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Visitor use and activities detected using trail cameras at forest restoration sites

We used trail cameras to monitor human visits and activities at two sites in northeast Indiana being restored to bottomland hardwood forests. These sites, managed as nature preserves, are close to cities, where trails and parking lots have been added for ease of access. In this study, trail cameras were successfully used to capture visitation rates and activity types. The two sites had median visitor use rates of 1 and 13 visitors per day. Across both sites, “parking lot use only” (62%), hikers (30.2%), and bicyclists (5%) accounted for more than 97% of site visits. Overall, most weekday visitor-time occurred during daylight hours, peaking at lunch and evening. Mean total number of daily visitors was higher during weekends; however, total daily visitor-time did not vary between days of the week. Michaelis-Menten rarefaction models of sampling efficiency across the study’s four camera stations suggest sampling duration of 27 to 55 days to accurately estimate mean daily visitor counts and 3 to 40 days to detect half the maximal numbers of observed activities. Study estimates of visitation provide land managers with information for accommodating visitor use activities on the restored sites and offer inputs for cultural ecosystem services assessments and associated economic analyses.

Ecological Restoration

Restoring sand shinnery oak prairies with herbicide and grazing in New Mexico

Sand shinnery oak ( Quercus havardii ) prairies are increasingly disappearing and increasingly degraded in the Southern High Plains of Texas and New Mexico. Restoring and managing sand shinnery oak prairie can support biodiversity, specific species of conservation concern, and livestock production. We measured vegetation response to four treatment combinations of herbicide (tebuthiuron applied at 0.60 kg/ha) and moderate-intensity grazing (50% removal of annual herbaceous production) over a 10-year period in a sand shinnery oak prairie of eastern New Mexico. We compared the annual vegetation response to the historical climax plant community (HCPC) as outlined by the U.S. Department of Agriculture Ecological Site Description. From 2 to 10 years postapplication, tebuthiuron-treated plots had reduced shrub cover with twice as much forb and grass cover as untreated plots. Tebuthiuron-treated plots, regardless of the presence of grazing, most frequently met HCPC. Tebuthiuron and moderate-intensity grazing increased vegetation heterogeneity and, based on comparison of the HCPC, successfully restored sand shinnery oak prairie to a vegetation composition similar to presettlement.

New Mexico

Fish assemblage and functional trait responses to small-dam removal

Dams are one of the greatest threats to freshwater biodiversity and efforts to remove dams to restore riverine systems are increasing. However, dam-removal studies have primarily focused on taxonomic responses to large dam removals with little work on the functional trait responses of fish to small-dam removals; such a focus limits the application of results in regions with different taxonomic compositions. We explored taxonomic and functional trait responses of fish assemblages to two small-dam removals over 10 years using a Multiple Before After Control Impact design at a dammed and an undammed river. Eight life-history traits were used to calculate functional diversity (RaoQ) and determine the position of each fish species within a multivariate life-history space relative to three life-history strategy endpoints: opportunistic, periodic, and equilibrium. The distance of each species relative to these endpoints was used to calculate community weighted means (CWM), allowing us to examine the shift in life-history strategy of a given assemblage after dam removal. Based on life-history theory, we predicted a decrease in the CWM of equilibrium strategists and an increase in the CWM opportunistic strategists after dam removal. For the dammed river, we observed changes in assemblage structure at both the control and impact sites driven primarily by shifts from a lentic to lotic assemblage, with the most apparent change occurring in the formerly impounded sites. These changes tended to occur within 1 year, suggesting rapid colonization by lotic species after habitat change. By contrast, no change in assemblage structure was found for the undammed river, suggesting that dam removal was the primary driver of the shifts in assemblage structure observed in the dammed river. We found no change in the CWM of periodic strategists or RaoQ of all life-history traits at any site after dam removal. Based on CWM, life-history strategies shifted in response to dam removal at impounded sites where equilibrium strategists decreased and opportunistic strategists tended to increase after the impounded sites changed from a stable lentic environment to an unstable lotic environment, supporting predictions made by life-history theory. Our results suggest that small-dam removal may provide ecological benefits by restoring fish assemblages to a more natural riverine state and reversing the negative effects of dam construction on the ecosystem. We demonstrate that combining both trait-based and taxonomic approaches can improve our ecological understanding of the impacts of dam removal on fish assemblages and provide relevant data for local management.

