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At least 505 records · Page 28Linked to original sources

The Maryland Coastal Plain Aquifer Information System: A GIS-based tool for assessing groundwater resources

Groundwater is the source of drinking water for ∼1.4 million people in the Coastal Plain Province of Maryland (USA). In addition, groundwater is essential for commercial, industrial, and agricultural uses. Approximately 0.757 × 109 L d –1 (200 million gallons/d) were withdrawn in 2010. As a result of decades of withdrawals from the coastal plain confined aquifers, groundwater levels have declined by as much as 70 m (230 ft) from estimated prepumping levels. Other issues posing challenges to long-term groundwater sustainability include degraded water quality from both man-made and natural sources, reduced stream base flow, land subsidence, and changing recharge patterns (drought) caused by climate change. In Maryland, groundwater supply is managed primarily by the Maryland Department of the Environment, which seeks to balance reasonable use of the resource with long-term sustainability. The chief goal of groundwater management in Maryland is to ensure safe and adequate supplies for all current and future users through the implementation of appropriate usage, planning, and conservation policies. To assist in that effort, the geographic information system (GIS)–based Maryland Coastal Plain Aquifer Information System was developed as a tool to help water managers access and visualize groundwater data for use in the evaluation of groundwater allocation and use permits. The system, contained within an ESRI ArcMap desktop environment, includes both interpreted and basic data for 16 aquifers and 14 confining units. Data map layers include aquifer and ­confining unit layer surfaces, aquifer extents, borehole information, hydraulic properties, time-series groundwater-level data, well records, and geophysical and lithologic logs. The aquifer and confining unit layer surfaces were generated specifically for the GIS system. The system also contains select groundwater-quality data and map layers that quantify groundwater and surface-water withdrawals. The aquifer information system can serve as a pre- and postprocessing environment for groundwater-flow models for use in water-supply planning, development, and management. The system also can be expanded to include features that evaluate constraints to groundwater development, such as insufficient available drawdown, degraded groundwater quality, insufficient aquifer yields, and well-field interference. Ultimately, the aquifer information system is intended to function as an interactive Web-based utility that provides a broad array of information related to groundwater resources in Maryland’s coastal plain to a wide-ranging audience, including well drillers, consultants, academia, and the general public.

Special Paper of the Geological Society of America↗

Incremental assembly and prolonged consolidation of Cordilleran magma chambers--Evidence from the Southern Rocky Mountain volcanic field

Recent inference that Mesozoic Cordilleran plutons grew incrementally during >10 6 yr intervals, without the presence of voluminous eruptible magma at any stage, minimizes close associations with large ignimbrite calderas. Alternatively, Tertiary ignimbrites in the Rocky Mountains and elsewhere, with volumes of 1–5 × 10 3 km 3 , record multistage histories of magma accumulation, fractionation, and solidification in upper parts of large subvolcanic plutons that were sufficiently liquid to erupt. Individual calderas, up to 75 km across with 2–5 km subsidence, are direct evidence for shallow magma bodies comparable to the largest granitic plutons. As exemplified by the composite Southern Rocky Mountain volcanic field (here summarized comprehensively for the first time), which is comparable in areal extent, magma composition, eruptive volume, and duration to continental-margin volcanism of the central Andes, nested calderas that erupted compositionally diverse tuffs document deep composite subsidence and rapid evolution in subvolcanic magma bodies. Spacing of Tertiary calderas at distances of tens to hundreds of kilometers is comparable to Mesozoic Cordilleran pluton spacing. Downwind ash in eastern Cordilleran sediments records large-scale explosive volcanism concurrent with Mesozoic batholith growth. Mineral fabrics and gradients indicate unified flow-age of many pluton interiors before complete solidification, and some plutons contain ring dikes or other textural evidence for roof subsidence. Geophysical data show that low-density upper-crustal rocks, inferred to be plutons, are 10 km or more thick beneath many calderas. Most ignimbrites are more evolved than associated plutons; evidence that the subcaldera chambers retained voluminous residua from fractionation. Initial incremental pluton growth in the upper crust was likely recorded by modest eruptions from central volcanoes; preparation for caldera-scale ignimbrite eruption involved recurrent magma input and homogenization high in the chamber. Some eroded calderas expose shallow granites of similar age and composition to tuffs, recording sustained postcaldera magmatism. Plutons thus provide an integrated record of prolonged magmatic evolution, while volcanism offers snapshots of conditions at early stages. Growth of subvolcanic batholiths involved sustained multistage open-system processes. These commonly involved ignimbrite eruptions at times of peak power input, but assembly and consolidation processes continued at diminishing rates long after peak volcanism. Some evidence cited for early incremental pluton assembly more likely records late events during or after volcanism. Contrasts between relatively primitive arc systems dominated by andesitic compositions and small upper-crustal plutons versus more silicic volcanic fields and associated batholiths probably reflect intertwined contrasts in crustal thickness and magmatic power input. Lower power input would lead to a Cascade- or Aleutian-type arc system, where intermediate-composition magma erupts directly from middle- and lower-crustal storage without development of large shallow plutons. Andean and southern Rocky Mountain–type systems begin similarly with intermediate-composition volcanism, but increasing magma production, perhaps triggered by abrupt changes in plate boundaries, leads to development of larger upper-crustal reservoirs, more silicic compositions, large ignimbrites, and batholiths. Lack of geophysical evidence for voluminous eruptible magma beneath young calderas suggests that near-solidus plutons can be rejuvenated rapidly by high-temperature mafic recharge, potentially causing large explosive eruptions with only brief precursors.

