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At least 469 records · Page 26Linked to original sources

Why bother about wildlife disease?

In most developed countries, the maintenance of the numbers of wildlife 1 is vested in the natural resource agencies of those countries. During earlier times, game species were the primary focus of natural resource agencies 2,3 however, current wildlife conservation continues to transition towards a more holistic focus on biodiversity 4 and environmental health 5,6 . Nevertheless, that transition lags behind in addressing wildlife disease in “…the struggle for existence between different forms of life…”. 7 Thus, the primary objective of this presentation is to provide a pragmatic assessment of wildlife disease that is irrespective of one’s orientation towards wildlife conservation. A secondary objective is to highlight the changing role of disease over time as a wildlife conservation factor. That transition is relevant to the insights provided for current and future efforts focused on sustaining global biodiversity and desired levels of wildlife populations in nature.

Circular

Genomic signatures of thermal adaptation are associated with clinal shifts of life history in a broadly distributed frog

Temperature is a critical driver of ectotherm life-history strategies, whereby a warmer environment is associated with increased growth, reduced longevity and accelerated senescence. Increasing evidence indicates that thermal adaptation may underlie such life-history shifts in wild populations. Single nucleotide polymorphisms (SNPs) and copy number variants (CNVs) can help uncover the molecular mechanisms of temperature-driven variation in growth, longevity and senescence. However, our understanding of these mechanisms is still limited, which reduces our ability to predict the response of non-model ectotherms to global temperature change. In this study, we examined the potential role of thermal adaptation in clinal shifts of life-history traits (i.e. life span, senescence rate and recruitment) in the Columbia spotted frog Rana luteiventris along a broad temperature gradient in the western United States. We took advantage of extensive capture–recapture datasets of 20,033 marked individuals from eight populations surveyed annually for 14–18 years to examine how mean annual temperature and precipitation influenced demographic parameters (i.e. adult survival, life span, senescence rate, recruitment and population growth). After showing that temperature was the main climatic predictor influencing demography, we used RAD-seq data (50,829 SNPs and 6,599 putative CNVs) generated for 352 individuals from 31 breeding sites to identify the genomic signatures of thermal adaptation. Our results showed that temperature was negatively associated with annual adult survival and reproductive life span and positively associated with senescence rate. By contrast, recruitment increased with temperature, promoting the long-term viability of most populations. These temperature-dependent demographic changes were associated with strong genomic signatures of thermal adaptation. We identified 148 SNP candidates associated with temperature including three SNPs located within protein-coding genes regulating resistance to cold and hypoxia, immunity and reproduction in ranids. We also identified 39 CNV candidates (including within 38 transposable elements) for which normalized read depth was associated with temperature. Our study indicates that both SNPs and structural variants are associated with temperature and could eventually be found to play a functional role in clinal shifts in senescence rate and life-history strategies in R. luteiventris . These results highlight the potential role of different sources of molecular variation in the response of ectotherms to environmental temperature variation in the context of global warming.

Journal of Animal Ecology

Mapping hotspots of potential ecosystem fragility using commonly available spatial data

Effective conservation requires prioritizing areas that are vulnerable to large, irreversible changes. Unfortunately, rigorously documenting these changes with experiments and long-term monitoring is not only costly, but may provide evidence that is too late to facilitate proactive decisions. We use a simple model to illustrate that commonly available short-term spatial, “snapshot”, data from a given ecosystem along an environmental gradient can be used to identify environmental conditions under which different ecosystem states (e.g. different species compositions) co-occur in space. These environmental conditions are those under which future perturbations have the potential for discontinuous large, sometimes irreversible, effects; and can be mapped in space to predict potential spatial hotspots of ecosystem fragility. We apply these insights to ecologically important high-elevation subalpine meadows of the Sierra Nevada (California). Our analysis reveals specific areas within meadows that may be more vulnerable than others because their plant communities have the potential to shift to a different state. These shifts can be mechanistically explained by interactions between the vegetation and the local water regimes and/or the upper soil conditions. Our study provides a simple workflow using commonly available data to help prioritize conservation areas based on their potential sensitivity to upcoming perturbations. Such an approach could be very valuable to make most efficient use of conservation and management resources in the context of ongoing global changes.

