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At least 487 records · Page 27Linked to original sources

Germination and growth of native and invasive plants on soil associated with biological control of tamarisk (Tamarix spp.)

Introductions of biocontrol beetles (tamarisk beetles) are causing dieback of exotic tamarisk in riparian zones across the western United States, yet factors that determine plant communities that follow tamarisk dieback are poorly understood. Tamarisk-dominated soils are generally higher in nutrients, organic matter, and salts than nearby soils, and these soil attributes might influence the trajectory of community change. To assess physical and chemical drivers of plant colonization after beetle-induced tamarisk dieback, we conducted separate germination and growth experiments using soil and litter collected beneath defoliated tamarisk trees. Focal species were two common native (red threeawn, sand dropseed) and two common invasive exotic plants (Russian knapweed, downy brome), planted alone and in combination. Nutrient, salinity, wood chip, and litter manipulations examined how tamarisk litter affects the growth of other species in a context of riparian zone management. Tamarisk litter, tamarisk litter leachate, and fertilization with inorganic nutrients increased growth in all species, but the effect was larger on the exotic plants. Salinity of 4 dS m −1 benefitted Russian knapweed, which also showed the largest positive responses to added nutrients. Litter and wood chips generally delayed and decreased germination; however, a thinner layer of wood chips increased growth slightly. Time to germination was lengthened by most treatments for natives, was not affected in exotic Russian knapweed, and was sometimes decreased in downy brome. Because natives showed only small positive responses to litter and fertilization and large negative responses to competition, Russian knapweed and downy brome are likely to perform better than these two native species following tamarisk dieback.

Invasive Plant Science and Management↗

Importance of scale, land cover, and weather on the abundance of bird species in a managed forest

Climate change and habitat loss are projected to be the two greatest drivers of biodiversity loss over the coming century. While public lands have the potential to increase regional resilience of bird populations to these threats, long-term data are necessary to document species responses to changes in climate and habitat to better understand population vulnerabilities. We used generalized linear mixed models to determine the importance of stand-level characteristics, multi-scale land cover, and annual weather factors to the abundance of 61 bird species over a 20-year time frame in Chippewa National Forest, Minnesota, USA. Of the 61 species modeled, we were able to build final models with R-squared values that ranged from 26% to 69% for 37 species; the remaining 24 species models had issues with convergence or low explanatory power (R-squared < 20%). Models for the 37 species show that stand-level characteristics, land cover factors, and annual weather effects on species abundance were species-specific and varied within guilds. Forty-one percent of the final species models included stand-level characteristics, 92% included land cover variables at the 200 m scale, 51% included land cover variables at the 500 m scale, 46% included land cover variables at the 1000 m scale, and 38% included weather variables in best models. Three species models (8%) included significant weather and land cover interaction terms. Overall, models indicated that aboveground tree biomass and land cover variables drove changes in the majority of species. Of those species models including weather variables, more included annual variation in precipitation or drought than temperature. Annual weather variability was significantly more likely to impact abundance of species associated with deciduous forests and bird species that are considered climate sensitive. The long-term data and models we developed are particularly suited to informing science-based adaptive forest management plans that incorporate climate sensitivity, aim to conserve large areas of forest habitat, and maintain an historical mosaic of cover types for conserving a diverse and abundant avian assemblage.

Minnesota↗

Design of a naturalized flow regime—An example from the Lower Missouri River, USA

group of river managers, stakeholders, and scientists met during summer 2005 to design a more naturalized flow regime for the Lower Missouri River (LMOR). The objective was to comply with requirements under the U.S. Endangered Species Act to support reproduction and survival of threatened and endangered species, with emphasis on the endangered pallid sturgeon ( Scaphirhynchus albus ), while minimizing negative effects to existing social and economic benefits of prevailing river management. Specific hydrograph requirements for pallid sturgeon reproduction are unknown, hence much of the design process was based on features of the natural flow regime. Environmental flow components (EFCs) extracted from the reference natural flow regime were used to design and assess performance of alternative flow regimes. The design process incorporated a primary stage in which conceptual hydrographs were developed and assessed for their general ecological and social-economic performance. The second stage accounted for hydroclimatic variation by coding the conceptual hydrographs into reservoir release rules, adding constraints for downstream flooding and low-storage precludes, and running the rules through 100 years of hydroclimatic simulation. The output flow regimes were then evaluated for presumed ecological benefits based on how closely they resembled EFCs in the reference natural flow regime. Flow regimes also were assessed for social-economic cost indicators, including days of flooding of low-lying agricultural land, days over flood stage, and storage levels in system reservoirs. Our experience with flow-regime design on the LMOR underscored the lack of confidence the stakeholders place in the value of the natural flow regime as a measure of ecosystem benefit in the absence of fundamental scientific documentation. Stakeholders desired proof of ecological benefits commensurate with the certainty of economic losses. We also gained insight into the processes of integrating science into a collaborative management exercise. Although the 2005 collaborative effort failed to reach a consensus among stakeholders on a naturalized flow regime, the process was successful in pilot-testing a design approach; it helped focus scienctific efforts on key knowledge gaps; and it demonstrated the potential for collaborations among scientists, stakeholders, and managers in river management decision making.

