USGS Science⌕ Search

SEARCH · USGS Science

Results for “Western Wildlife”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 523 records · Page 29Linked to original sources

The socioecology of fear: A critical geographical consideration of human-wolf-livestock conflict

Animal fear can be an important driver of ecological community structure: predators affect prey not only through predation, but by inducing changes in behavior and distribution—a phenomenon evocatively called the “ecology of fear.” The return of wolves to the western United States is a notable instance of such dynamics, yet plays out in a complex socio-ecological system where efforts to mitigate impacts on livestock rely on manipulating wolves’ fear of people. Examining Washington state’s efforts to affect wolf behavior to reduce livestock predation, we argue that this approach to coexistence with wolves is predicated on relations of fear: people, livestock, and wolves can arguably share landscapes with minimal conflict, as long as wolves are adequately afraid. We introduce the “socioecology of fear” as an interdisciplinary framework for examining the interwoven social and ecological processes of human-wildlife conflict management. Beyond frequently-voiced ideas about wolves’ “innate” fear, we examine how fear is (re)produced through human-wolf interactions and deeply shaped by human social processes. We contribute to the Critical Physical Geography project by integrating critical social analysis with ecological theory, conducted through collaborative interdisciplinary dialogue. Such integrative practice is essential for understanding the complex challenges of managing wildlife in the Anthropocene.

Washington↗

Restoration ecology and invasive riparian plants: An introduction to the special section on Tamarix spp. in western North America

River systems around the world are subject to various perturbations, including the colonization and spread of non-native species in riparian zones. Riparian resource managers are commonly engaged in efforts to control problematic non-native species and restore native habitats. In western North America, small Eurasian trees or shrubs in the genus Tamarix occupy hundreds of thousands of hectares of riparian lands, and are the targets of substantial and costly control efforts and associated restoration activities. Still, significant information gaps exist regarding approaches used in control and restoration efforts and their effects on riparian ecosystems. In this special section of papers, eight articles address various aspects of control and restoration associated with Tamarix spp. These include articles focused on planning restoration and revegetation; a synthetic analysis of past restoration efforts; and several specific research endeavors examining plant responses, water use, and various wildlife responses (including birds, butterflies, and lizards). These articles represent important additions to the Tamarix spp. literature and contain many lessons and insights that should be transferable to other analogous situations in river systems globally.

Restoration Ecology↗

Mycobacterial infection in Northern snakehead ( Channa argus ) from the Potomac River catchment

The Northern snakehead, Channa argus (Cantor), is a non-native predatory fish that has become established regionally in some temperate freshwater habitats within the United States. Over the past decade, Northern snakehead populations have developed within aquatic ecosystems throughout the eastern USA, including the Potomac River system within Virginia, Maryland and Washington, D.C. Since this species was initially observed in this region in 2002, the population has expanded considerably (Odenkirk & Owens 2007 ). In the Chesapeake Bay watershed, populations of Northern snakehead exist in the lower Potomac River and Rappahannock Rivers on the Western shore of the Bay, and these fish have also been found in middle or upper reaches of river systems on the Eastern shore of the Bay, including the Nanticoke and Wicomico Rivers among others. Over the past several years, many aspects of Northern snakehead life history in the Potomac River have been described, including range and dispersal patterns, microhabitat selection and diet (Lapointe, Thorson & Angermeier 2010 ; Saylor, Lapointe & Angermeier 2012 ; Lapointe, Odenkirk & Angermeier 2013 ). However, comparatively little is known about their health status including susceptibility to parasitism and disease and their capacity to serve as reservoirs of disease for native wildlife. Although considered hardy by fisheries biologists, snakehead fish have demonstrated susceptibility to a number of described piscine diseases within their native range and habitat in Asia. Reported pathogens of significance in snakehead species in Asia include snakehead rhabdovirus (Lio-Po et al . 2000 ), aeromonad bacteria (Zheng, Cao & Yang 2012 ), Nocardia (Wang et al . 2007 ) and Mycobacterium spp . (Chinabut, Limsuwan & Chantatchakool 1990 ; ). Mycobacterial isolates recovered from another snakehead species ( Channa striata ) in the previous studies have included M. marinum and M. fortuitum , as identified through molecular-based diagnostics (Puttinaowarat et al . 2002 ). We have conducted health screenings of Northern snakehead from the Potomac River system over the past several years and have detected few associated pathogens. Typical observations have largely consisted of incidental identification of parasitism with protozoal, monogenean or trematode organisms (unpublished data). We have also identified largemouth bass virus (LMBV) in clinically normal Northern snakehead collected from the Potomac River (Iwanowicz et al . 2013 ). Continued research concerning these and other pathogens of this introduced species is important to fully understand the potential impacts of these fish on indigenous wildlife and aquatic ecosystems.

