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At least 433 records · Page 24Linked to original sources

Flowering phenology shifts in response to biodiversity loss

Observational studies and experimental evidence agree that rising global temperatures have altered plant phenology—the timing of life events, such as flowering, germination, and leaf-out. Other large-scale global environmental changes, such as nitrogen deposition and altered precipitation regimes, have also been linked to changes in flowering times. Despite our increased understanding of how abiotic factors influence plant phenology, we know very little about how biotic interactions can affect flowering times, a significant knowledge gap given ongoing human-caused alteration of biodiversity and plant community structure at the global scale. We experimentally manipulated plant diversity in a California serpentine grassland and found that many plant species flowered earlier in response to reductions in diversity, with peak flowering date advancing an average of 0.6 days per species lost. These changes in phenology were mediated by the effects of plant diversity on soil surface temperature, available soil N, and soil moisture. Peak flowering dates were also more dispersed among species in high-diversity plots than expected based on monocultures. Our findings illustrate that shifts in plant species composition and diversity can alter the timing and distribution of flowering events, and that these changes to phenology are similar in magnitude to effects induced by climate change. Declining diversity could thus contribute to or exacerbate phenological changes attributed to rising global temperatures.

Proceedings of the National Academy of Sciences↗

Water use in Georgia by county for 2010 and water-use trends, 1985–2010

Water use and water withdrawals and returns in 2010 are estimated for each major river basin, principal aquifer, water-planning region, and county in Georgia using data obtained from various Federal and State agencies and local sources. Offstream water use in 2010 is estimated for the categories of public supply, domestic, commercial, industrial, mining, irrigation, livestock, aquaculture, and thermoelectric power. Water-use trends for 1985 to 2010 are also shown. The period between 2007 and 2010 was a challenging time economically and climatologically in Georgia. During that period, the United States was in the midst of a major recession, resulting in decreases in the manufacturing and construction industries and large increases in unemployment. During 2007, 2008, and the latter half of 2010, precipitation in Georgia was substantially below the 30-year norm. According to the 2010 Census of Population and Housing, nearly 9.7 million people lived in Georgia. The water for about 85 percent of that population was provided by public water suppliers. Estimated total water withdrawals from ground-water and surface-water sources were about 4,670 million gallons per day (Mgal/d) in 2010, about a 15-percent reduction from 2005 (5,471 Mgal/d). In 2010, thermoelectric-power facilities (2,046 Mgal/d) and public-supply uses (1,121 Mgal/d) accounted for 68 percent of all water withdrawn in Georgia. Surface-water withdrawals were greatest for thermoelectric-power generation (2,043 Mgal/d), whereas irrigation used the largest amount of groundwater (599 Mgal/d). Surface water provided 78 percent of the 1,121 Mgal/day withdrawn for public supply in 2010. Typically, counties in northern Georgia withdraw a larger percentage of water from surface water than groundwater sources; whereas, counties in the southern part of the State withdraw more water from groundwater sources. Historically, water withdrawals in Georgia were highest in 1980 (6,725 Mgal/d). By 1990, water use had decreased by 20 percent to 5,353 Mgal/d, but increased to 6,487 Mgal/d in 2000. By 2005, water use had decreased to an estimated 5,471 Mgal/d, and declined further to 4,670 Mgal/d in 2010—a 30-percent decrease since 1980. This decline was evident across all water-use categories, but was greatest for surface-water withdrawals by thermoelectric-power facilities. The estimated total water use per capita in 1985 (total withdrawals for all categories divided by total population) was about 850 gallons per day (gal/d), steadily decreasing to about 798 gal/d in 2000, and decreasing further to 460 gal/d in 2010. Although water use declined among all use categories during that 10-year period, most of the decline in per capita water use was caused by the large decrease in water used for thermoelectric-power generation. Throughout 1985–2010 water withdrawn for thermoelectric-power generation has constituted the largest volume of offstream water use in Georgia. Total withdrawals for thermoelectric-power generation declined about 37 percent between 2000 and 2010, mostly due to the decommissioning of power plants in the State. Also during this period, several power plants were shut down and re-tooled to use natural gas-powered generators; thus, water withdrawals for cooling were substantially reduced. The decline in water withdrawals and use between 2005 and 2010 can probably be attributed to several factors working together during this period: (1) water conservation laws and policies along with advances in water-conservation technology; (2) the onset of a major recession in 2007; and (3) below average rainfall in 2007, 2008, and the latter half of 2010. Because of these factors, water withdrawn by public suppliers decreased by 4.8 percent (despite a nearly 11-percent increase in population served) and per capita use decreased by 19 percent between 2005 and 2010. About 2,225 Mgal/d of water was returned to Georgia streams and lakes in 2010 under the National Pollutant Discharge Elimination System program administered by the Georgia Environmental Protection Division. This amount is about 48 percent of the total water withdrawn from all sources in 2010. Water returns declined 39 percent between 1995 and 2010, mirroring the decline in water withdrawals during that period. In addition, land applications of treated wastewater increased steadily between 1995 and 2010.