Lower Missouri River↗

Science mission requirements for a globally ranging, riserless drilling vessel for U.S. Scientific Ocean Drilling

Through the collection and analysis of shallow and deep subseafloor sediments, rocks, fluids, and life, scientific ocean drilling has enriched our understanding of the complex Earth system. Among other achievements, scientific ocean drilling has documented the history of Earth’s climate, the waxing and waning of polar ice sheets, the past changes in ocean and atmospheric circulation, the existence and function of microbial life in the subseafloor, the compositional variations in Earth’s crust and underlying mantle, and the physical and chemical processes acting at subduction zones, including those associated with tsunamigenic earthquakes. Over the decades, more than 12,000 articles that depend on analyses of scientific ocean drilling samples and geophysical data have been published, many detailing breakthrough contributions to global knowledge about the Earth system. Approximately 45% of these publications were led by U.S.-affiliated authors (International Ocean Discovery Program Publication Services, 2021). Since the mid-1980s, the workhorse of this multidisciplinary, international research effort has been the riserless D/V JOIDES Resolution, operated by Texas A&M University with funding from the U.S. National Science Foundation (NSF). D/V JOIDES Resolution has conducted the vast majority of scientific ocean drilling expeditions and collected most of the scientific cores over that period, including 82% of the expeditions and 93% of the cores in the last decade alone, despite being one of three platforms that is operated within the International Ocean Discovery Program. However, D/V JOIDES Resolution is approaching the end of its useful life. With a strong commitment to continue scientific ocean drilling beyond the end of the current phase, the community developed a document outlining the research frontiers that should be pursued. Exploring Earth by Scientific Ocean Drilling: 2050 Science Framework (Koppers and Coggon, 2020) describes seven scientific strategic objectives that focus on understanding interconnections within the Earth system and five flagship initiatives that integrate these objectives into long-term research efforts that address issues facing society. Additional elements in the 2050 Science Framework, including STEM education, workforce development, technology development, and innovative applications of data analytics, will advance the goals of scientific ocean drilling. Addressing the 2050 Science Framework also requires building partnerships with allied U.S. and international science programs and strengthening existing ones. To implement a significant portion of the 2050 Science Framework, the U.S. scientific community seeks to lease or acquire a newly built, globally ranging, state-of-the art, riserless drilling vessel. The many and varied technical and human resources requirements for successful accomplishment of scientific and educational goals summarized in this document and described in detail in the 2050 Science Framework require broad community input and careful consideration. Following receipt of NSF’s formal Request for Assistance to the United States Science Support Program (USSSP), the U.S. scientific ocean drilling community conducted a one-year exercise to identify its national scientific needs and priorities in order to determine the Science Mission Requirements (SMRs) presented here. This community effort included: (1) a U.S. community-wide survey to identify the specific operational and technical capabilities critical to addressing science in the 2050 Science Framework; (2) a series of online workshops focusing on critical capabilities identified by the survey; and (3) a large in-person workshop to synthesize the results of the survey and the virtual workshops (Appendix 1). The approach was designed to reach as many participants as possible. Overall, 278 survey responses were received from U.S. community members, representing 104 unique institutions from 39 states and the District of Columbia, and 137 unique individuals participated in the workshops (Appendix 2). The results of this effort comprise two classes of SMRs: Foundational Science Mission Requirements and Primary Science Mission Requirements. Foundational SMRs define minimum criteria for a new riserless drilling vessel that can address significant portions of the 2050 Science Framework. Primary SMRs build upon the Foundational SMRs and will create more robust science opportunities and data collection capabilities, will increase progress in addressing the 2050 Science Framework objectives, and will provide more real-time ship-to-shore interaction to improve science productivity, engagement, and outreach. Modern safety and environmental standards, including meeting standards to access protected waters such as exclusive economic zones, extended continental shelves, or high latitudes, while being cognizant of the vessel’s environmental footprint. Safe and efficient operations in global locations and in water depths from 70 m to 6000+ m, with total drill string length of at least 7000 m. High-quality core and data collection from a range of key subseafloor environments. Advanced heave compensation, dynamic positioning, and drill pipe stability. Modern mud and cement/casing systems. Critical onboard measurements for safety, operational decision-making, documentation of ephemeral properties, mission-specific science, and long-term science goals that extend beyond a single expedition. Designated and appropriate space for sample and data preservation. Highly skilled onboard personnel, including technical staff for curation and core handling; support for safety, time-sensitive, and critical shipboard measurements; computer support; equipment and instrument repair; application support; and data assurance. Primary Science Mission Requirements include: Flexible shipboard space for laboratories and on deck to ensure safe, successful implementation of diverse science objectives and operations. Minimizing contamination of recovered samples. Over-the-side capabilities for science-supporting technology (e.g., remotely operated vehicles, water- column sampling, sediment-water interface sampling). Downhole logging and measurements. Expanded borehole observatory capabilities. Reliable and consistent ship-to-shore communications. NSF’s investment in a new globally ranging, riserless drilling vessel will have a powerful economic multiplier effect, including the infusion of additional science support funds in the United States for training and research, the development of new technologies and tools, and the associated scientific and technical workforce development. The skills and knowledge gained through scientific ocean drilling are translatable to careers in fields such as sustainable energy development (e.g., geothermal and offshore wind), carbon sequestration, data management and cyberinfrastructure, biotechnology, communications, science education, policy, hazard mitigation, and environmental management. The United States is a leader in a well-established and internationally collaborative scientific ocean drilling community. A modern, globally ranging, riserless drilling vessel will allow the United States to expand its leadership position, address broad scientific questions that current capabilities preclude, and cultivate equitable international, multidisciplinary collaborations that will ensure scientific ocean drilling’s future success.