California

Predicting the persistence of coastal wetlands to global change stressors

Despite progress toward understanding the response of coastal wetlands to increases in relative sea-level rise and an improved understanding of the effect of elevated CO2 on plant species allocation patterns, we are limited in our ability to predict the response of coastal wetlands to the effects associated with global change. Static simulations of the response of coastal wetlands to sea-level rise using LIDAR and GIS lack the biological and physical feedback mechanisms present in such systems. Evidence from current research suggests that biotic processes are likely to have a major influence on marsh vulnerability to future accelerated rates of sea-level rise and the influence of biotic processes likely varies depending on hydrogeomorphic setting and external stressors. We have initiated a new research approach using a series of controlled mesocosm and field experiments, landscape scale studies, a comparative network of brackish coastal wetland monitoring sites and a suite of predictive models that address critical questions regarding the vulnerability of coastal brackish wetland systems to global change. Specifically, this research project evaluates the interaction of sea level rise and elevated CO2 concentrations with flooding, nutrient enrichment and disturbance effects. The study is organized in a hierarchical structure that links mesocosm, field, landscape and biogeographic levels so as to provide important new information that recognizes that coastal wetland systems respond to multiple interacting drivers and feedback effects controlling wetland surface elevation, habitat stability and ecosystem function. We also present a new statistical modelling technique (Structural Equation Modelling) that synthesizes and integrates our environmental and biotic measures in a predictive framework that forecasts ecosystem change and informs managers to consider adaptive shifts in strategies for the sustainable management of coastal wetlands.

Book chapter

Wind turbine wakes can impact down-wind vegetation greenness

Global wind energy has expanded 5-fold since 2010 and is predicted to expand another 8–10-fold over the next 30 years. Wakes generated by wind turbines can alter downwind microclimates and potentially downwind vegetation. However, the design of past studies has made it difficult to isolate the impact of wake effects on vegetation from land cover change. We used hourly wind data to model wake and non-wake zones around 17 wind facilities across the U.S. and compared remotely-sensed vegetation greenness in wake and non-wake zones before and after construction. We located sampling sites only in the dominant vegetation type and in areas that were not disturbed before or after construction. We found evidence for wake effects on vegetation greenness at 10 of 17 facilities for portions of, or the entire growing season. Evidence included statistical significance in Before After Control Impact statistical models, differences >3% between expected and observed values of vegetation greenness, and consistent spatial patterns of anomalies in vegetation greenness relative to turbine locations and wind direction. Wakes induced both increases and decreases in vegetation greenness, which may be difficult to predict prior to construction. The magnitude of wake effects depended primarily on precipitation and to a lesser degree aridity. Wake effects did not show trends over time following construction, suggesting the changes impact vegetation greenness within a growing season, but do not accrue over years. Even small changes in vegetation greenness, similar to those found in this study, have been seen to affect higher trophic levels. Given the rapid global growth of wind energy, and the importance of vegetation condition for agriculture, grazing, wildlife, and carbon storage, understanding how wakes from wind turbines impact vegetation is essential to exploit or ameliorate these effects.

Environmental Research Letters

Beach morphology monitoring in the Columbia River Littoral Cell: 1997-2005

This report describes methods used, data collected, and results of the Beach Morphology Monitoring Program in the Columbia River Littoral Cell (CRLC) from 1997 to 2005. A collaborative group primarily consisting of the US Geological Survey and the Washington State Department of Ecology performed this work. Beach Monitoring efforts consisted of collecting topographic and bathymetric horizontal and vertical position data using a Real Time Kinematic Differential Global Positioning System (RTK-DGPS). Sediment size distribution data was also collected as part of this effort. The monitoring program was designed to: 1) quantify the short- to medium-term (seasonal to interannual) beach change rates and morphological variability along the CRLC and assess the processes responsible for these changes; 2) collect beach state data (i.e., grain size, beach slope, and dune/sandbar height/position) to enhance the conceptual understanding of CRLC functioning and refine predictions of future coastal change and hazards; 3) compare and contrast the scales of environmental forcing and beach morphodynamics in the CRLC to other coastlines of the world; and 4) provide beach change data in a useful format to land use managers.

Oregon, Washington

Geographic Analysis and Monitoring Program

The surface of the Earth is changing rapidly, at local, regional, national, and global scales, with significant repercussions for people, the economy, and the environment. Some changes have natural causes, such as wildland fires or hurricanes, while other changes on the land, such as resource extraction, agricultural practices, and urban growth, are human-induced processes. There are other types of changes that are a combination of natural and human-induced factors; landslides and floods, for example, are fundamentally natural processes that are often intensified or accelerated by human land use practices. Whatever their cause, land-surface changes can have profound environmental and economic impacts.

