover, plus estimates of plant species richness, vegetation density (visual obstruction) at two different heights, and shrub numbers. These data, plus seasonal rainfall, were then used to evaluate components of variation in native and exotic grasslands. Relations between total bird numbers and bird species richness with environmental variation in native and exotic grasslands were compared. To compare diversity of arthropods in native and exotic grasslands, insects and arachnids were collected using three different methodologies (standardized sweep-net, random sweep-net, and pitfall traps) during four seasons, (2005–2006), at Naval Air Station–Corpus Christi, Naval Auxiliary Landing Field Waldron, and Naval Air Station–Kingsville. To compare seed abundance and diversity between native and exotic grasslands, seeds were collected for two winters (2004–2006) at Naval Air Station–Corpus Christi and Naval Air Station–Kingsville. To evaluate effects of management on grassland vertebrates, abundance and diversity of birds and small mammals were estimated and compared in exotic grasses subjected to mowing, burning, or no active management (control) for one full year (2008–2009). Observations were made of 1,044 birds of 30 species in grassland transects during five winters. The Savannah Sparrow ( Passerculus sandwichensis ) was the most common bird, which, with 644 detections, accounted for 63 percent of all individuals identified to species. Meadowlarks ( Sturnella spp. ) and Le Conte’s Sparrows ( Ammodramus leconteii ) were the second (10 percent) and third (7 percent) most abundant bird species, respectively. Six of the seven most abundant species detected in grasslands were grassland species, and their numbers accounted for 87 percent of all birds, but 20 of the 30 species (67 percent) that used grasslands were not grassland species. Seven species observed in grassland transects during the study were Species of Conservation Concern: Le Conte’s Sparrow, Sedge Wren ( Cistothorus platensis ), Grasshopper Sparrow ( Ammodramus savannarum ), Long-billed Curlew ( Numenius americanus ), Sprague’s Pipit ( Anthus spragueii ), Cassin’s Sparrow ( Aimophila cassinii ), and Loggerhead Shrike ( Lanius ludovicianus ). Native grasslands consistently supported greater bird species richness than exotic grasslands. In one winter, exotic grasslands supported more birds than native grasslands. Native grasslands were determined to have more forb cover, more bare ground, and greater plant species richness than exotic grasslands, whereas exotic grasslands were characterized by more grass cover and relatively greater vegetation density during dry years. Not only did these individual measures differ between native and exotic grasslands, but components of variation also differed. In native grasslands, grass density and cover contributed more to variation, whereas in exotic grasslands, non-grass vegetation was a greater component of variation. Total bird numbers and bird species richness in native grasslands were related to the principal component that contained a measure of litter cover. Total bird numbers and bird species richness in exotic grasslands indicated no significant relationships with any of the principal components of variation. The two most common insect orders in native grasslands were Hymenoptera and Coleoptera, which accounted for 42 percent of all insects. The two most common insect orders in exotic grasslands were Hemiptera and Homoptera, which accounted for about 80 percent of all insects. Insect family richness was greater in exotic grasslands than in native grasslands in two of four seasons. Proportions of arachnid families were similar in native and exotic grasslands, but arachnid family richness was greater in exotic grasslands than in native grasslands. Abundance of seeds was greater in exotic than in native grasslands. However, seed diversity was greater in native grasslands than in exotic grasslands. Among the three types of management (mowed, burned, and control) applied to exotic grasses, birds were most abundant in the mowed area. Sedge Wrens, however, were never encountered in mowed sites. Meadowlarks were similarly abundant in all treatments, but Le Conte’s Sparrows were detected only in the control (unmanaged) area. Hispid cotton rats ( Sigmodon hispidus ) accounted for 93 percent of all rodent captures, with the number of captures peaking December through February. Hispid cotton rat numbers and total rodent numbers were greatest in control and pre-burn areas, and lowest in the mowed area. Mammal diversity, however, was greatest in the mowed habitat. Native and exotic grasslands differed essentially in all categories (bird numbers and diversity, vegetation characteristics, components of variation, diversity of insects and arachnids, and seed abundance and diversity) used to measure and compare them. This indicates that fundamental ecosystem processes have been altered after native grasslands have undergone invasion and ultimate domination by exotic grass species. Future research in Texas grassland ecosystems is essential because: 1) Texas sustains more area in grasslands than any other state or province in the Central Flyway; 2) Texas serves as the winter destination or migration pathway for hundreds of species of birds, including winter residents and Neotropical migrants; 3) ecology, distribution, and numbers of grassland birds wintering in southern latitudes of the United States remains poorly understood; and 4) climate change threatens to further accelerate advances of invading grass species.