Georgia↗

It’s time for focused in situ studies of planetary surface-atmosphere interactions

A critical gap in planetary observations has been in situ characterization of extra-terrestrial, present-day atmospheric and surface environments and activity. While some surface activity has been observed and some in situ meteorological measurements have been collected by auxiliary instruments on Mars, existing information is insufficient to conclusively characterize the natural processes via concurrent and high-resolution measurement of environmental drivers and activity. Thus, many atmospheric, aeolian, and other surface processes models – which are used to generate key constraints on science and exploration in many areas of planetary investigation—such as surface exposure/erosion estimates, landscape interpretation, and modeling dust storm development—remain untested under non-Earth conditions. Analogous terrestrial processes are often studied intensively via numerical modeling that integrates empirical results from laboratory and/or field studies of process-response interactions between the atmosphere and relevant surface landforms. Incorporation of such in situ measurements into model development has significantly advanced our understanding of atmosphere-surface interactions and related geomorphic processes on Earth, and is poised to do so on other planets. However, to date, such testing and refinement have not been possible in other planetary environments, partially because investigations of this sort require new technologies, mission architectures, and operations designs (e.g., different from large rovers focused on geochemical investigations) to fully address the key gaps in our understanding while keeping cost and risk low. Fortunately, technological developments in the areas of surface access, instrumentation, and onboard processing/memory now enable small spacecraft to accommodate meteorological and aeolian instrumentation that could collect the needed measurements to fill this critical gap while remaining within typical small spacecraft resource budgets. Furthermore, maturity of our understanding of the broader geologic and atmospheric context on Mars provides a ready framework for ingestion of discrete ground truth measurements into our understanding of the broader and multi-scale martian natural systems and processes. These advancements make addressing key science questions with novel mission concepts feasible, promising results that would significantly advance our understanding of extraterrestrial surface-atmosphere interactions. This summary follows from a community-generated white paper for the ongoing Planetary Science/Astrobiology Decadal Survey, small spacecraft concept development at JPL, and numerous JPL and community discussions.

Conference Paper↗

Proceedings of the Fourth Interagency Conference on Research in the Watersheds—Observing, Studying, and Managing for Change

These proceedings contain the abstracts, manuscripts, and posters of presentations given at the Fourth Interagency Conference on Research in the Watersheds—Observing, Studying, and Managing for Change, held at the Westmark Hotel in Fairbanks, Alaska, September 26–30, 2011. The conference was jointly hosted by the Bureau of Land Management and the National Park Service. Watersheds face resource impacts driven by accelerated change related to land use, population, and climate. About every three years a conference is held to bring together watershed researchers, observers, and managers to share scientific advances and management strategies. This year, the Fourth ICRW took a wider perspective on watershed science and examined some pressing issues of watershed science and management in our largest and perhaps most vulnerable state, Alaska. The purpose of the conference was to better understand the processes driving change and help managers incorporate societal needs and scientific uncertainty in the management of natural resources. The conference echoed similar themes to the last, highlighting the challenges of managing watersheds based on available science when considerably uncertainty remains regarding the hypothesized relationships between observed environmental changes and their ultimate effects. For example, while the scientific case for anthropogenic climate change has been well presented, confirming possible cause and effect relationships between climatic change and physical and ecological impacts in highly variable, natural systems continues to represent a scientific challenge. This goal becomes even more difficult when superimposed upon a long history of natural resource and land management practices that have fundamentally changed the physical, chemical and biological processes important in maintaining naturally functioning ecosystems. Designing and implementing studies to better understand watersheds and clearly communicating the findings to decisionmakers will be the primary challenge for natural resource scientists and managers into the foreseeable future.