Report↗

Enhancing One Health outcomes using decision science and negotiation

One Health initiatives have advanced zoonotic disease management by recognizing the interconnectedness of three sectors of governance (human, ecosystem, and animal) and by identifying options that can improve full-system health. Although One Health has had many successes, its full realization may be inhibited by a lack of strategies to overcome simultaneous impediments in decision making and governance. Decision impediments that hinder management may include uncertainty, risk, resource limitations, and trade-offs among objectives. Governance impediments arise from disparities in costs and benefits of disease management among sectors. Tools and strategies developed from decision science, collaboration, and negotiation theory can help articulate and overcome coinciding decision and governance impediments and enhance multisectoral One Health initiatives. In cases where collaboration and negotiation are insufficient to address disparities in cross-sector costs and benefits, altering incentive structures might improve disease-specific outcomes and improve the realization of One Health.

Frontiers in Ecology and the Environment↗

Research opportunities in interdisciplinary ground-water science in the U.S. Geological Survey

This report is written for the scientifically literate reader but is not limited to those who are involved in ground-water science. The report is intended to encourage U.S. Geological Survey scientists to develop a sense of excitement about ground-water science in the agency, to inform scientists about existing and potential ground-water science opportunities, and to engage scientists and managers in interdisciplinary discussions and collaboration. The report is intended for use by U.S. Geological Survey and Department of the Interior management to formulate long-term ground-water science programs and to continue sustained support of ground-water monitoring and research, some of which may not have an immediate impact. Finally, the report can be used to communicate the U.S. Geological Survey's vision of ground-water science to Congress, partners, other agencies, and the research community at large with the goals of enhancing collaborative opportunities, sharing information, and maintaining dialogue regarding the directions of U.S. Geological Survey ground-water science.