South Carolina

An Assessment of the Potential Effects of Aquifer Storage and Recovery on Mercury Cycling in South Florida

Mercury contamination in the environment is a global concern, especially in areas with abundant wetlands, such as south Florida. As the causal factors of this concern improve, scientists find that many factors that do not necessarily affect mercury concentrations, such as flooding and drying cycles, or changes to carbon and sulfate loading, can profoundly affect net mercury toxicity. Especially important are ecological factors that alter the conversion of mercury to methylmercury, which is the most bioaccumulative and toxic form of mercury in the environment. Resource managers, therefore, need to be aware of possible deleterious affects to mercury toxicity that could result from land and water management decisions. Several aspects of the Comprehensive Everglades Restoration Plan (CERP), including the planned Aquifer Storage and Recovery (ASR) program, have the potential to affect the abundance of methylmercury. In response to these concerns, the U.S. Geological Survey and U.S. Army Corps of Engineers collaborated on a study to evaluate how the proposed ASR program may affect mercury cycling and toxicity. This project was conducted as an initial assessment of the possible effects of the CERP ASR program on mercury in the south Florida environment. A twofold approach was employed: field sampling and controlled laboratory benchmark experiments. The field sampling survey collected ground-water samples from the Floridan and surficial aquifer systems for the ASR program to determine existing levels of mercury and methylmercury. Laboratory experiments, on the other hand, were designed to determine how the injected surface water would interact with the aquifer during storage periods. Overall, very low levels of mercury and methylmercury (mean values of 0.41 and 0.07 nanograms per liter, respectively) were observed in ground-water samples collected from the Floridan and surficial aquifer systems. These results indicate that 'recovered water' from the CERP ASR program would not represent a significant additional direct load of mercury and methyl-mercury to ASR 'receiving waters'. Net production of methylmercury, however, can result from additions of sulfate or natural organic carbon. Thus, because the Upper Floridan aquifer generally has elevated concentrations of sulfate (relative to ambient Everglades conditions) and surface waters near Lake Okeechobee (the assumed target for ASR receiving waters) are elevated in organic carbon and sulfate, at least some potential for increased methylmercury production might arise from the release of recovered ASR water to locations in or near the Everglades.

Scientific Investigations Report

Scientific Framework for resilience research on the Upper Mississippi River System

The goal of this research framework is to outline research that would continue to improve our understanding of ecological resilience of the Upper Mississippi River System (UMRS) and inform management of the system for health and resilience. We provide a broad overview of recently completed and ongoing work that has been funded as a part of the UMRS Ecological Resilience Assessment and related efforts to provide context for how proposed research questions build upon our current knowledge and may inform restoration planning and design. We describe two primary objectives within this research framework - the first objective is to investigate hypothesized drivers and feedbacks related to specified resilience, and the second is to expand our utility of general resilience indicators through further development and evaluation. The intended audience for this framework is the Upper Mississippi River Restoration Program (UMRR). The UMRR partnership is made up of natural resource agencies from five states (Illinois, Iowa, Minnesota, Missouri and Wisconsin) and five federal agencies (U.S. Army Corps of Engineers, U.S. Environmental Protection Agency, U.S. Fish and Wildlife Service, U.S. Geological Survey, and USDA Natural Resources Conservation Service).

Illinois, Iowa, Minnesota, Missouri, Wisconsin

A decision framework to analyze tide-gate options for restoration of the Herring River Estuary, Massachusetts