Fact Sheet

Scale‐dependent population drivers inform avian management in a declining saline lake ecosystem

Shrinking saline lakes provide irreplaceable habitat for waterbird species globally. Disentangling the effects of wetland habitat loss from other drivers of waterbird population dynamics is critical for protecting these species in the face of unprecedented changes to saline lake ecosystems, ideally through decision-making frameworks that identify effective management options and their potential outcomes. Here, we develop a framework to assess the effects of hypothesized population drivers and identify potential future outcomes of plausible management scenarios on a saline lake-reliant waterbird species. We use 36 years of monitoring data to quantify the effects of environmental conditions on the population size of a regionally important breeding colony of American white pelicans ( Pelecanus erythrorhynchos ) at Great Salt Lake, Utah, US, then forecast colony abundance under various management scenarios. We found that low lake levels, which allow terrestrial predators access to the colony, are probable drivers of recent colony declines. Without local management efforts, we predicted colony abundance could likely decline approximately 37.3% by 2040, although recent colony observations suggest population declines may be more extreme than predicted. Results from our population projection scenarios suggested that proactive approaches to preventing predator colony access and reversing saline lake declines are crucial for the persistence of the Great Salt Lake pelican colony. Increasing wetland habitat and preventing predator access to the colony together provided the most effective protection, increasing abundance 145.4% above projections where no management actions are taken, according to our population projection scenarios. Given the importance of water levels to the persistence of island-nesting colonial species, proactive approaches to reversing saline lake declines could likely benefit pelicans as well as other avian species reliant on these unique ecosystems.

Utah

Modeling diverse environmental responses of reservoirs to floating photovoltaic systems

Floating photovoltaic (FPV) systems are emerging as a promising strategy for large-scale clean energy production worldwide. However, by altering key physical drivers such as solar radiation and wind mixing, FPV installations may have also unintended consequences for lakes and reservoirs. Given the wide diversity of freshwater systems globally, understanding the consistency in direction and magnitude of environmental responses to FPV deployment is critical for informed regulatory oversight and sustainable energy development. Here, we used process-based models to simulate the effects of FPV coverage on 11 reservoirs across the United States. This is the first multi-reservoir analysis using a laterally averaged 2D process-based modeling framework to systematically evaluate FPV impacts across diverse climatic and morphometric contexts, enabling direct comparison of magnitude and direction of responses among systems. Specifically, we evaluated changes in (1) surface and outflow temperature, (2) thermocline depth, (3) water column stability, (4) dissolved oxygen concentrations, and (5) potential suitable habitat availability for warm- and cold-water fishes. We quantified changes in these response variables by an iterative approach that simulates increases in FPV coverage and compares them with reference conditions. We summarized responses for winter (January–February) and summer (July–August). As expected, our simulations show that increasing FPV coverage consistently cooled surface waters and altered thermal stratification patterns, but the magnitude and environmental implications of these changes varied among reservoirs. Notably, greater FPV coverage led to increased variability in habitat suitability for aquatic species, with some reservoirs exhibiting distinct and sometimes divergent responses. These findings underscore the importance of considering local environmental contexts when assessing FPV impacts. While large-scale FPV systems offer potential benefits for climate mitigation, their ecological effects, particularly on thermally sensitive biota, require careful site-specific evaluation to avoid unintended consequences to local freshwater biodiversity.

Arkansas, Idaho, Ohio, Oregon, Tennessee, Washingt

An ecological and conservation perspective

Natural ecosystems are facing unprecedented threats which directly threaten human well-being through decreases in critical ecosystem services (IPBES 2019). The top five drivers causing the largest global impacts to biodiversity and ecosystem services include: 1) changes in land and sea use; 2) direct exploitation of organisms; 3) climate change; 4) pollution, and 5) invasive alien species (IPBES 2019). Although One Health acknowledges the link between the health of humans, animals, and the environment, One Health discussions have historically focused on the prevention and control of infectious disease at the human-animal interface rather than these large-scale drivers of health. While One Health has succeeded in bringing awareness to the need for proactive disease control measures such as strengthened biosecurity and vaccine development (e.g., Machalaba et al., 2018; Middleton et al., 2014), disease is only one component of health. In this chapter, we explore the potential for One Health to shift its focus from disease prevention to health promotion to more fully integrate solutions that protect the health of humans, animals, and the ecosystems on which we all depend for our economies, livelihoods, food security, and health. This shift will facilitate a more seamless inclusion of ecological health and environmental conservation in the One Health paradigm and can serve as the basis for a comprehensive approach to complex problems at the root of global health. We also suggest a framework for creating and applying health metrics for wildlife and ecological systems that will be essential for measuring the success of actions aimed at maintaining or shifting systems to desired states.