Southern Rocky Mountains↗

Response of plant community structure and primary productivity to experimental drought and flooding in an Alaskan fen

Northern peatlands represent a long-term net sink for atmospheric CO 2 , but these ecosystems can shift from net carbon (C) sinks to sources based on changing climate and environmental conditions. In particular, changes in water availability associated with climate control peatland vegetation and carbon uptake processes. We examined the influence of changing hydrology on plant species abundance and ecosystem primary production in an Alaskan fen by manipulating the water table in field treatments to mimic either sustained flooding (raised water table) or drought (lowered water table) conditions for 6 years. We found that water table treatments altered plant species abundance by increasing sedge and grass cover in the raised water table treatment and reducing moss cover while increasing vascular green area in the lowered water table treatment. Gross primary productivity was lower in the lowered treatment than in the other plots, although there were no differences in total biomass or vascular net primary productivity among the treatments. Overall, our results indicate that vegetation abundance was more sensitive to variation in water table than total biomass and vascular biomass accrual. Finally, in our experimental peatland, drought had stronger consequences for change in vegetation abundance and ecosystem function than sustained flooding.

Alaska↗

Future-proofing the Emergency Recovery Plan for freshwater biodiversity

Freshwater biodiversity loss is accelerating globally, but humanity can change this trajectory through actions that enable recovery. To be successful, these actions require coordination and planning at a global scale. The Emergency Recovery Plan for global freshwater biodiversity aims to reduce the risk for freshwater biodiversity loss through six priority actions: (1) accelerate implementation of environmental flows; (2) improve water quality to sustain aquatic life; (3) protect and restore critical habitats; (4) manage exploitation of freshwater species and riverine aggregates; (5) prevent and control nonnative species invasions in freshwater habitats; and (6) safeguard and restore freshwater connectivity. These actions can be implemented using future-proofing approaches that anticipate future risks (e.g., emerging pollutants, new invaders, and synergistic effects) and minimize likely stressors to make conservation of freshwater biodiversity more resilient to climate change and other global environmental challenges. While uncertainty with respect to past observations is not a new concern for freshwater biodiversity, future-proofing has the distinction of accounting for the uncertainty of future conditions that have no historical baseline. The level of uncertainty with respect to future conditions is unprecedented. Future-proofing of the Emergency Recovery Plan for freshwater biodiversity will require anticipating future changes and developing and implementing actions to address those future changes. Here, we showcase future-proofing approaches likely to be successful using local case studies and examples. Ensuring that response options within the Emergency Recovery Plan are future-proofed will provide decision makers with science-informed choices, even in the face of uncertain and potentially new future conditions. We are at an inflection point for global freshwater biodiversity loss; learning from defeats and successes can support improved actions toward a sustainable future.