The collective set of decisions involved with the restoration of degraded wetlands is often more complex than considering only ecological responses and outcomes. Restoration is commonly driven by a complex interaction of social, economic, and ecological factors representing the mandate of resource stewards and the values of stakeholders. The authors worked with the Herring River Restoration Committee (HRRC) to develop a decision framework to understand the implications of complex tradeoffs and to guide decision making for the restoration of the 1,100-acre Herring River estuary within Cape Cod National Seashore, which has been restricted from tidal influence for more than 100 years. The HRRC represents decision maker and stakeholder interests in the restoration process. For a 25-year planning horizon, decisions involve the rate at which newly constructed water-control structures allow tidal exchange, and the timing and location of implementing numerous secondary management options. Decisions affect multiple stakeholders, including residents of two adjacent towns who value the watershed for numerous benefits and whose economy relies on seasonal activities and aquaculture. System response to management decisions is characterized by a high degree of uncertainty and risk with positive and negative outcomes possible. Decision policies will affect biophysical (for example, sediment transport, discharge of fecal coliform bacteria) and ecological (for example, vegetation response, fish passage, effects on shellfish) processes, as well as socioeconomic interests (for example, effects on property, viewscapes, recreation). The framework provides a structured approach for evaluating tradeoffs among multiple objectives (ecological and social) while appropriately characterizing relevant uncertainties and accounting for levels of risk tolerances and the values of decision makers and stakeholders. Consequences of tide-gate management options are predicted using a range of methods from quantitative physical process models to elicited expert judgement. The decision framework is presented, and the software developed to implement the tradeoff analysis is introduced. The results from an initial prototype analysis using a software application developed for analyses of tradeoffs and of sensitivity of the decision to risk and uncertainty are presented. The next step is to use the decision-support application to analyze options using improved predictions.

Massachusetts

Enhancing and restoring habitat for the desert tortoise

Habitat has changed unfavorably during the past 150 y for the desert tortoise Gopherus agassizii , a federally threatened species with declining populations in the Mojave Desert and western Sonoran Desert. To support recovery efforts, we synthesized published information on relationships of desert tortoises with three habitat features (cover sites, forage, and soil) and candidate management practices for improving these features for tortoises. In addition to their role in soil health and facilitating recruitment of annual forage plants, shrubs are used by desert tortoises for cover and as sites for burrows. Outplanting greenhouse-grown seedlings, protected from herbivory, has successfully restored (>50% survival) a variety of shrubs on disturbed desert soils. Additionally, salvaging and reapplying topsoil using effective techniques is among the more ecologically beneficial ways to initiate plant recovery after severe disturbance. Through differences in biochemical composition and digestibility, some plant species provide better-quality forage than others. Desert tortoises selectively forage on particular annual and herbaceous perennial species (e.g., legumes), and forage selection shifts during the year as different plants grow or mature. Nonnative grasses provide low-quality forage and contribute fuel to spreading wildfires, which damage or kill shrubs that tortoises use for cover. Maintaining a diverse “menu” of native annual forbs and decreasing nonnative grasses are priorities for restoring most desert tortoise habitats. Reducing herbivory by nonnative animals, carefully timing herbicide applications, and strategically augmenting annual forage plants via seeding show promise for improving tortoise forage quality. Roads, another disturbance, negatively affect habitat in numerous ways (e.g., compacting soil, altering hydrology). Techniques such as recontouring road berms to reestablish drainage patterns, vertical mulching (“planting” dead plant material), and creating barriers to prevent trespasses can assist natural recovery on decommissioned backcountry roads. Most habitat enhancement efforts to date have focused on only one factor at a time (e.g., providing fencing) and have not included proactive restoration activities (e.g., planting native species on disturbed soils). A research and management priority in recovering desert tortoise habitats is implementing an integrated set of restorative habitat enhancements (e.g., reducing nonnative plants, improving forage quality, augmenting native perennial plants, and ameliorating altered hydrology) and monitoring short- and long-term indicators of habitat condition and the responses of desert tortoises to habitat restoration.

Mojave Desert

Integrating climate and anthropogenic dynamics can inform multifaceted management for declining mule deer populations