Open-File Report↗

Idiosyncratic spatial scaling of biodiversity–disease relationships

High host biodiversity is hypothesized to dilute the risk of vector-borne diseases if many host species are ‘dead ends' that cannot effectively transmit the disease and low-diversity areas tend to be dominated by competent host species. However, many studies on biodiversity–disease relationships characterize host biodiversity at single, local spatial scales, which complicates efforts to forecast disease risk if associations between host biodiversity and disease change with spatial scale. Here, our objective is to evaluate the spatial scaling of relationships between host biodiversity and Borrelia (the bacterial taxon which causes Lyme disease) infection prevalence in small mammals. We compared the associations between infection prevalence and small mammal host diversity for local communities (individual plots) and metacommunities (multiple plots aggregated within a landscape) sampled by the National Ecological Observatory Network (NEON), an emerging continental-scale environmental monitoring program with a hierarchical sampling design. We applied a multispecies, spatially-stratified capture–recapture model to a trapping dataset to estimate five small mammal biodiversity metrics, which we used to predict infection status for a subset of trapped individuals. We found that relationships between Borrelia infection prevalence and biodiversity did indeed vary when biodiversity was quantified at different spatial scales but that these scaling behaviors were idiosyncratic among the five biodiversity metrics. For example, species richness of local communities showed a negative (dilution) effect on infection prevalence, while species richness of the small mammal metacommunity showed a positive (amplification) effect on infection prevalence. Our modeling approach can inform future analyses as data from similar monitoring programs accumulate and become increasingly available through time. Our results indicate that a focus on single spatial scales when assessing the influence of biodiversity on disease risk provides an incomplete picture of the complexity of disease dynamics in ecosystems.

Ecography↗

Vegetation response of a dry shrubland community to feral goat management on the island of Moloka‘i, Hawai‘i

The Hawaiian Islands are well known for their unique ecosystem assemblages that have a high proportion of endemic flora and fauna. However, since human colonization of this archipelago—starting with the arrival of Polynesian sailors approximately 1,200 years ago, and particularly following western contact in 1778—thousands of non-native species have been introduced to the Islands and many of these alien species have had severe impacts on the native ecosystems. Particularly damaging to these ecosystems are large mammals, including goats ( Capra hircus ), pigs ( Sus scrofa ), cattle ( Bos taurus ), deer ( Axis axis and Odocoileus hemionus ), and sheep ( Ovis spp.), which are collectively referred to here as ungulates; they cause extensive damage to the native vegetation by their browsing, grazing, and trampling. Similar impacts have been documented elsewhere, including New Zealand and many other island ecosystems. Previous studies in Hawai‘i have utilized fenced exclosures to assess the impacts of feral or wild ungulates on vegetation and the recovery potential for the native plant communities by comparing plant community composition, structure, and cover inside the fenced area (without ungulates) over time to the vegetation condition outside of the protection of the fence. In some cases, the native vegetation recovered once the animals were removed. However, in other situations alien plants were more competitive and dominated the revegetation process after the impacts of ungulates had been reduced or eliminated. This report describes the response of a highly degraded lowland dry habitat plant community located on the south slope of east Moloka‘i, Hawai ‘ i, to reduction of browsing and grazing impacts caused by feral goats. For this study, vegetation response inside a fenced exclosure was compared to vegetation change in the area outside of the fence that was still accessible to goats. This study is part of the larger U.S. Geological Survey Ridge-to-Reef (USGS-R2R) research project conducted between 2008 and 2014 to better understand the magnitude of, and factors responsible for, increased erosion on Moloka‘i. The upslope erosion has resulted in heavy sedimentation of the near-shore coral reef ecosystem on the leeward side of the island. The project area and adjacent lands are managed by the East Moloka‘i Watershed Partnership (EMoWP) to restore the vegetation and reduce erosion on the leeward side of the island. Specific questions addressed in this vegetation change study include: How does the vegetation composition, structure, and cover respond to different population levels of feral goats in this area? Are there plant species that can be used as indicators of different population levels of goats? Can native plants recover and become dominant again with the reduction or elimination of goats from this area? Are there invasive plant species that respond favorably to reduction of goat populations and could result in additional management threats to this area over time? How does the succession of vegetation following goat control relate to the original composition and structure of the plant communities that were formerly found in this area?

Hawai'i↗

Efficacy of time-lapse photography and repeated counts abundance estimation for white-tailed deer populations

Automated cameras have become increasingly common for monitoring wildlife populations and estimating abundance. Most analytical methods, however, fail to account for incomplete and variable detection probabilities, which biases abundance estimates. Methods which do account for detection have not been thoroughly tested, and those that have been tested were compared to other methods of abundance estimation. The goal of this study was to evaluate the accuracy and effectiveness of the N-mixture method, which explicitly incorporates detection probability, to monitor white-tailed deer ( Odocoileus virginianus ) by using camera surveys and a known, marked population to collect data and estimate abundance. Motion-triggered camera surveys were conducted at Auburn University’s deer research facility in 2010. Abundance estimates were generated using N-mixture models and compared to the known number of marked deer in the population. We compared abundance estimates generated from a decreasing number of survey days used in analysis and by time periods (DAY, NIGHT, SUNRISE, SUNSET, CREPUSCULAR, ALL TIMES). Accurate abundance estimates were generated using 24 h of data and nighttime only data. Accuracy of abundance estimates increased with increasing number of survey days until day 5, and there was no improvement with additional data. This suggests that, for our system, 5-day camera surveys conducted at night were adequate for abundance estimation and population monitoring. Further, our study demonstrates that camera surveys and N-mixture models may be a highly effective method for estimation and monitoring of ungulate populations.