Scientific Investigations Report↗

Predictive mapping of seabirds, pinnipeds and cetaceans off the Pacific Coast of Washington

About this report This report supports Washington-led marine spatial planning and responsible stewardship of natural and cultural resources by the Olympic Coast National Marine Sanctuary. Washington state agencies and the sanctuary continually seek the best available science to improve management of marine uses and stewardship of resources (Etheridge et al., 2010; Washington Department of Fish and Wildlife, 2015a). This report and associated data provide new, state- and sanctuary-requested information on seabird, pinniped, and cetacean distributions. Through spatial planning, information on species distributions can help to identify high-value conservation areas, minimize adverse effects of ocean uses and mitigate impacts of coastal hazards. Correspondingly, the Washington Department of Fish and Wildlife has already begun to use the maps of predicted relative density presented in this report to identify ecologically important areas off the Pacific Coast of Washington and apply this information to plan for offshore renewable energy development. This is the culmination of three years of work to compile information on seabirds, pinnipeds, and cetaceans, and advance a modeling framework that can integrate data sets and develop accurate predictions of relative density for important species off the Pacific Coast of Washington. Previous reports, which evaluated existing datasets of at-sea observations (Menza et al., 2014; Kracker and Menza, 2015) and presented superseded versions of seabird models (Menza et al., 2015), provided base information for this report. In addition to the maps in this published report, all new seabird, pinniped and cetacean predictions will be made publicly available as digital geospatial data through the National Centers for Environmental Information. This research supports the National Oceanic and Atmospheric Administration (NOAA) Coastal Zone Management Program, a voluntary partnership between the federal government and U.S. coastal and Great Lakes states and territories authorized by the Coastal Zone Management Act (CZMA) of 1972 to address national coastal issues. The act provides the basis for protecting, restoring, and responsibly developing our nation’s diverse coastal communities and resources. To meet the goals of the CZMA, the national program takes a comprehensive approach to coastal resource management – balancing the often competing and occasionally conflicting demands of coastal resource use, economic development, and conservation. A wide range of issues are addressed through the program, including coastal development, water quality, public access, habitat protection, energy facility siting, ocean governance and planning, coastal hazards, and climate change. Accurate maps of seabird and marine mammal distributions are an important tool for making informed management decisions that affect all of these issues.

Washington↗

Ultrastructural changes in the hepatocytes of juvenile rainbow trout and mature brown trout exposed to copper or zinc

Morphological changes in hepatocytes of mature brown trout (Salmo trutta Linnaeus) and juvenile rainbow trout (Salmo gairdneri Richardson), accompanying chronic exposures to copper and zinc, were examined by transmission electron microscopy. At a concentration of copper not inhibitory to the final stages of gonadal development or spawning of brown trout, structural alterations included contraction of mitochondria and a tendency for nuclei to be slightly enlarged. Concentrations of copper or zinc lethal to a small fraction (10% and 4%, respectively) of a population of juvenile rainbow trout exposed for 42 d during larval and early juvenile development caused hepatocyte changes in survivors indicative of a reduction in ability to maintain intracellular water and cation balance and possible intranuclear metal sequestering. Specific structural alterations included increased vesiculation of rough endoplasmic reticulum, an increase in the abundance of electron-dense particles in the nucleus, increases in the numbers of multilaminar and globular inclusions, pooling of glycogen, increased autophagocytic activity and an increase in the number of necrotic cells. At advanced stages of toxicosis (concentrations of copper or zinc lethal to approximately 50% of the juveniles exposed for 42 d during development), loss in integrity of mitochondrial membranes, rupturing of plasma and nuclear membranes, separation of granular and fibrillar nuclear components, fragmentation of endoplasmic reticulum, and extensive autophagic vacuolization were significant features of hepatocytes of surviving juvenile rainbow trout.