Wildlife and their habitats face profound challenges from climate and landscape-scale changes that extend beyond the influence and time horizon of most biologists and land managers. In this changing environment, long-term datasets can enhance assessments of how demographic trends respond to interactions among local (e.g., habitat restoration decisions) and broad extent drivers, including energy development, to shape wildlife populations. Although many studies evaluate habitat selection or demographics for a single population, our multipopulation, multiscale study quantifies the influence of local management actions given broader environmental forces using both immediate and lagged effects. This approach may be particularly important for species with high site fidelity that may have less adaptive capacity, including mule deer ( Odocoileus hemionus ), which are experiencing widespread population declines. We analyzed a 40-year (1980–2019) dataset for 37 mule deer populations across Wyoming, USA, to test hypotheses about and quantify the relative influence of conditions within winter use areas on annual rates of juvenile recruitment. Recruitment has been strongly affected by multiple factors largely beyond the control of managers. Land cover (agriculture and shrubland) had the largest positive effects on recruitment, with estimates more than twice the magnitude of other variables, but also had limited presence in some winter use areas. The next strongest effect sizes were shared by energy developments (including oil/gas and wind energy) and climatic conditions, which, except for wind turbines, had broad distributions across winter use areas. Recruitment increased with higher mean winter temperatures and summer precipitation, but declined with wind, oil and gas developments, cumulative drought, and wildfire. Expected increases in drought and decreases in summer precipitation may constrain options to sustain mule deer populations. Although mule deer recruitment may sometimes be enhanced through habitat restoration, effects varied with treatment type, habitat type, and time since treatment. Given large constraining effects of temperature and drought, supporting drought resiliency for important habitat may be useful. Our results can be used to weigh the relative strength of threats and the value of restoration actions, interpret historic demographic change, prioritize populations for conservation, and optimize options for wildlife habitat management.

Wyoming

The unprecedented loss of Florida's reef-building corals and the emergence of a novel coral-reef assemblage

Over the last half century, climate change, coral disease, and other anthropogenic disturbances have restructured coral-reef ecosystems on a global scale. The disproportionate loss of once-dominant, reef-building taxa has facilitated relative increases in the abundance of “weedy” or stress-tolerant coral species. Although the recent transformation of coral-reef assemblages is unprecedented on ecological timescales, determining whether modern coral reefs have truly reached a novel ecosystem state requires evaluating the dynamics of reef composition over much longer periods of time. Here, we provide a geologic perspective on the shifting composition of Florida's reefs by reconstructing the millennial-scale spatial and temporal variability in reef assemblages using 59 Holocene reef cores collected throughout the Florida Keys Reef Tract (FKRT). We then compare the relative abundances of reef-building species in the Holocene reef framework to data from contemporary reef surveys to determine how much Florida's modern reef assemblages have diverged from long-term baselines. We show that the composition of Florida's reefs was, until recently, remarkably stable over the last 8000 yr. The same corals that have dominated shallow-water reefs throughout the western Atlantic for hundreds of thousands of years, Acropora palmata , Orbicella spp., and other massive coral taxa, accounted for nearly 90% of Florida's Holocene reef framework. In contrast, the species that now have the highest relative abundances on the FKRT, primarily Porites astreoides and Siderastrea siderea , were rare in the reef framework, suggesting that recent shifts in species assemblages are unprecedented over millennial timescales. Although it may not be possible to return coral reefs to pre-Anthropocene states, our results suggest that coral-reef management focused on the conservation and restoration of the reef-building species of the past, will optimize efforts to preserve coral reefs, and the valuable ecosystem services they provide into the future.

Florida

The future of fish passage science, engineering, and practice

Much effort has been devoted to developing, constructing and refining fish passage facilities to enable target species to pass barriers on fluvial systems, and yet, fishway science, engineering and practice remain imperfect. In this review, 17 experts from different fish passage research fields (i.e., biology, ecology, physiology, ecohydraulics, engineering) and from different continents (i.e., North and South America, Europe, Africa, Australia) identified knowledge gaps and provided a roadmap for research priorities and technical developments. Once dominated by an engineering‐focused approach, fishway science today involves a wide range of disciplines from fish behaviour to socioeconomics to complex modelling of passage prioritization options in river networks. River barrier impacts on fish migration and dispersal are currently better understood than historically, but basic ecological knowledge underpinning the need for effective fish passage in many regions of the world, including in biodiversity hotspots (e.g., equatorial Africa, South‐East Asia), remains largely unknown. Designing efficient fishways, with minimal passage delay and post‐passage impacts, requires adaptive management and continued innovation. While the use of fishways in river restoration demands a transition towards fish passage at the community scale, advances in selective fishways are also needed to manage invasive fish colonization. Because of the erroneous view in some literature and communities of practice that fish passage is largely a proven technology, improved international collaboration, information sharing, method standardization and multidisciplinary training are needed. Further development of regional expertise is needed in South America, Asia and Africa where hydropower dams are currently being planned and constructed.