Book chapter

Climate change as a global amplifier of human–wildlife conflict

Climate change and human–wildlife conflict are both pressing challenges for biodiversity conservation and human well-being in the Anthropocene. Climate change is a critical yet underappreciated amplifier of human–wildlife conflict, as it exacerbates resource scarcity, alters human and animal behaviours and distributions, and increases human–wildlife encounters. We synthesize evidence of climate-driven conflicts occurring among ten taxonomic orders, on six continents and in all five oceans. Such conflicts disrupt both subsistence livelihoods and industrial economies and may accelerate the rate at which human–wildlife conflict drives wildlife declines. We introduce a framework describing distinct environmental, ecological and sociopolitical pathways through which climate variability and change percolate via complex social–ecological systems to influence patterns and outcomes of human–wildlife interactions. Identifying these pathways allows for developing mitigation strategies and proactive policies to limit the impacts of human–wildlife conflict on biodiversity conservation and human well-being in a changing climate.

Nature Climate Change

Genetic structure and diversity of the mustard hill coral Porites astreoides along the Florida Keys reef tract

Increases in local and global stressors have led to major declines in coral populations throughout the western Atlantic. While abundances of other species have declined, however, the relative abundance of the mustard hill coral, Porites astreoides , has increased. Porites astreoides is relatively resilient to some stressors, and because of its mixed reproductive strategies, its populations often recover quickly following disturbances. The ability for P. astreoides to continue as a potential “winner” in western Atlantic reefs relies on maintaining sufficient genetic variation within populations to support acclimatization and adaptation to current and future environmental change. Without high genetic diversity and gene flow within the population, it would have limited capacity for adaptation and the species’ competitive advantages could be short-lived. In this study, we determined the genetic relatedness of 37 P. astreoides colonies at four shallow reefs along the offshore Florida Keys Reef Tract (FKRT), a region particularly hard-hit by recent disturbances. Using previously designed microsatellite markers, we determined the genetic diversity and connectivity of individuals among and between sites. Our results suggest that the FKRT likely contains a single, well-mixed genetic population of P. astreoides , with high levels of gene flow and evidence for larval migration throughout the region. This suggests that regional populations of P. astreoides likely have a higher chance of maintaining resilience than many other western Atlantic species as they face current and future disturbances.

Florida

Body size and early marine conditions drive changes in Chinook salmon productivity across northern latitude ecosystems

Disentangling the influences of climate change from other stressors affecting the population dynamics of aquatic species is particularly pressing for northern latitude ecosystems, where climate-driven warming is occurring faster than the global average. Chinook salmon ( Oncorhynchus tshawytscha ) in the Yukon-Kuskokwim (YK) region occupy the northern extent of their species' range and are experiencing prolonged declines in abundance resulting in fisheries closures and impacts to the well-being of Indigenous people and local communities. These declines have been associated with physical (e.g., temperature, streamflow) and biological (e.g., body size, competition) conditions, but uncertainty remains about the relative influence of these drivers on productivity across populations and how salmon–environment relationships vary across watersheds. To fill these knowledge gaps, we estimated the effects of marine and freshwater environmental indicators, body size, and indices of competition, on the productivity (adult returns-per-spawner) of 26 Chinook salmon populations in the YK region using a Bayesian hierarchical stock-recruitment model. Across most populations, productivity declined with smaller spawner body size and sea surface temperatures that were colder in the winter and warmer in the summer during the first year at sea. Decreased productivity was also associated with above average fall maximum daily streamflow, increased sea ice cover prior to juvenile outmigration, and abundance of marine competitors, but the strength of these effects varied among populations. Maximum daily stream temperature during spawning migration had a nonlinear relationship with productivity, with reduced productivity in years when temperatures exceeded thresholds in main stem rivers. These results demonstrate for the first time that well-documented declines in body size of YK Chinook salmon were associated with declining population productivity, while taking climate into account.