Environmental Toxicology and Chemistry↗

Leveraging invasive mussel contaminant survey data for stepwise prioritization of chemicals of potential concern in the Great Lakes basin

Historical and ongoing anthropogenic activities coupled with advancements in analytical techniques have led to the detection of large numbers of contaminants in the Laurentian Great Lakes. Consequently, identifying and prioritizing chemicals likely to cause ecological harm represents a challenge for natural resource managers. Previous prioritization efforts have focused on contaminants in sediment, water, and passive samplers, which may not be representative of compounds that bioaccumulate in aquatic organisms. Consequently, this study adopted a stepwise method to prioritize chemicals of potential concern detected in dreissenid mussels from samples collected across the Great Lakes from 2009–2018. The stepwise method considered environmental fate, detection frequency, and exceedance of toxicity quotients based on ecotoxicological effect concentrations. Overall, 153 compounds out of 267 analyzed were detected in dreissenid mussels, 47 of which had water quality effect concentrations, 56 had apical effect concentrations (Tier 1 ECOTOX or apical screening), 17 had nonapical effect concentrations (Tier 2 ECOTOX, Cytotoxic Burst, and ToxCast) and 33 had estimated effect concentrations (quantitative structure-activity relationship, estimated screening, and pharmacological potency). Of the compounds with water quality effect concentrations, nine were designated as high priority, including the herbicide atrazine and five polycyclic aromatic hydrocarbons that were previously identified as potentially hazardous within other matrices. Similar contaminants were identified as high priority in a related study of native unionid mussels in the Great Lakes. A total of 27 compounds were low priority, suggesting that these contaminants do not warrant further action based on this dataset. Overall, these findings will facilitate the development of management strategies to mitigate the effects of contaminants on aquatic organisms within the Great Lakes.

Great Lakes basin↗

Plant-plant interactions in a subtropical mangrove-to-marsh transition zone: effects of environmental drivers

Questions Does the presence of herbaceous vegetation affect the establishment success of mangrove tree species in the transition zone between subtropical coastal mangrove forests and marshes? How do plant–plant interactions in this transition zone respond to variation in two primary coastal environmental drivers? Location Subtropical coastal region of the southern United States. Methods We conducted a greenhouse study to better understand how abiotic factors affect plant species interactions in the mangrove-to-marsh transition zone, or ecotone. We manipulated salinity (fresh, brackish or salt water) and hydrologic conditions (continuously saturated or 20-cm tidal range) to simulate ecotonal environments. Propagules of the mangroves Avicennia germinans and Laguncularia racemosa were introduced to mesocosms containing an established marsh community. Both mangrove species were also introduced to containers lacking other vegetation. We monitored mangrove establishment success and survival over 22 mo. Mangrove growth was measured as stem height and above-ground biomass. Stem height, stem density and above-ground biomass of the dominant marsh species were documented. Results Establishment success of A. germinans was reduced under saturated saltwater conditions, but establishment of L. racemosa was not affected by experimental treatments. There was complete mortality of A. germinans in mesocosms under freshwater conditions, and very low survival of L. racemosa . In contrast, survival of both species in monoculture under freshwater conditions exceeded 62%. The marsh species Distichlis spicata and Eleocharis cellulosa suppressed growth of both mangroves throughout the experiment, whereas the mangroves did not affect herbaceous species growth. The magnitude of growth suppression by marsh species varied with environmental conditions; suppression was often higher in saturated compared to tidal conditions, and higher in fresh and salt water compared to brackish water. Conclusions Our results indicate that herbaceous marsh species can suppress mangrove early seedling growth. Depending on species composition and density, marsh plants can slow mangrove landward migration under predicted climate change scenarios as salinity in freshwater and oligohaline wetlands increases with rising sea levels. Change in the relative coverage of mangrove forests and marshes will depend on both the ability of marsh species to migrate further inland as mangroves advance, and the ability of shoreline mangroves to adjust to rising sea level through accretionary processes.

Journal of Vegetation Science↗

Improvements in the use of aquatic herbicides and establishment of future research directions