Fish and Fisheries

Poplar Island: Understanding the development of a beneficial use restoration site

Poplar Island, like many other islands throughout the Chesapeake Bay, eroded from 460 hectares in 1847 to only 1.5 hectares by the 1990’s. However, the U.S. Army Corps of Engineers, Maryland Department of Transportation, and numerous other state and federal agencies selected this site as the location of a beneficial use project aimed at restoring remote island habitat in the Chesapeake Bay using clean dredge material. While monitoring efforts since the beginning of restoration efforts have documented extensive use of Poplar Island by numerous species across multiple taxa, these efforts have previously lacked context regarding underlying habitat patterns. However, such information is especially important on a site like Poplar Island where habitat distribution and availability can change dramatically between years due to ongoing construction efforts. To address this information gap we digitized annual aerial imagery of Poplar Island from 2006-2017 into 20 habitat classes. The resulting data layers demonstrate the transition of cells along the eastern side of the island from undeveloped cells to planted marsh cells, which matches trends seen in avian monitoring data. Similarly, our data display changes in the distribution of specific resources such as sand across the island, and how individual locations of interest such as constructed habitat islands have evolved over time. We believe that these data will provide critical insight into the factors influencing wildlife distribution patterns on Poplar Island, and will allow for the identification of management actions that may either be targeted or avoided in the planning of future beneficial use projects.

Maryland

Quantifying ecological integrity of terrestrial systems to inform management of multiple-use public lands in the United States

The concept of ecological integrity has been applied widely to management of aquatic systems, but still is considered by many to be too vague and difficult to quantify to be useful for managing terrestrial systems, particularly across broad areas. Extensive public lands in the western United States are managed for diverse uses such as timber harvest, livestock grazing, energy development, and wildlife conservation, some of which may degrade ecological integrity. We propose a method for assessing ecological integrity on multiple-use lands that identifies the components of integrity and levels in the ecological hierarchy where the assessment will focus, and considers existing policies and management objectives. Both natural reference and societally desired environmental conditions are relevant comparison points. We applied the method to evaluate the ecological integrity of shrublands in Nevada, yielding an assessment based on six indicators of ecosystem structure, function, and composition, including resource- and stressor-based indicators measured at multiple scales. Results varied spatially and among indicators. Invasive plant cover and surface development were highest in shrublands in northwest and southeast Nevada. Departure from reference conditions of shrubland area, composition, patch size, and connectivity was highest in central and northern Nevada. Results may inform efforts to control invasive species and restore shrublands on federal lands in Nevada. We suggest that ecological integrity assessments for multiple-use lands be grounded in existing policies and monitoring programs, incorporate resource- and stressor-based metrics, rely on publicly available data collected at multiple spatial scales, and quantify both natural reference and societally desired resource conditions.

Nevada

Bryophyte abundance, composition and importance to woody plant recruitment in natural and restoration forests

Restoration of tropical forests can lead to enhanced ecosystem services and increases in native biodiversity. Bryophytes may be an integral part of the forest restoration process and can serve a critical role in forest functioning. However, the recovery of bryophytes and their ability to facilitate woody plant establishment during restoration remains poorly studied, especially in the tropics. We investigate how bryophyte abundance and community composition, as well as woody plant seedling associations with bryophyte mats and other ground cover types change from under the canopy of intact forest to under trees in restoration corridor plantings in Hawaii. Restoration corridors consisted of corridors of koa (Acacia koa) trees that were planted roughly 30 years ago. Some corridors were planted around remnant ʻōhiʻa trees (Metrosideros polymorpha) that can be several hundred years old. We sampled under ʻōhiʻa in intact forest and both koa and ʻōhiʻa trees in restoration corridors. In restoration corridors, bryophyte abundance was low relative to intact forest and species diversity was a subset of that found in intact forest despite restoration corridors being several decades old. Seedlings strongly associated with bryophytes across all habitats suggesting that bryophytes may significantly enhance forest seedling establishment when present in restoration corridors. Other ground cover types like woody litter and nurse logs also had a positive association with forest seedlings but were rare in restoration corridors. Grass remained a dominant ground cover type in restoration corridors under koa and remnant ʻōhiʻa trees and only a single seedling was ever found growing in this grass. Enhancing bryophyte growth and recovery within restoration plantings through the reduction of grass cover could facilitate native plant establishment.