Environmental Reviews↗

Reconstructing the geomorphic evolution and sediment budget history of a dynamic barrier island: Anclote Key, Florida

Decadal to centennial variations in sediment availability are a primary driver of coastal change within barrier systems. Models help explore how barrier morphology relates to past changes in magnitude of sediment availability, but this requires insights and validation from field efforts. In this study, we investigate the progradation of Anclote Key via its morphostratigraphy, a presently dynamic barrier on the Central Florida Gulf Coast. The results of our field efforts, including vibracores, ground-penetrating radar scans, and optically stimulated luminescence dating of sediments, reveal that Anclote Key has gone through at least two phases of sustained island-scale progradation, with an intervening episode of transgression followed by relative stability. We show that these shifts were likely driven by relatively small changes in shoreface sediment availability owing to the island’s limited accommodation and suggest that Anclote Key may have been relatively isolated from the alongshore sediment supply of nearby barriers prior to the late 20 th century.

Florida↗

Long-duration drought variability and impacts on ecosystem services: A case study from Glacier National Park, Montana

Instrumental climate records suggest that summer precipitation and winter snowpack in Glacier National Park (Glacier NP), Montana, vary significantly over decadal to multidecadal time scales. Because instrumental records for the region are limited to the twentieth century, knowledge of the range of variability associated with these moisture anomalies and their impacts on ecosystems and physical processes are limited. The authors developed a reconstruction of summer (June–August) moisture variability spanning a.d. 1540–2000 from a multispecies network of tree-ring chronologies in Glacier NP. Decadal-scale drought and pluvial regimes were defined as any event lasting 10 yr or greater, and the significance of each potential regime was assessed using intervention analysis. Intervention analysis prevents single intervening years of average or opposing moisture conditions from ending what was otherwise a sustained moisture regime. The reconstruction shows numerous decadal-scale shifts between persistent drought and wet events prior to the instrumental period (before a.d. 1900). Notable wet events include a series of three long-duration, high-magnitude pluvial regimes spanning the end of the Little Ice Age ( a.d. 1770–1840). Though the late-nineteenth century was marked by a series of >10 yr droughts, the single most severe dry event occurred in the early-twentieth century ( a.d. 1917–41). These decadal-scale dry and wet events, in conjunction with periods of high and low snowpack, have served as a driver of ecosystem processes such as forest fires and glacial dynamics in the Glacier NP region. Using a suite of paleoproxy reconstructions and information from previous studies examining the relationship between climate variability and natural processes, the authors explore how such persistent moisture anomalies affect the delivery of vital goods and services provided by Glacier NP and surrounding areas. These analyses show that regional water resources and tourism are particularly vulnerable to persistent moisture anomalies in the Glacier NP area. Many of these same decadal-scale wet and dry events were also seen among a wider network of hydroclimatic reconstructions along a north–south transect of the Rocky Mountains. Such natural climate variability can, in turn, have enormous impacts on the sustainable provision of natural resources over wide areas. Overall, these results highlight the susceptibility of goods and services provided by protected areas like Glacier NP to natural climate variability, and show that this susceptibility will likely be compounded by the effects of future human-induced climate change.

Montana↗

International Watershed Technology: Improving Water Quality and Quantity at the Local, Basin, and Regional Scales

This article introduces the five papers in the “International Watershed Technology” collection. These papers were selected from 60 technical presentations at the fifth biennial ASABE 21st Century Watershed Technology Conference and Workshop: Improving the Quality of Water Resources at Local, Basin, and Regional Scales, held in Quito, Ecuador, on 3-9 December 2016. The conference focused on solving spatial and temporal water quality and quantity problems and addressed topics such as watershed management in developing countries, aquatic ecology and ecohydrology, ecosystem services, climate change mitigation strategies, flood forecasting, remote sensing, and water resource policy and management. While diverse, the presentation topics reflected the continuing evolution of the “data mining” and “big data” themes of past conferences related to geospatial data applications, with increasing emphasis on practical solutions. The papers selected for this collection represent applications of spatial data analyses toward practical ends with a theme of “tools and techniques for sustainability.” The papers address a range of topics, including the matching of crops with water availability, and assessing the environmental impacts of agricultural production. The papers identify some of the latest tools and techniques for improving sustainability in watershed resource management that are relevant to both developing and developed countries.