Peer-reviewed literature over the past 20 years identifies significant changes and improvements in chemical control strategies used to manage nuisance submersed vegetation. The invasive exotic plants hydrilla (Hydrilla verticillata L.f. Royle) and Eurasian watermilfoil (Myriophyllum spicatum L.) continue to spread and remain the plant species of greatest concern for aquatic resource managers at the national scale. Emerging exotic weeds of regional concern such as egeria (Egeria densa Planch.), curlyleaf pondweed (Potamogeton crispus L.), and hygrophila (Hygrophila polysperma (Roxb.) T. Anders), as well as native plants such as variable watermilfoil (Myriophyllum heterophyllum Michx), and cabomba (Cabomba caroliniana Gray) are invasive outside their home ranges. In addition, there is always the threat of new plant introductions such as African elodea (Lagarosiphon major (Ridley) Moss) or narrow-leaf anacharis (Egeria najas Planchon). The registration of the bleaching herbicide fluridone in the mid 1980s for whole-lake and large-scale management stimulated numerous lines of research involving reduction of use rates, plant selectivity, residue monitoring, and impacts on fisheries. In addition to numerous advances, the specificity of fluridone for a single plant enzyme led to the first documented case of herbicide resistance in aquatic plant management. The resistance of hydrilla to fluridone has stimulated a renewed interest by industry and others in the registration of alternative modes of action for aquatic use. These newer chemistries tend to be enzyme-specific compounds with favorable non-target toxicity profiles. Registration efforts have been facilitated by increased cooperation between key federal government agencies that have aquatic weed control and research responsibilities, and regulators within the U.S. Environmental Protection Agency (USEPA). We reviewed past and current research efforts to identify areas in need of further investigation and to establish priorities for future research directions in chemical management of submersed plants. The priorities we identified include: (A) improving methods for evaluating non-target impacts of herbicides with an emphasis on threatened and endangered species, or species of special concern; (B) improving herbicide performance in flowing-water environments, including irrigation canals; (C) screening and developing new herbicides to supplement fluridone for large-scale or whole-lake management approaches; (D) screening and developing new organic algaecides to supplement the use of copper-based compounds; (E) developing risk assessment tools to educate the public on the risks of invasive species and chemical management options; (F) increasing cooperative research with ecologists and fisheries scientists to evaluate the long-term impacts of invasive species introductions and herbicide programs on native plant assemblages, water quality, and fish populations; and (G) improving the integration of chemical control technology with other aquatic plant management disciplines. While circumstances may dictate setting new priorities or dropping current ones, the list we have generated represents our vision of the needs that will require the greatest focus over the next several years.

Conference Paper↗

Arctic Research Plan: FY2017-2021

The United States is an Arctic nation—Americans depend on the Arctic for biodiversity and climate regulation and for natural resources. America’s Arctic—Alaska—is at the forefront of rapid climate, environmental, and socio-economic changes that are testing the resilience and sustainability of communities and ecosystems. Research to increase fundamental understanding of these changes is needed to inform sound, science-based decision- and policy-making and to develop appropriate solutions for Alaska and the Arctic region as a whole. Created by an Act of Congress in 1984, and since 2010 a subcommittee of the National Science and Technology Council (NSTC) in the Executive Office of the President, the Interagency Arctic Research Policy Committee (IARPC) plays a critical role in advancing scientific knowledge and understanding of the changing Arctic and its impacts far beyond the boundaries of the Arctic. Comprising 14 Federal agencies, offices, and departments, IARPC is responsible for the implementation of a 5-year Arctic Research Plan in consultation with the U.S. Arctic Research Commission, the Governor of the State of Alaska, residents of the Arctic, the private sector, and public interest groups.

Report↗

Cloud cover and delayed herbivory relative to timing of spring onset interact to dampen climate change impacts on net ecosystem exchange in a coastal Alaskan wetland

Rapid warming in northern ecosystems over the past four decades has resulted in earlier spring, increased precipitation, and altered timing of plant–animal interactions, such as herbivory. Advanced spring phenology can lead to longer growing seasons and increased carbon (C) uptake. Greater precipitation coincides with greater cloud cover possibly suppressing photosynthesis. Timing of herbivory relative to spring phenology influences plant biomass. None of these changes are mutually exclusive and their interactions could lead to unexpected consequences for Arctic ecosystem function. We examined the influence of advanced spring phenology, cloud cover, and timing of grazing on C exchange in the Yukon–Kuskokwim Delta of western Alaska for three years. We combined advancement of the growing season using passive-warming open-top chambers (OTC) with controlled timing of goose grazing (early, typical, and late season) and removal of grazing. We also monitored natural variation in incident sunlight to examine the C exchange consequences of these interacting forcings. We monitored net ecosystem exchange of C (NEE) hourly using an autochamber system. Data were used to construct daily light curves for each experimental plot and sunlight data coupled with a clear-sky model was used to quantify daily and seasonal NEE over a range of incident sunlight conditions. Cloudy days resulted in the largest suppression of NEE, reducing C uptake by approximately 2 g C m −2 d −1 regardless of the timing of the season or timing of grazing. Delaying grazing enhanced C uptake by approximately 3 g C m −2 d −1 . Advancing spring phenology reduced C uptake by approximately 1.5 g C m −2 d −1 , but only when plots were directly warmed by the OTCs; spring advancement did not have a long-term influence on NEE. Consequently, the two strongest drivers of NEE, cloud cover and grazing, can have opposing effects and thus future growing season NEE will depend on the magnitude of change in timing of grazing and incident sunlight.