Hawaii

Shifts in an invasive rodent community favoring black rats (Rattus rattus) following restoration of native forest

One potential, unintended ecological consequence accompanying forest restoration is a shift in invasive animal populations, potentially impacting conservation targets. Eighteen years after initial restoration (ungulate exclusion, invasive plant control, and out planting native species) at a 4 ha site on Maui, Hawai'i, we compared invasive rodent communities in a restored native dry forest and adjacent non-native grassland. Quarterly for 1 year, we trapped rodents on three replicate transects (107 rodent traps) in each habitat type for three consecutive nights. While repeated trapping may have reduced the rat (Black rat, Rattus rattus ) population in the forest, it did not appear to reduce the mouse (House mouse, Mus musculus ) population in the grassland. In unrestored grassland, mouse captures outnumbered rat captures 220:1, with mice averaging 54.9 indiv./night versus rats averaging 0.25 indiv./night. In contrast, in restored native forest, rat captures outnumbered mouse captures by nearly 5:1, averaging 9.0 indiv./night versus 1.9 indiv./night for mice. Therefore, relatively recent native forest restoration increased Black rat abundance and also increased their total biomass in the restored ecosystem 36-fold while reducing House mouse biomass 35-fold. Such a community shift is worrisome because Black rats pose a much greater threat than do mice to native birds and plants, perhaps especially to large-seeded tree species. Land managers should be aware that forest restoration (i.e. converting grassland to native forest) can invoke shifts in invasive rodent populations, potentially favoring Black rats. Without intervention, this shift may pose risks for intended conservation targets and modify future forest restoration trajectories.

Restoration Ecology

Stress gradients structure spatial variability in coastal tidal marsh plant composition and diversity in a major Pacific coast estuary

Understanding the drivers of variability in plant diversity from local to landscape spatial scales is a challenge in ecological systems. Environmental gradients exist at several spatial scales and can be nested hierarchically, influencing patterns of plant diversity in complex ways. As plant community dynamics influence ecosystem function, understanding the drivers of plant community variability across space is paramount for predicting potential shifts in ecosystem function from global change. Determining the scales at which stress gradients influence vegetation composition is crucial to inform management and restoration of tidal marshes for specific functions. Here, we analyzed vegetation community composition in 51 tidal marshes from the San Francisco Bay Estuary, California, USA. We used model-based compositional analysis and rank abundance curves to quantify environmental (elevation/tidal frame position, distance to channel, and channel salinity) and species trait (species form, wetland indicator status, and native status) influences on plant community variability at the marsh site and estuary scales. While environmental impacts on plant diversity varied by species and their relationships to each other, overall impacts increased in strength from marsh to estuary scales. Relative species abundance was important in structuring these tidal marsh communities even with the limited species pools dominated by a few species. Rank abundance curves revealed different community structures by region with higher species evenness at plots higher in the tidal frame and adjacent to freshwater channels. By identifying interactions (species–species, species–environment, and environment–trait) at multiple scales (local, landscape), we begin to understand how variability measurements could be interpreted for conservation and land management decisions.

California

Influence of habitat amount, arrangement, and use on population trend estimates of male Kirtland's warblers

Kirtland's warblers (Dendroica kirtlandii) persist in a naturally patchy environment of young, regenerating jack pine forests (i.e., 5-23 years old) created after wildfires and human logging activities. We examined how changing landscape structure from 26 years of forest management and wildfire disturbances influenced population size and spatial dispersion of male Kirtland's warblers within their restricted breeding range in northern Lower Michigan, USA. The male Kirtland's warbler population was six times larger in 2004 (1,322) compared to 1979 (205); the change was nonlinear with 1987 and 1994 identified as significant points of change. In 1987, the population trend began increasing after a slowly declining trend prior to 1987, and the rate of increase appeared to slow after 1994. Total amount of suitable habitat and the relative area of wildfire-regenerated habitat were the most important factors explaining population trend. Suitable habitat increased 149% primarily due to increasing plantations from forest management. The relative amount and location of wildfire-regenerated habitat modified the distribution of males among various habitat types, and the spatial variation in their abundance across the primary breeding range. These findings indicate that the Kirtland's warbler male population shifted its use of habitat types temporally and spatially as the population increased and as the relative availability of habitats changed through time. We demonstrate that researchers and managers need to consider not only habitat quality, but the temporal and the spatial context of habitat availability and population levels when making habitat restoration decisions. ?? 2008 Springer Science+Business Media B.V.