Global Change Biology

Long-term nitrogen addition shifts the soil nematode community to bacterivore-dominated and reduces its ecological maturity in a subalpine forest

Nitrogen deposition from anthropogenic sources is a global problem that reaches even the most remote ecosystems. Responses belowground vary by ecosystem, and have feedbacks to geochemical processes, including carbon storage. A long-term nitrogen addition study in a subalpine forest has shown carbon loss over time, atypical for a forest ecosystem. Loss of microbial biomass is likely linked to lower soil carbon, but the mechanism behind this is still unknown. One possible explanation is through increased turnover due to grazing by soil fauna. Because nematodes occupy many trophic levels and are sensitive to trophic and environmental changes, assessing their communities helps reveal belowground responses. In this study, we tested the hypothesis that long-term nitrogen fertilization affects nematode community structure and maturity beneath coniferous forests in the Rocky Mountains, indicating a faster cycling, bacterial-driven system. We identified and enumerated nematodes by trophic group and family from experimental plots. Total nematode abundance was 40–96% greater in fertilized plots compared to the control, but richness, diversity, and ecological maturity were lower. The differences in abundance were driven by opportunistic bacterivores (e.g., Rhabditidae) and plant parasites (e.g., Tylenchidae), which made up 23 and 13% of the community in fertilized compared to 7 and 5% in control plots, respectively. Nematode maturity indices showed that the nematode food webwas enriched (indicating high nutrient/resource status) and structured (all trophic levels present, including long-lived predators) in both treatments, but significantly more enriched in the fertilized treatment. Nonmetric multidimensional scaling of the relative abundance of nematode families demonstrated that nematode community composition differed between treatments, driven largely by opportunistic bacterivores (e.g., Rhabditidae) in the fertilized plots. The mechanism of the aboveground–belowground link between nitrogen deposition and nematode community composition is likely through increased microbial turnover, and sustained high-quality food for microbial grazing nematodes.

Soil Biology and Biochemistry

Alternating wet and dry depositional environments recorded in the stratigraphy of Mt Sharp at Gale Crater, Mars

The Curiosity rover is exploring Hesperian-aged stratigraphy in Gale crater, Mars, where a transition from clay-bearing units to a layered sulfate-bearing unit has been interpreted to represent a major environmental transition of unknown character. We present the first description of key facies in the sulfate-bearing unit, recently observed in the distance by the rover, and propose a model for changes in depositional environments. Our results indicate a transition from lacustrine mudstones into thick aeolian deposits, topped by a major deflation surface, above which strata show architectures likely diagnostic of a subaqueous environment. This model offers a reference example of a depositional sequence for layered sulfate-bearing strata, which have been identified from orbit in other locations globally. It differs from the idea of a monotonic Hesperian climate change into long-term aridity on Mars and instead implies a period characterized by multiple transitions between sustained drier and wetter climates.

Geology

The Global Land-Cover Characteristics Database: The users' perspective

A unique global land-cover characteristics database developed by the U.S. Geological Survey has been available to users since mid-1997. Access to the data is through the internet under the EROS (Earth Resources Observation Systems) Data Center's home page (http://edcwww.cr.usgs.gov/landdaac/glcc/glcc.html). Since the release of the database, the data have been incorporated into various environmental research and modeling applications, including mapping global biodiversity, mesoscale climate simulations, carbon cycle modeling, and estimating habitat destruction. Since the early stages of the project, user feedback has provided a means to understand data utility in applications, garner suggestions for data improvements, and gain insights into the technical challenges faced by users. Synthesis of user feedback provided a means to generate a user profile and derive a list of applications-critical criteria for land-cover data. User suggestions have lead to revisions in the database, including label changes, alternative classification schemes, and additional projections for the data.

Photogrammetric Engineering and Remote Sensing

Global exploration and production capacity for platinum-group metals from 1995 through 2015