Alaska↗

Data integration reveals dynamic and systematic patterns of breeding habitat use by a threatened shorebird

Incorporating species distributions into conservation planning has traditionally involved long-term representations of habitat use where temporal variation is averaged to reveal habitats that are most suitable across time. Advances in remote sensing and analytical tools have allowed for the integration of dynamic processes into species distribution modeling. Our objective was to develop a spatiotemporal model of breeding habitat use for a federally threatened shorebird (piping plover, Charadrius melodus ). Piping plovers are an ideal candidate species for dynamic habitat models because they depend on habitat created and maintained by variable hydrological processes and disturbance. We integrated a 20-year (2000–2019) nesting dataset with volunteer-collected sightings (eBird) using point process modeling. Our analysis incorporated spatiotemporal autocorrelation, differential observation processes within data streams, and dynamic environmental covariates. We evaluated the transferability of this model in space and time and the contribution of the eBird dataset. eBird data provided more complete spatial coverage in our study system than nest monitoring data. Patterns of observed breeding density depended on both dynamic (e.g., surface water levels) and long-term (e.g., proximity to permanent wetland basins) environmental processes. Our study provides a framework for quantifying dynamic spatiotemporal patterns of breeding density. This assessment can be iteratively updated with additional data to improve conservation and management efforts, because reducing temporal variability to average patterns of use may cause a loss in precision for such actions.

Montana, North Dakota, South Dakota↗

Next generation of global land cover characterization, mapping, and monitoring

Land cover change is increasingly affecting the biophysics, biogeochemistry, and biogeography of the Earth's surface and the atmosphere, with far-reaching consequences to human well-being. However, our scientific understanding of the distribution and dynamics of land cover and land cover change (LCLCC) is limited. Previous global land cover assessments performed using coarse spatial resolution (300 m–1 km) satellite data did not provide enough thematic detail or change information for global change studies and for resource management. High resolution (∼30 m) land cover characterization and monitoring is needed that permits detection of land change at the scale of most human activity and offers the increased flexibility of environmental model parameterization needed for global change studies. However, there are a number of challenges to overcome before producing such data sets including unavailability of consistent global coverage of satellite data, sheer volume of data, unavailability of timely and accurate training and validation data, difficulties in preparing image mosaics, and high performance computing requirements. Integration of remote sensing and information technology is needed for process automation and high-performance computing needs. Recent developments in these areas have created an opportunity for operational high resolution land cover mapping, and monitoring of the world. Here, we report and discuss these advancements and opportunities in producing the next generations of global land cover characterization, mapping, and monitoring at 30-m spatial resolution primarily in the context of United States, Group on Earth Observations Global 30 m land cover initiative (UGLC).

International Journal of Applied Earth Observation↗

Multinomial N-mixture models improve the applicability of electrofishing for developing population estimates of stream-dwelling Smallmouth Bass

Failure to account for variable detection across survey conditions constrains progressive stream ecology and can lead to erroneous stream fish management and conservation decisions. In addition to variable detection’s confounding long-term stream fish population trends, reliable abundance estimates across a wide range of survey conditions are fundamental to establishing species–environment relationships. Despite major advancements in accounting for variable detection when surveying animal populations, these approaches remain largely ignored by stream fish scientists, and CPUE remains the most common metric used by researchers and managers. One notable advancement for addressing the challenges of variable detection is the multinomial N -mixture model. Multinomial N -mixture models use a flexible hierarchical framework to model the detection process across sites as a function of covariates; they also accommodate common fisheries survey methods, such as removal and capture–recapture. Effective monitoring of stream-dwelling Smallmouth Bass Micropterus dolomieu populations has long been challenging; therefore, our objective was to examine the use of multinomial N -mixture models to improve the applicability of electrofishing for estimating absolute abundance. We sampled Smallmouth Bass populations by using tow-barge electrofishing across a range of environmental conditions in streams of the Ozark Highlands ecoregion. Using an information-theoretic approach, we identified effort, water clarity, wetted channel width, and water depth as covariates that were related to variable Smallmouth Bass electrofishing detection. Smallmouth Bass abundance estimates derived from our top model consistently agreed with baseline estimates obtained via snorkel surveys. Additionally, confidence intervals from the multinomial N -mixture models were consistently more precise than those of unbiased Petersen capture–recapture estimates due to the dependency among data sets in the hierarchical framework. We demonstrate the application of this contemporary population estimation method to address a longstanding stream fish management issue. We also detail the advantages and trade-offs of hierarchical population estimation methods relative to CPUE and estimation methods that model each site separately.