Circular↗

Hazard information management during the autumn 2004 reawakening of Mount St. Helens volcano, Washington

The 2004 reawakening of Mount St. Helens quickly caught the attention of government agencies as well as the international news media and the public. Immediate concerns focused on a repeat of the catastrophic landslide and blast event of May 18, 1980, which remains a vivid memory for many individuals. Within several days of the onset of accelerating seismicity, media inquiries increased exponentially. Personnel at the U.S. Geological Survey, the Pacific Northwest Seismic Network, and the Gifford Pinchot National Forest soon handled hundreds of press inquiries and held several press briefings per day. About one week into the event, a Joint Information Center was established to help maintain a consistent hazard message and to provide a centralized information source about volcanic activity, hazards, area closures, and media briefings. Scientists, public-affairs specialists, and personnel from emergency-management, health, public-safety, and land-management agencies answered phones, helped in press briefings and interviews, and managed media access to colleagues working on science and safety issues. For scientists, in addition to managing the cycle of daily fieldwork, challenges included (1) balancing accurate interpretations of data under crisis conditions with the need to share information quickly, (2) articulating uncertainties for a variety of volcanic scenarios, (3) minimizing scientific jargon, and (4) frequently updating and effectively distributing talking points. Success of hazard information management during a volcanic crisis depends largely on scientists’ clarity of communication and thorough preplanning among interagency partners. All parties must commit to after-action evaluation and improvement of communication plans, incorporating lessons learned during each event.

Washington↗

Simulation of climate change in San Francisco Bay Basins, California: Case studies in the Russian River Valley and Santa Cruz Mountains

As a result of ongoing changes in climate, hydrologic and ecologic effects are being seen across the western United States. A regional study of how climate change affects water resources and habitats in the San Francisco Bay area relied on historical climate data and future projections of climate, which were downscaled to fine spatial scales for application to a regional water-balance model. Changes in climate, potential evapotranspiration, recharge, runoff, and climatic water deficit were modeled for the Bay Area. In addition, detailed studies in the Russian River Valley and Santa Cruz Mountains, which are on the northern and southern extremes of the Bay Area, respectively, were carried out in collaboration with local water agencies. Resource managers depend on science-based projections to inform planning exercises that result in competent adaptation to ongoing and future changes in water supply and environmental conditions. Results indicated large spatial variability in climate change and the hydrologic response across the region; although there is warming under all projections, potential change in precipitation by the end of the 21st century differed according to model. Hydrologic models predicted reduced early and late wet season runoff for the end of the century for both wetter and drier future climate projections, which could result in an extended dry season. In fact, summers are projected to be longer and drier in the future than in the past regardless of precipitation trends. While water supply could be subject to increased variability (that is, reduced reliability) due to greater variability in precipitation, water demand is likely to steadily increase because of increased evapotranspiration rates and climatic water deficit during the extended summers. Extended dry season conditions and the potential for drought, combined with unprecedented increases in precipitation, could serve as additional stressors on water quality and habitat. By focusing on the relationship between soil moisture storage and evapotranspiration pressures, climatic water deficit integrates the effects of increasing temperature and varying precipitation on basin conditions. At the fine-scale used for these analyses, this variable is an effective indicator of the areas in the landscape that are the most resilient or vulnerable to projected changes. These analyses have shown that regardless of the direction of precipitation change, climatic water deficit is projected to increase, which implies greater water demand to maintain current agricultural resources or land cover. Fine-scale modeling provides a spatially distributed view of locations in the landscape that could prove to be resilient to climatic changes in contrast to locations where vegetation is currently living on the edge of its present-day bioclimatic distribution and, therefore, is more likely to perish or shift to other dominant species under future warming. This type of modeling and the associated analyses provide a useful means for greater understanding of water and land resources, which can lead to better resource management and planning.

California↗

Invasive grass influences on the fire cycle and treatment effectiveness to control their abundance in the Intermountain West, USA