Transactions of the ASABE↗

Epidemiological modeling of SARS-CoV-2 in white-tailed deer (Odocoileus virginianus) reveals conditions for introduction and widespread transmission

Emerging infectious diseases with zoonotic potential often have complex socioecological dynamics and limited ecological data, requiring integration of epidemiological modeling with surveillance. Although our understanding of SARS-CoV-2 has advanced considerably since its detection in late 2019, the factors influencing its introduction and transmission in wildlife hosts, particularly white-tailed deer ( Odocoileus virginianus ), remain poorly understood. We use a Susceptible-Infected-Recovered-Susceptible epidemiological model to investigate the spillover risk and transmission dynamics of SARS-CoV-2 in wild and captive white-tailed deer populations across various simulated scenarios. We found that captive scenarios pose a higher risk of SARS-CoV-2 introduction from humans into deer herds and subsequent transmission among deer, compared to wild herds. However, even in wild herds, the transmission risk is often substantial enough to sustain infections. Furthermore, we demonstrate that the strength of introduction from humans influences outbreak characteristics only to a certain extent. Transmission among deer was frequently sufficient for widespread outbreaks in deer populations, regardless of the initial level of introduction. We also explore the potential for fence line interactions between captive and wild deer to elevate outbreak metrics in wild herds that have the lowest risk of introduction and sustained transmission. Our results indicate that SARS-CoV-2 could be introduced and maintained in deer herds across a range of circumstances based on testing a range of introduction and transmission risks in various captive and wild scenarios. Our approach and findings will aid One Health strategies that mitigate persistent SARS-CoV-2 outbreaks in white-tailed deer populations and potential spillback to humans.

PLOS Computational Biology↗

Combining branching processes and Allee effects into an integral projection model to assess invasion risk

Invasive species threaten both ecological systems and economies. Successful establishment is governed partly by demographic stochasticity, where random individual-level variation can significantly influence invasion dynamics. A critical factor is the Allee effect, which describes reduced population growth at low densities, potentially serving as a barrier to persistence. Size-dependent growth and survival further shape outcomes based on the size distribution of individuals within the population. To address these complexities, we developed a population-level model integrating an Integral Projection Model (IPM) for the expected size distribution with an Allee effect for recruitment dynamics and a branching process to account for demographic stochasticity. We applied this framework to Silver Carp ( Hypophthalmichthys molitrix ), a species established in the Upper Mississippi River system that poses significant risk of expanding into the Great Lakes. Our analysis compared temporal dynamics and population-size distributions under hypothetical introduction scenarios for large adult and smaller subadult fish. In both cases, initial population size relative to the Allee threshold was a critical determinant of establishment probability, with introductions below the threshold requiring stochastic growth across a critical biomass boundary before self-sustaining dynamics could take hold. Sensitivity analysis further indicated that per-spawner recruitment played a compounding role in invasion risk: higher recruitment rates reduced the critical introduction size for establishment and compressed the time to self-sustaining population size, jointly broadening the window of invasion risk. These findings highlight the framework’s potential for invasion assessments and offer insights into how Allee effects, size structure, and recruitment rates interact to govern establishment outcomes, while underscoring the need for species-specific parameter estimates before quantitative outputs can guide management decisions.

PLOS Ecosystems↗

Incorporating cold-air pooling into downscaled climate models increases potential refugia for snow-dependent species within the Sierra Nevada Ecoregion, CA

We present a unique water-balance approach for modeling snowpack under historic, current and future climates throughout the Sierra Nevada Ecoregion. Our methodology uses a finer scale (270 m) than previous regional studies and incorporates cold-air pooling, an atmospheric process that sustains cooler temperatures in topographic depressions thereby mitigating snowmelt. Our results are intended to support management and conservation of snow-dependent species, which requires characterization of suitable habitat under current and future climates. We use the wolverine ( Gulo gulo ) as an example species and investigate potential habitat based on the depth and extent of spring snowpack within four National Park units with proposed wolverine reintroduction programs. Our estimates of change in spring snowpack conditions under current and future climates are consistent with recent studies that generally predict declining snowpack. However, model development at a finer scale and incorporation of cold-air pooling increased the persistence of April 1st snowpack. More specifically, incorporation of cold-air pooling into future climate projections increased April 1st snowpack by 6.5% when spatially averaged over the study region and the trajectory of declining April 1st snowpack reverses at mid-elevations where snow pack losses are mitigated by topographic shading and cold-air pooling. Under future climates with sustained or increased precipitation, our results indicate a high likelihood for the persistence of late spring snowpack at elevations above approximately 2,800 m and identify potential climate refugia sites for snow-dependent species at mid-elevations, where significant topographic shading and cold-air pooling potential exist.