Missouri, Oklahoma↗

Mountain sentinels in a changing world: Review and conservation implications of weather and climate effects on mountain goats (Oreamnos americanus)

Climate change is occurring at an accelerated rate in high-elevation alpine and mountain ecosystems. Cold-adapted, mountain species are at risk due to forecasted change and knowledge is needed to respond to current and future conservation challenges. Mountain goats ( Oreamnos americanus ) are an iconic species of North American mountain cultures and landscapes, and due to specialized adaptations for life in cold, mountainous environments they are particularly sensitive to changes in weather and climate. As sentinels of change in alpine ecosystems, the study of mountain goats offers insight into the ecological effects and conservation challenges associated with climate change in these sensitive and biodiverse environments. Here, we synthesize existing knowledge about how climate change is expected to influence environmental conditions experienced by mountain goats and associated mechanistic changes to behavior, nutritional ecology, demography, health, and interspecific interactions. In many instances, climate change effects are likely to be negative and additive to existing threats (such as human disturbance, hunting, disease, predation) though benefits are expected in some cases. Changes in climate and mountain environments will necessitate re-examination and modification of population monitoring, management, and conservation strategies. Specifically, spatiotemporal (and other) aspects of monitoring and management may need to be adjusted to accommodate emerging and novel conservation challenges. Yet, key data and knowledge gaps remain and should be addressed to advance conservation and decision-making capabilities. For mountain goats and similarly climate-sensitive alpine herbivores, effective conservation will ultimately benefit from collaborations among diverse networks guided by well-planned, strategic visions focused on common ground – namely the resiliency and persistence of culturally and ecologically significant mountain species and the alpine environment they inhabit.

Alaska, Alberta, British Columbia, Idaho, Montana,↗

Effects of coal mine subsidence in the Sheridan, Wyoming, area

Analyses of the surface effects of past underground coal mining in the Sheridan, Wyoming, area suggest that underground mining of strippable coal deposits may damage the environment more over long periods of time than would modern surface mining, provided proper restoration procedures are followed after surface mining. Subsidence depressions and pits are a continuing hazard to the environment and to man's activities in the Sheridan, Wyo., area above abandoned underground mines in weak overburden less than about 60 m thick and where the overburden is less than about 10-15 times the thickness of coal mined. In addition, fires commonly start by spontaneous ignition when water and air enter the abandoned mine workings via subsidence cracks and pits. The fires can then spread to unmined coal as they create more cavities, more subsidence, and more cracks and pits through which air can circulate. In modern surface mining operations the total land surface underlain by minable coal is removed to expose the coal. The coal is removed, the overburden and topsoil are replaced, and the land is regraded and revegetated. The land, although disturbed, can be more easily restored and put back into use than can land underlain by abandoned underground mine workings in areas where the overburden is less than about 60 m thick or less than about 10-15 times the thickness of coal mined. The resource recovery of modern surface mining commonly is much greater than that of underground mining procedures. Although present-day underground mining technology is advanced as compared to that of 25-80 years ago, subsidence resulting from underground mining of thick coal beds beneath overburden less than about 60 m thick can still cause greater damage to surface drainage, ground water, and vegetation than can properly designed surface mining operations. This report discusses (11 the geology and surface and underground effects of former large-scale underground coal mining in a 50-km 2 area 5-20 km north of Sheridan, Wyo., (2) a ground and aerial reconnaissance study of a 5-km^2 coal mining area 8-10 km west of Sheridan, and (31 some environmental consequences and problems caused by coal mining.