Many non-native invasive grass species increase wildfire activity and regenerate more quickly than native species. This invasive grass–fire cycle has severe negative consequences for ecosystems, creating a need to understand how different invasive grass species alter fuel characteristics and fire behavior, as well as effective treatments to control their abundance. To address these needs and increase fire and natural resource management preparedness, we performed a review and meta-analysis of recent (1985 to 2023) scientific literature. We focused on the Intermountain West, USA, where six dominant invasive grass species have already transformed ecosystems, including winter annuals—cheatgrass ( Bromus tectorum L.), medusahead [ Taeniatherum caput-medusae (L.) Nevski], red brome ( Bromus rubens L.), and Mediterranean grass [ Schismus arabicus Nees and Schismus barbatus (Loefl. ex L.) Thell]; and summer perennials—buffelgrass [ Pennisetum ciliare (L.) Link] and Lehmann’s lovegrass ( Eragrostis lehmanniana Nees). Within the 204 selected articles, B. tectorum was the most well-studied species, treatment effectiveness was the most common study type, and more studies addressed fuel accumulation than fire characteristics. While initial reductions in B. tectorum following wildfire were followed by large increases, P. ciliare initially increased and then steadily declined, and other invasive grass species had no significant post-fire changes over time. Chemical treatments were more effective than other treatments for B. tectorum , P. ciliare , and Schismus spp., although T. caput-medusae had a greater reduction with chemical treatments compared with the other species. In many cases, treatment effectiveness was enhanced when treatment types were combined or repeat treatments were conducted. Both B. tectorum and T. caput-medusae increased to pretreatment conditions within 3 and 5 yr, respectively, although there were no detectable trends for other species. Our results provide comprehensive comparisons of the effect of invasive grass species on fuel and fire characteristics and much needed insight on effective strategies for reducing invasive grass impacts to ecosystems.

Intermountain West↗

Soil-occupancy effects of invasive and native grassland plant species on composition and diversity of mycorrhizal associations

Diversified grasslands that contain native plant species can produce biofuels, support sustainable grazing systems, and produce other ecosystem services. However, ecosystem service production can be disrupted by invasion of exotic perennial plants, and these plants can have soil-microbial “legacies” that may interfere with establishment and maintenance of diversified grasslands even after effective management of the invasive species. The nature of such legacies is not well understood, but may involve suppression of mutualisms between native species and soil microbes. In this study, we tested the hypotheses that legacy effects of invasive species change colonization rates, diversity, and composition of arbuscular-mycorrhizal fungi (AMF) associated with seedlings of co-occurring invasive and native grassland species. In a glasshouse, experimental soils were conditioned by cultivating three invasive grassland perennials, three native grassland perennials, and a native perennial mixture. Each was grown separately through three cycles of growth, after which we used T-RFLP analysis to characterize AMF associations of seedlings of six native perennial and six invasive perennial species grown in these soils. Legacy effects of soil conditioning by invasive species did not affect AMF richness in seedling roots, but did affect AMF colonization rates and the taxonomic composition of mycorrhizal associations in seedling roots. Moreover, native species were more heavily colonized by AMF and roots of native species had greater AMF richness (number of AMF operational taxonomic units per seedling) than did invasive species. The invasive species used to condition soil in this experiment have been shown to have legacy effects on biomass of native seedlings, reducing their growth in this and a previous similar experiment. Therefore, our results suggest that successful plant invaders can have legacies that affect soil-microbial associations of native plants and that these effects can inhibit growth of native plant species in invaded communities.

Montana;North Dakota↗

Effectiveness of a decade of treatments to reduce invasive buffelgrass (Pennisetum ciliare)

The invasion of nonnative grasses threatens biodiversity and ecosystem function globally through competition with native plant species and increases to wildfire frequency and intensity. Management actions to reduce buffelgrass [ Pennisetum ciliare (L.) Link], an invasive warm-season perennial bunchgrass, are widely implemented, with chemical and mechanical treatments extending over two decades within Saguaro National Park in the Sonoran Desert of North America. We assessed how the effectiveness of treatments to reduce P. ciliare cover spanning from 2011 to 2020 were influenced by stage of invasion, treatment type and intensity, and environmental conditions. An increase in treatment effectiveness was largely explained by high initial cover of P. ciliare , an indicator of a late invasion stage and associated with high treatment intensity. Treatments had potential to be effective in patches as small as 0.3-m 2 P. ciliare canopy per 400-m −2 area (<0.001% canopy cover) across treatment types and environmental gradients. Chemical treatments had higher or equal effectiveness compared with mechanical treatments, and greater reductions in P. ciliare were associated with shorter average years of treatment interruptions, or gaps, and to a lesser degree, total years of treatment. In many cases, P. ciliare was reduced with as little as 2 yr of treatment, but more than 3 average years of treatment gap could result in reduced treatment effectiveness. There was generally higher treatment effectiveness on shallow slopes, north- and east-facing aspects, and on higher elevations within one district of the park. Our findings highlight that resource-intensive treatments in all but the smallest patches of P. ciliare have largely been effective. Further opportunities for improvement include more frequent surveillance, limiting treatment gaps to ≤3 yr in areas of low P. ciliare cover, and comparison of treated with untreated areas.