California↗

Modeling the complex impacts of timber harvests to find optimal management regimes for Amazon tidal floodplain forests

At the Amazon estuary, the oldest logging frontier in the Amazon, no studies have comprehensively explored the potential long-term population and yield consequences of multiple timber harvests over time. Matrix population modeling is one way to simulate long-term impacts of tree harvests, but this approach has often ignored common impacts of tree harvests including incidental damage, changes in post-harvest demography, shifts in the distribution of merchantable trees, and shifts in stand composition. We designed a matrix-based forest management model that incorporates these harvest-related impacts so resulting simulations reflect forest stand dynamics under repeated timber harvests as well as the realities of local smallholder timber management systems. Using a wide range of values for management criteria (e.g., length of cutting cycle, minimum cut diameter), we projected the long-term population dynamics and yields of hundreds of timber management regimes in the Amazon estuary, where small-scale, unmechanized logging is an important economic activity. These results were then compared to find optimal stand-level and species-specific sustainable timber management (STM) regimes using a set of timber yield and population growth indicators. Prospects for STM in Amazonian tidal floodplain forests are better than for many other tropical forests. However, generally high stock recovery rates between harvests are due to the comparatively high projected mean annualized yields from fast-growing species that effectively counterbalance the projected yield declines from other species. For Amazonian tidal floodplain forests, national management guidelines provide neither the highest yields nor the highest sustained population growth for species under management. Our research shows that management guidelines specific to a region’s ecological settings can be further refined to consider differences in species demographic responses to repeated harvests. In principle, such fine-tuned management guidelines could make management more attractive, thus bridging the currently prevalent gap between tropical timber management practice and regulation.

Amazon River, Mazagão watershed↗

Chronic wasting disease drives population decline of white-tailed deer

Chronic wasting disease (CWD) is an invariably fatal transmissible spongiform encephalopathy of white-tailed deer, mule deer, elk, and moose. Despite a 100% fatality rate, areas of high prevalence, and increasingly expanding geographic endemic areas, little is known about the population-level effects of CWD in deer. To investigate these effects, we tested the null hypothesis that high prevalence CWD did not negatively impact white-tailed deer population sustainability. The specific objectives of the study were to monitor CWD-positive and CWD-negative white-tailed deer in a high-prevalence CWD area longitudinally via radio-telemetry and global positioning system (GPS) collars. For the two populations, we determined the following: a) demographic and disease indices, b) annual survival, and c) finite rate of population growth ( λ ). The CWD prevalence was higher in females (42%) than males (28.8%) and hunter harvest and clinical CWD were the most frequent causes of mortality, with CWD-positive deer over-represented in harvest and total mortalities. Survival was significantly lower for CWD-positive deer and separately by sex; CWD-positive deer were 4.5 times more likely to die annually than CWD-negative deer while bucks were 1.7 times more likely to die than does. Population λ was 0.896 (0.859–0.980), which indicated a 10.4% annual decline. We show that a chronic disease that becomes endemic in wildlife populations has the potential to be population-limiting and the strong population-level effects of CWD suggest affected populations are not sustainable at high disease prevalence under current harvest levels.