Professional Paper↗

White-nose syndrome surveillance and bat monitoring activities in North Coast and Cascades Network parks 2016–2024

Pseudogymnoascus destructans (Pd), the causative agent of white-nose syndrome (WNS) in bats, has caused serious declines in bat populations across North America. We conducted WNS surveillance in five different park units in the North Coast and Cascades Network (NCCN) from 2016 to 2024, following the initial detection of Pd and WNS in Washington State in 2016. We captured and swabbed bats, swabbed roost materials, and collected guano and tested these samples for Pd DNA using qPCR. We confirmed WNS through histopathology of tissue samples and carcasses. We detected Pd at five locations in Mount Rainier National Park, starting in 2017. We confirmed WNS at four of these locations, with the first clinical signs detected in 2022. We detected Pd for the first time in Olympic and North Cascades National Parks in 2024. From these efforts, we generated information that can be compared to other datasets, helping us advance our knowledge of WNS/Pd epidemiology. We also conducted three field and laboratory-based experiments to inform early detection/rapid response (EDRR) planning. The first was a field experiment using non-infective Pd DNA to evaluate the rate of DNA degradation and the probability of detecting Pd DNA in the field. Experimental degradation rates for Pd DNA ranged from 1.6% to 8.2% and were lower in protected sites. The second was a laboratory-based experiment to understand Pd growth on four different substrates. We detected increasing levels of Pd in autoclaved guano and in plywood, suggesting these substrates may be environmental reservoirs. Pd remained stable in fresh guano but in soil it decreased, suggesting microbial interactions that may influence Pd growth in these substrates. We also collected wood shavings from a Pd positive bat box in June and August to evaluate viable Pd persistence in wood in a summer roost. Despite the characterization that Pd required cold conditions to persist, viable Pd was present in wood shavings collected during the summer season. Finally, we evaluated the National White-Nose Syndrome Decontamination Protocol through experiments. We found that ethanol was not effective as a sporicidal agent in any of the concentrations we tested and that a 1:10 dilution of bleach did not kill Pd spores, though higher concentrations did. These findings resulted in changes to the national protocol.

Oregon, Washington↗

This week?s Citation Classic: 'Stickel, L. F. A comparison of certain methods of measuring ranges of small mammals. J. Mammalogy 35: 1-15, 1954.'

During my first employment as a junior biologist conducting food habits analyses at the Patuxent Research Refuge (now Patuxent Wildlife Research Center) of the US Fish and Wildlife Service, the first station director, Arnold L. Nelson, gave each staff biologist the opportunity to spend a little time conducting field studies on the 2,600-acre research area. These studies were to help in ecological evaluation of the area, but also, no doubt, functioned as a morale builder for biologists daily engaged in difficult, demanding and confining laboratory work. I undertook to measure the population density of small mammals in different habitats. The state-of-the-art methods recommended to me and prevalent in the literature worried me, especially after preliminary field work. Reading the classic, paper by W.H. Burt [Terrioriality and home range concepts as applied to mammals. J. Mammalogy 24:346-352, 1943] was a turning point for me in seeing that knowledge of home-range size was the key to measuring population density. My first papers employed these concepts in field evaluations. However, they could give-only limited attention to the question of how home ranges could be measured. Furthermore, the importance of knowledge of the home range to habitat evaluation and to understanding animal behavior was becoming increasingly apparent. Advocacy of many different methods of measuring home ranges appeared in the literature. It did not seem possible to evaluate them objectively. It occurred to me that artificial populations could be used to help in understanding the mechanisms of measuring home ranges. The effects of random trap-visiting, bias toward central traps, trap-spacing, range shape, and other factors could be considered. So grids of traps were inked onto oversize graph paper, and simulated ranges were cut from plastic to be tossed as randomly as possible on the trap-grids. It was a slow, laborious job. Analysis showed that random captures in artificial populations produced patterns that were similar in many ways to those observed in field studies; the necessity of appropriate trap-spacing in relation to range size became obvious. Some commonly used methods of expressing range size proved to be clearly superior to others. However, the artificial populations could not fully simulate actual populations, where use patterns changed as conditions changed and the ?boundaries? of ranges tended to shift continuously or with time. Progress was made, but problems remained. I suspect that the reasons the paper has been cited frequently rest on the continuing interest in home-range behavior and the continuing difficulty in field evaluations, despite the many advances in observational methodology. The sophisticated techniques that became possible with the use of computers [R.I. Jennrich and F.B. Turner. Measurement of non-circular home range. J. Theor. Biol 23:227-237, 1969] also presented new possibilities for analysis and understanding of home-range characteristics and created a resurgence of interest in home-range behavior and its biological significance.

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