Mammal Research↗

Surveys of environmental DNA (eDNA): a new approach to estimate occurrence in Vulnerable manatee populations

Environmental DNA (eDNA) detection is a technique used to non-invasively detect cryptic, low density, or logistically difficult-to-study species, such as imperiled manatees. For eDNA measurement, genetic material shed into the environment is concentrated from water samples and analyzed for the presence of target species. Cytochrome b quantitative PCR and droplet digital PCR eDNA assays were developed for the 3 Vulnerable manatee species: African, Amazonian, and both subspecies of the West Indian (Florida and Antillean) manatee. Environmental DNA assays can help to delineate manatee habitat ranges, high use areas, and seasonal population changes. To validate the assay, water was analyzed from Florida’s east coast containing a high-density manatee population and produced 31564 DNA molecules l -1 on average and high occurrence (ψ) and detection (p) estimates (ψ = 0.84 [0.40-0.99]; p = 0.99 [0.95-1.00]; limit of detection 3 copies µl -1 ). Similar occupancy estimates were produced in the Florida Panhandle (ψ = 0.79 [0.54-0.97]) and Cuba (ψ = 0.89 [0.54-1.00]), while occupancy estimates in Cameroon were lower (ψ = 0.49 [0.09-0.95]). The eDNA-derived detection estimates were higher than those generated using aerial survey data on the west coast of Florida and may be effective for population monitoring. Subsequent eDNA studies could be particularly useful in locations where manatees are (1) difficult to identify visually (e.g. the Amazon River and Africa), (2) are present in patchy distributions or are on the verge of extinction (e.g. Jamaica, Haiti), and (3) where repatriation efforts are proposed (e.g. Brazil, Guadeloupe). Extension of these eDNA techniques could be applied to other imperiled marine mammal populations such as African and Asian dugongs.

Endangered Species Research↗

Wetlands mitigation: Partnership between an electric power company and a federal wildlife refuge

Twenty-three acres of a degraded section of Patuxent Research Refuge in Laurel, Maryland were converted to wetland habitat by the Baltimore Gas and Electric Company in 1994. The wetlands were created as mitigation for 14 acres of wetlands that were impacted as part of the construction of a 5.3 mile 500kv overhead transmission line on the Refuge. The area consists of a created forested wetland (13.5 acres), a seasonally inundated green-tree reservoir (6.5 acres), and an impounded pond wetland (3 acres). Construction included the planting of 6,131 trees, 4,276 shrubs, and 15,102 emergent plants. Part of the site has been studied intensively since completion and survival of trees and shrubs after 2 years was 88%. Measurements of these transplants, have shown growth greater than on other created sites in Maryland. Grasses and other herbaceous vegetation were dominant plants in the meter-square plots in the first two years of sampling of the created forested wetland. Wildlife surveys for birds, mammals, amphibians, and reptiles have revealed diverse communities. Although these communities represent species consistent with open habitat, more typical forest species should colonize the area as it undergoes succession into a more mature forested wetland. The creation, management, and research of this mitigation site represents an excellent example of a partnership between a private electric power company and a federal wildlife refuge. This partnership has increased local biodiversity and improved regional water quality of the Patuxent River and the Chesapeake Bay.

Environmental Management↗

Southern sea otter range expansion and habitat use in the Santa Barbara Channel, California

The re-colonization of the Santa Barbara channel by sea otters brings these ESA-listed marine mammals closer to active oil and gas production facilities, shipping lanes and naturally occurring oil and gas seeps. However, the degree to which sea otters may actually be affected by human-caused oil spills or exposure to natural oil seeps is currently unknown. Between 2012 and 2014, the U.S. Geological Survey and collaborating agencies conducted a telemetry-based study of sea otters in Santa Barbara channel, in order to provide critical information for resource managers (specifically the Bureau of Ocean Energy Management, henceforth BOEM, and the U.S. Fish and Wildlife Service, henceforth USFWS) about the spatial ecology, population status, and potential population threats to sea otters in Santa Barbara Channel, with particular reference to exposure to manmade structures and sources of oil and natural gas. Analysis of spatial monitoring data using a Bayesian-based synoptic model allowed for description of sea otter home ranges, identification of hot-spots of use, and insights into habitat selection behavior by male and female sea otters. Important findings included the deeper modal depth preferred by males versus females, strong preferences by both sexes for areas with persistent kelp canopy, and greater use of soft-sediment areas by males. The synoptic model also provided the ability to predict population-level density distribution for each sex in new habitats: by calculating the value of these probability density distributions at the known locations of natural seeps, we were able to identify those seeps with higher potential for sea otter encounters. The relative probability of occurrence at locations near to some seeps was sufficiently high (about 1% likelihood of occurrence for some of our study animals) that one would anticipate occasional encounters. Data on male and female survival, reproductive success, activity budgets, and body condition all indicated that sea otters in Santa Barbara Channel are not resource limited, and thus we would expect to see continued strong population growth in this area. However, the principal cause of death for study animals was lethal bites by white sharks, suggesting that shark bite mortality represents the single biggest threat to continued population growth in the Santa Barbara Channel.

California↗