PLoS ONE↗

Evaluation of harvest and information needs for North American sea ducks

Wildlife managers routinely seek to establish sustainable limits of sport harvest or other regulated forms of take while confronted with considerable uncertainty. A growing body of ecological research focuses on methods to describe and account for uncertainty in management decision-making and to prioritize research and monitoring investments to reduce the most influential uncertainties. We used simulation methods incorporating measures of demographic uncertainty to evaluate risk of overharvest and prioritize information needs for North American sea ducks (Tribe Mergini ). Sea ducks are popular game birds in North America, yet they are poorly monitored and their population dynamics are poorly understood relative to other North American waterfowl. There have been few attempts to assess the sustainability of harvest of North American sea ducks, and no formal harvest strategy exists in the U.S. or Canada to guide management. The popularity of sea duck hunting, extended hunting opportunity for some populations (i.e., special seasons and/or bag limits), and population declines have led to concern about potential overharvest. We used Monte Carlo simulation to contrast estimates of allowable harvest and observed harvest and assess risk of overharvest for 7 populations of North American sea ducks: the American subspecies of common eider ( Somateria mollissima dresseri ), eastern and western populations of black scoter ( Melanitta americana ) and surf scoter ( M . perspicillata ), and continental populations of white-winged scoter ( M . fusca ) and long-tailed duck ( Clangula hyemalis ). We combined information from empirical studies and the opinions of experts through formal elicitation to create probability distributions reflecting uncertainty in the individual demographic parameters used in this assessment. Estimates of maximum growth ( r max ), and therefore of allowable harvest, were highly uncertain for all populations. Long-tailed duck and American common eider appeared to be at high risk of overharvest (i.e., observed harvest < allowable harvest in 5–7% and 19–26% of simulations, respectively depending on the functional form of density dependence), whereas the other populations appeared to be at moderate risk to low risk (observed harvest < allowable harvest in 22–68% of simulations, again conditional on the form of density dependence). We also evaluated the sensitivity of the difference between allowable and observed harvest estimates to uncertainty in individual demographic parameters to prioritize information needs. We found that uncertainty in overall fecundity had more influence on comparisons of allowable and observed harvest than adult survival or observed harvest for all species except long-tailed duck. Although adult survival was characterized by less uncertainty than individual components of fecundity, it was identified as a high priority information need given the sensitivity of growth rate and allowable harvest to this parameter. Uncertainty about population size was influential in the comparison of observed and allowable harvest for 5 of the 6 populations where it factored into the assessment. While this assessment highlights a high degree of uncertainty in allowable harvest, it provides a framework for integration of improved data from future research and monitoring. It could also serve as the basis for harvest strategy development as management objectives and regulatory alternatives are specified by the management community.

PLoS ONE↗

The Ecosystem Approach in the 21st century: Guiding science and management – A synthesis

Maintaining the integrity and health of aquatic ecosystems is critical to sustaining the many valued services that they provide society. Unfortunately, achieving this goal has proven challenging in most of the world's large ecosystems owing to rampant environmental change caused by human-driven stress, including accelerating climate change, pollution of waterways, habitat modification and destruction, and the continued spread of non-native species (He and Silliman, 2019; Jenny et al., 2020; Smith et al., 2015; Steffen et al., 2007). These stressors, which can also include purposeful management actions (e.g. nutrient and fisheries management), are presenting a grave challenge globally to efforts aimed at securing a sustainable future for nature, society, and the economy.

Aquatic Ecosystem Health & Management↗

How well are you teaching one of the most important biological concepts for humankind? A call to action

We represent several generations of biology educators – with teaching experiences beginning in the 1940s and continuing to the present, from elementary school to graduate-level programs. We find the vast array of subjects that biology teachers can now cover both thrilling and mind-boggling. Depending on the grade level, units exist that focus on neurobiology, forensics, DNA analysis, biotechnology, marine biology, and a host of other topics. Although science teachers cover a potpourri of advanced topics, we must ask ourselves – no matter our biology-teaching responsibilities – how well we are teaching carrying capacity , one of the most fundamental biological concepts for our society, knowledge of which becomes more important every day. As biology teachers, most of you know that carrying capacity is defined as the maximum population an environment can sustain, given the amounts of food, habitat, and other resources available. Every environment – from your goldfish bowl to the local forest to planet Earth – can only sustain a set number (weight) of a particular species, based on available resources and space. Currently, most science classes teach …

The American Biology Teacher↗

Application of theory and research in fishery management of the Laurentian Great Lakes