Platinum-group metals (PGMs) are required in a variety of commercial, industrial, and military applications for many existing and emerging technologies, yet the United States is highly dependent on foreign sources of PGMs. Information on global exploration for PGMs since 1995 has been used in this study as a basis for identifying locations where the industry has determined that exploration has provided data sufficient to warrant development of a new mine or expansion of an existing operation or where a significant increase in capacity for PGMs is anticipated by 2015. Discussions include an overview of the industry and the selected sites, factors affecting mineral supply, and circumstances leading to the development of mineral properties with the potential to affect mineral supply. Of the 52 sites or regional operations that were considered in this analysis, 16 sites were producing before 1995, 28 sites commenced production from 1995 through 2010, and 8 sites were expected to begin production from 2011 through 2015 if development plans came to fruition. The United States imports PGMs primarily from Canada, Russia, South Africa, and Zimbabwe to meet increasing demand for these materials in a variety of specialized and high-tech applications. Feed sources of PGMs are changing in South Africa and Russia, which together accounted for about 89 percent of platinum production and 82 percent of palladium production in 2009. A greater amount of South African PGM capacity is likely to come from deeper, higher cost Upper Group Reef seam 2 deposits and deposits in the Eastern Bushveld area. Future Russian PGM capacity is likely to come from ore zones with generally lower PGM content and different platinum-to-palladium ratios than the nickel-rich ore that dominated PGM supply in the 1990s. Because PGM supply from Canada and Russia is derived as a byproduct of copper and nickel mining, the PGM supply from these countries is influenced by economic, environmental, political, and technological factors affecting exploration for and development of copper and nickel, as well as factors affecting the PGM industry. The recovery of PGMs from mill tailings since 2004 and the recycling of PGMs from catalytic converters, electrical components, and jewelry has increased since 1995 so that recycled PGMs recovered from these products accounted for about 30 percent of the supply of platinum worldwide and 29 percent of the supply of palladium worldwide in 2010. Economic and geopolitical conditions have influenced PGM supply and demand. The global recession of 2008 and 2009 temporarily decreased demand for PGMs and constrained PGM mine exploration and development, at least through 2010. Legislation regulating the structure of the mining sector has affected mining in Russia, South Africa, and Zimbabwe. Stricter vehicle emissions standards in established markets since the 1980s have led to mandatory use of pollution control devices, such as catalytic converters, that contain PGMs and are required on vehicles in expanding markets, such as China and India. It is expected that South Africa, Russia, Canada, and Zimbabwe will continue to be the principal sources of PGM at least for the next decade. Based on this review of the PGM industry, the world’s platinum capacity, expressed in terms of recoverable platinum metal, increased from 1995 through 2010 by 77,000 kilograms (kg) in South Africa, 9,000 kg in Zimbabwe, 6,000 kg in Russia, 2,000 kg in Botswana, and 2,000 kg in Canada. For the same period, palladium capacity worldwide increased by 44,000 kg in South Africa, 22,000 kg in Russia, 8,000 kg in Canada, 8,000 kg in the United States, 7,000 kg in Zimbabwe, and 3,000 kg in Botswana. Platinum capacity worldwide is expected to further increase by 24,000 kg in South Africa, 9,000 kg in Russia, 3,000 kg in Canada, and 2,000 kg in Zimbabwe from 2011 through 2015. Palladium capacity worldwide is likewise expected to increase an additional 16,000 kg in Russia, 14,000 kg in South Africa, 4,000 kg in Zimbabwe, and 1,000 kg in Canada if new or expanded mine and associated processing capacity comes into production as planned. It is likely that the magnitude of these changes in PGM capacity has been influenced by such factors as the global economy, electrical capacity shortages and mine safety concerns in South Africa, and geopolitical conditions in the major PGM producing countries.

Scientific Investigations Report

Variable terrestrial GPS telemetry detection rates: Addressing the probability of successful acquisitions

Studies using global positioning system (GPS) telemetry rarely result in 100% fix success rates (FSR), which may bias datasets because data loss is systematic rather than a random process. Previous spatially explicit models developed to correct for sampling bias have been limited to small study areas, a small range of data loss, or were study-area specific. We modeled environmental effects on FSR from desert to alpine biomes, investigated the full range of potential data loss (0–100% FSR), and evaluated whether animal body position can contribute to lower FSR because of changes in antenna orientation based on GPS detection rates for 4 focal species: cougars ( Puma concolor ), desert bighorn sheep ( Ovis canadensis nelsoni ), Rocky Mountain elk ( Cervus elaphus nelsoni ), and mule deer ( Odocoileus hemionus ). Terrain exposure and height of over story vegetation were the most influential factors affecting FSR. Model evaluation showed a strong correlation (0.88) between observed and predicted FSR and no significant differences between predicted and observed FSRs using 2 independent validation datasets. We found that cougars and canyon-dwelling bighorn sheep may select for environmental features that influence their detectability by GPS technology, mule deer may select against these features, and elk appear to be nonselective. We observed temporal patterns in missed fixes only for cougars. We provide a model for cougars, predicting fix success by time of day that is likely due to circadian changes in collar orientation and selection of daybed sites. We also provide a model predicting the probability of GPS fix acquisitions given environmental conditions, which had a strong relationship ( r 2 = 0.82) with deployed collar FSRs across species.

Wildlife Society Bulletin