Arizona↗

Effects of native herbs and light on garlic mustard ( Alliaria petiolata ) invasion

The degree to which invasive species drive or respond to environmental change has important implications for conservation and invasion management. Often characterized as a driver of change in North American woodlands, the invasive herb garlic mustard may instead respond to declines in native plant cover and diversity. We tested effects of native herb cover, richness, and light availability on garlic mustard invasion in a Minnesota oak woodland. We planted 50 garlic mustard seeds into plots previously planted with 0 to 10 native herb species. We measured garlic mustard seedling establishment, survival to rosette and adult stages, and average (per plant) and total (per plot) biomass and silique production. With the use of structural equation models, we analyzed direct, indirect, and net effects of native cover, richness, and light on successive garlic mustard life stages. Native plant cover had a significant negative effect on all life stages. Species richness had a significant positive effect on native cover, resulting in indirect negative effects on all garlic mustard stages, and net negative effects on adult numbers, total biomass, and silique production. Light had a strong negative effect on garlic mustard seedling establishment and a positive effect on native herb cover, resulting in significant negative net effects on garlic mustard rosette and adult numbers. However, light's net effect on total garlic mustard biomass and silique production was positive; reproductive output was high even in low-light/high-cover conditions. Combined effects of cover, richness, and light suggest that native herbs provide biotic resistance to invasion by responding to increased light availability and suppressing garlic mustard responses, although this resistance may be overwhelmed by high propagule pressure. Garlic mustard invasion may occur, in part, in response to native plant decline. Restoring native herbs and controlling garlic mustard seed production may effectively reduce garlic mustard spread and restore woodland diversity.

Invasive Plant Science and Management↗

Practitioners' views of science needs for the Great Lakes coastal ecosystem

In 2014, the U.S. Geological Survey Great Lake Science Center (USGS-GLSC) and the USGS-Michigan Water Science Center partnered with the Great Lakes Commission (GLC) to conduct a series of four workshops with coastal practitioners and managers across the Great Lakes basin to highlight the need for, and get input on, a Great Lakes regional coastal science strategy. To this end, this report is intended to help guide USGS coastal and nearshore science priorities, but may also help guide other science agencies. The USGS-GLSC partnership on this effort was part of a broader five-year Memorandum of Understanding between the USGS-GLSC and the GLC to enhance communications between coastal science and management communities within the Great Lakes region. This report presents a summary and analysis of participant feedback from the four workshops held in 2014. Participant feedback included participant worksheets as well as interactive drawing sessions, individual notes and group flip chart notes from each workshop. The results are presented as a series of findings that can be used to guide USGS coastal/nearshore science priorities in support of management needs at local, state and regional scales.

Report↗

Integrating Agriculture and Conservation

The USGS produces the needed science-based information to guide management actions and policy decisions that support wildlife habitat and other environmental services compatible with USDA conservation goals and farm operations. The Policy Analysis and Science Assistance Branch of the Fort Collins Science Center (FORT) has conducted research involving a national landowner survey and numerous short- and long-term evaluations regarding vegetation responses to land management practices. This research helps land and resource managers to make informed decisions and resolve resource management conflicts.

Fact Sheet↗

Interactive visualization to advance earthquake simulation

The geological sciences are challenged to manage and interpret increasing volumes of data as observations and simulations increase in size and complexity. For example, simulations of earthquake-related processes typically generate complex, time-varying data sets in two or more dimensions. To facilitate interpretation and analysis of these data sets, evaluate the underlying models, and to drive future calculations, we have developed methods of interactive visualization with a special focus on using immersive virtual reality (VR) environments to interact with models of Earth's surface and interior. Virtual mapping tools allow virtual "field studies" in inaccessible regions. Interactive tools allow us to manipulate shapes in order to construct models of geological features for geodynamic models, while feature extraction tools support quantitative measurement of structures that emerge from numerical simulation or field observations, thereby enabling us to improve our interpretation of the dynamical processes that drive earthquakes. VR has traditionally been used primarily as a presentation tool, albeit with active navigation through data. Reaping the full intellectual benefits of immersive VR as a tool for scientific analysis requires building on the method's strengths, that is, using both 3D perception and interaction with observed or simulated data. This approach also takes advantage of the specialized skills of geological scientists who are trained to interpret, the often limited, geological and geophysical data available from field observations. ?? Birkhaueser 2008.