The Great Lakes have a high potential for the conduct of research and useful application of research findings, but the history of the Great Lakes indicates that extensive research and intensive management have failed to prevent deterioration of the fisheries. At times the research was not done before a loss occurred, or did not provide the information needed to solve a problem, or was not interpreted to indicate a need for corrective action. Three examples are used to illustrate these problems: (1) Sea lamprey ( Petromyzon marinus ) research was not initiated until 50 years after the destructiveness of the sea lamprey was recognized, and control measures were not developed or applied until species most vulnerable to the lamprey had been greatly reduced or eliminated. (2) Most research on the alewife ( Alosa pseudoharengus ) has been directed toward determining why large numbers of alewives die during the spring and summer, but has not provided the information most urgently needed by management to use alewives to best advantage, or to reduce the biological or human problems that alewives cause. (3) After a study during 1926-30 to determine if pollution was affecting fish in Lake Erie, it was concluded that the detrimental effects of pollution in certain regions were offset by the benefits of enrichment in other areas, but managers were not warned that areas of pollution might expand, and eventually influence the entire lake. The Great Lakes ecosystem is complex and in a state of rapid change. Thus, the outcome from the application of theory is uncertain at best and there can be no assurance that the desired results will be attained. The programs for sea lamprey control and salmonid restoration are a current example of difficulty in application of theory in management. Superficially the sea lamprey appears to be under control and salmonids have been restored. The postcontrol abundance of sea lampreys, however, is equal to the abundance that caused the initial collapse of the lake trout ( Salvelinus namaycush ), and there is evidence that the damage lampreys are inflicting on lake trout is as heavy as it was in the precontrol period. Also, in the presence of an abundance of hatchery-reared salmonids, the lamprey is reproducing and thriving as well as or better than it did during its initial population explosion, and indications are that it will increase rather than decrease under the present method and level of control. Successful application of theory and research to fishery management has always been impeded by lack of continued and close coordination among some 30-40 state, provincial, and federal governmental units that have varying degrees of influence on fishery programs of the Great Lakes. Frequently agreements that have been reached among conservation agencies were not sustained by legislative units, or were nullified by organizational changes. As a result, conflicting approaches were sometimes taken by management agencies with jurisdiction in different areas of the same lake. Sustained and compatible management objectives and practices can, however, contribute to greater stability, and optimum usefulness and productivity.

Transactions of the American Fisheries Society↗

Side-scan sonar mapping of lake trout spawning habitat in northern Lake Michigan

Native stocks of lake trout Salvelinus namaycush were virtually or completely extirpated from the lower four Great Lakes by the early 1960s. The failure of early attempts to reestablish self-sustaining populations of lake trout was attributed partly to the practice of stocking hatcheryreared juveniles at locations and over substrates that had not been used in the past for spawning by native fish. Subsequent attempts to improve the selection of stocking locations were impeded by the lack of reliable information on the distribution of substrates on historical spawning grounds. Here we demonstrate the potential of side-scan sonar to substantially expand the data base needed to pinpoint the location of substrates where lake trout eggs, fry, or juveniles could be stocked to maximize survival and help ensure that survivors returning to spawn would encounter suitable substrates. We also describe the substrates and bathymetry of large areas on historical lake trout spawning grounds in the Fox Island Lake Trout Sanctuary in northern Lake Michigan. These areas could be used to support a contemporary self-sustaining lake trout population in the sanctuary and perhaps also in adjacent waters.

Great Lakes↗

Abundance indices for determining the status of lake trout restoration in Michigan waters of Lake Superior

Self-sustaining populations of lake trout Salvelinus namaycush have returned to most areas in Lake Superior, but progress toward achieving historic commercial yields has been difficult to measure because of unrecorded losses to predation by sea lamprey Petromyzon marinus and to fisheries. Consequently, we developed restoration targets (catch per effort, CPE; geometric mean number per kilometer of 114-mm stretch-meaure gill net during 1929-1943, when historic yields were sustained) from linear relationships between CPE in commercial and assessment fisheries in Michigan. Target CPEs for lake trout restoration were higher and less variable than the modern CPEs in all areas. Modern CPEs generally increased during the 1970s and early 1980s but declined during the late 1980s and early 1990s. Modern CPEs were highest in western Michigan from the Keweenaw Peninsula to Marquette (71 to 81% of target CPEs), but coefficients of variation (CV,SD/mean) of mean CPEs were 1.4 to 2.4 times greater than target CVs. Around Munising, the modern CPE was lower (41% of the target CPE), whereas the CV was 1.9 times greater than the target CV. Around Grand Marais, the modern CPE was lowest among all areas (17% of the target CPE), but the CV was nearly the same (1.1 times the target CV). In Whitefish Bay, the modern CPE was only 28% of the target CPE and the CV was 9.0 times greater, though the modern period was based on only the years 1979-1982 and 1984-1985. Further progress in restoration in most areas can be achieved only if fishery managers adequately protect existing stocks of wild fish from sea lamprey predation and fishery exploitation.

North American Journal of Fisheries Management↗