Landscape Ecology

Influence of landscape structure, topography, and forest type on spatial variation in historical fire regimes, central Oregon, USA

Context In the interior Northwest, debate over restoring mixed-conifer forests after a century of fire exclusion is hampered by poor understanding of the pattern and causes of spatial variation in historical fire regimes. Objectives To identify the roles of topography, landscape structure, and forest type in driving spatial variation in historical fire regimes in mixed-conifer forests of central Oregon. Methods We used tree rings to reconstruct multicentury fire and forest histories at 105 plots over 10,393 ha. We classified fire regimes into four types and assessed whether they varied with topography, the location of fuel-limited pumice basins that inhibit fire spread, and an updated classification of forest type. Results We identified four fire-regime types and six forest types. Although surface fires were frequent and often extensive, severe fires were rare in all four types. Fire regimes varied with some aspects of topography (elevation), but not others (slope or aspect) and with the distribution of pumice basins. Fire regimes did not strictly co-vary with mixed-conifer forest types. Conclusions Our work reveals the persistent influence of landscape structure on spatial variation in historical fire regimes and can help inform discussions about appropriate restoration of fire-excluded forests in the interior Northwest. Where the goal is to restore historical fire regimes at landscape scales, managers may want to consider the influence of topoedaphic and vegetation patch types that could affect fire spread and ignition frequency.

Landscape Ecology

Design of Cycle 3 of the National Water-Quality Assessment Program, 2013-2022: Part 1: Framework of Water-Quality Issues and Potential Approaches

In 1991, the U.S. Congress established the U.S. Geological Survey (USGS) National Water-Quality Assessment (NAWQA) Program to develop long-term, nationally consistent information on the quality of the Nation's streams and groundwater. Congress recognized the critical need for this information to support scientifically sound management, regulatory, and policy decisions concerning the increasingly stressed water resources of the Nation. The long-term goals of NAWQA are to: (1) assess the status of water-quality conditions in the United States, (2) evaluate long-term trends in water-quality conditions, and (3) link status and trends with an understanding of the natural and human factors that affect water quality. These goals are national in scale, include both surface water and groundwater, and include consideration of water quality in relation to both human uses and aquatic ecosystems. Since 1991, NAWQA assessments and findings have fostered and supported major improvements in the availability and use of unbiased scientific information for decisionmaking, resource management, and planning at all levels of government. These improvements have enabled agencies and stakeholders to cost-effectively address a wide range of water-quality issues related to natural and human influences on the quality of water and potential effects on aquatic ecosystems and human health (http://water.usgs.gov/nawqa/xrel.pdf). NAWQA, like all USGS programs, provides policy relevant information that serves as a scientific basis for decisionmaking related to resource management, protection, and restoration. The information is freely available to all levels of government, nongovernmental organizations, industry, academia, and the public, and is readily accessible on the NAWQA Web site and other diverse formats to serve the needs of the water-resource community at different technical levels. Water-quality conditions in streams and groundwater are described in more than 1,700 publications (available online at http://water.usgs.gov/nawqa/bib/), and are documented by more than 14 million data records representing about 7,600 stream sites, 8,100 wells, and 2,000 water-quality and ecological constituents that are available from the NAWQA data warehouse (http://infotrek.er.usgs.gov/traverse/f?p=NAWQA:HOME:0). The Program promotes collaboration and liaison with government officials, resource managers, industry representatives, and other stakeholders to increase the utility and relevance of NAWQA science to decisionmakers. As part of this effort, NAWQA supports integration of data from other organizations into NAWQA assessments, where appropriate and cost-effective, so that more comprehensive findings are available across geographic and temporal scales.

Open-File Report