Pure and Applied Geophysics↗

Effects of spatial heterogeneity on butterfly species richness in Rocky Mountain National Park, CO, USA

We investigated butterfly responses to plot-level characteristics (plant species richness, vegetation height, and range in NDVI [normalized difference vegetation index]) and spatial heterogeneity in topography and landscape patterns (composition and configuration) at multiple spatial scales. Stratified random sampling was used to collect data on butterfly species richness from seventy-six 20 ?? 50 m plots. The plant species richness and average vegetation height data were collected from 76 modified-Whittaker plots overlaid on 76 butterfly plots. Spatial heterogeneity around sample plots was quantified by measuring topographic variables and landscape metrics at eight spatial extents (radii of 300, 600 to 2,400 m). The number of butterfly species recorded was strongly positively correlated with plant species richness, proportion of shrubland and mean patch size of shrubland. Patterns in butterfly species richness were negatively correlated with other variables including mean patch size, average vegetation height, elevation, and range in NDVI. The best predictive model selected using Akaike's Information Criterion corrected for small sample size (AICc), explained 62% of the variation in butterfly species richness at the 2,100 m spatial extent. Average vegetation height and mean patch size were among the best predictors of butterfly species richness. The models that included plot-level information and topographic variables explained relatively less variation in butterfly species richness, and were improved significantly after including landscape metrics. Our results suggest that spatial heterogeneity greatly influences patterns in butterfly species richness, and that it should be explicitly considered in conservation and management actions. ?? 2008 Springer Science+Business Media B.V.

Biodiversity and Conservation↗

Genetic consequences of trumpeter swan (Cygnus buccinator) reintroductions

Relocation programs are often initiated to restore threatened species to previously occupied portions of their range. A primary challenge of restoration efforts is to translocate individuals in a way that prevents loss of genetic diversity and decreases differentiation relative to source populations-a challenge that becomes increasingly difficult when remnant populations of the species are already genetically depauperate. Trumpeter swans were previously extirpated in the entire eastern half of their range. Physical translocations of birds over the last 70 years have restored the species to portions of its historical range. Despite the long history of management, there has been little monitoring of the genetic outcomes of these restoration attempts. We assessed the consequences of this reintroduction program by comparing patterns of genetic variation at 17 microsatellite loci across four restoration flocks (three wild-released, one captive) and their source populations. We found that a wild-released population established from a single source displayed a trend toward reduced genetic diversity relative to and significant genetic differentiation from its source population, though small founder population effects may also explain this pattern. Wild-released flocks restored from multiple populations maintained source levels of genetic variation and lacked significant differentiation from at least one of their sources. Further, the flock originating from a single source revealed significantly lower levels of genetic variation than those established from multiple sources. The distribution of genetic variation in the captive flock was similar to its source. While the case of trumpeter swans provides evidence that restorations from multiple versus single source populations may better preserve natural levels of genetic diversity, more studies are needed to understand the general applicability of this management strategy. ?? 2010 Springer Science+Business Media B.V. (outside the USA).

Conservation Genetics↗

Use of alligator hole abundance and occupancy rate as indicators for restoration of a human-altered wetland

Use of indicator species as a measure of ecosystem conditions is an established science application in environmental management. Because of its role in shaping wetland systems, the American alligator (Alligator mississippiensis) is one of the ecological indicators for wetland restoration in south Florida, USA. We conducted landscape-level aerial surveys of alligator holes in two different habitats in a wetland where anthropogenic modification of surface hydrology has altered the natural system. Alligator holes were scarcer in an area where modified hydrology caused draining and frequent dry-downs compared to another area that maintains a functional wetland system. Lower abundance of alligator holes indicates lack of alligator activities, lower overall species diversity, and lack of dry-season aquatic refugia for other organisms. The occupancy rate of alligator holes was lower than the current restoration target for the Everglades, and was variable by size class with large size-class alligators predominantly occupying alligator holes. This may indicate unequal size-class distribution, different habitat selection by size classes, or possibly a lack of recruitment. Our study provides pre-restoration baseline information about one indicator species for the Everglades. Success of the restoration can be assessed via effective synthesis of information derived by collective research efforts on the entire suite of selected ecological indicators.

Florida↗