Potomac River, Pohick Bay↗

Using multilevel spatial models to understand salamander site occupancy patterns after wildfire

Studies of the distribution of elusive forest wildlife have suffered from the confounding of true presence with the uncertainty of detection. Occupancy modeling, which incorporates probabilities of species detection conditional on presence, is an emerging approach for reducing observation bias. However, the current likelihood modeling framework is restrictive for handling unexplained sources of variation in the response that may occur when there are dependence structures such as smaller sampling units that are nested within larger sampling units. We used multilevel Bayesian occupancy modeling to handle dependence structures and to partition sources of variation in occupancy of sites by terrestrial salamanders (family Plethodontidae) within and surrounding an earlier wildfire in western Oregon, USA. Comparison of model fit favored a spatial N ‐mixture model that accounted for variation in salamander abundance over models that were based on binary detection/non‐detection data. Though catch per unit effort was higher in burned areas than unburned, there was strong support that this pattern was due to a higher probability of capture for individuals in burned plots. Within the burn, the odds of capturing an individual given it was present were 2.06 times the odds outside the burn, reflecting reduced complexity of ground cover in the burn. There was weak support that true occupancy was lower within the burned area. While the odds of occupancy in the burn were 0.49 times the odds outside the burn among the five species, the magnitude of variation attributed to the burn was small in comparison to variation attributed to other landscape variables and to unexplained, spatially autocorrelated random variation. While ordinary occupancy models may separate the biological pattern of interest from variation in detection probability when all sources of variation are known, the addition of random effects structures for unexplained sources of variation in occupancy and detection probability may often more appropriately represent levels of uncertainty.

Ecology↗

Influence of nonnative and native ungulate biomass and seasonal precipitation on vegetation production in a Great Basin ecosystem

The negative effects of equid grazers in semiarid ecosystems of the American West have been considered disproportionate to the influence of native ungulates in these systems because of equids' large body size, hoof shape, and short history on the landscape relative to native ungulates. Tools that can analyze the degree of influence of various ungulate herbivores in an ecosystem and separate effects of ungulates from effects of other variables (climate, anthropomorphic disturbances) can be useful to managers in determining the location of nonnative herbivore impacts and assessing the effect of management actions targeted at different ungulate populations. We used remotely sensed data to determine the influence of native and nonnative ungulates and climate on vegetation productivity at wildlife refuges in Oregon and Nevada. Our findings indicate that ungulate biomass density, particularly equid biomass density, and precipitation in winter and spring had the greatest influence on normalized difference vegetation index (NDVI) values. Our results concur with those of other researchers, who found that drought exacerbated the impacts of ungulate herbivores in arid systems.

Nevada, Oregon↗

Food habits of rodents inhabiting arid and semi-arid ecosystems of central New Mexico

In this study, we describe seasonal dietary composition for 15 species of rodents collected in all major habitats on the Sevilleta National Wildlife Refuge (Socorro County) in central New Mexico. A comprehensive literature review of food habits for these species from throughout their distribution also is provided. We collected rodents in the field during winter, spring and late summer in 1998 from six communities: riparian cottonwood forest; piñon-juniper woodland; juniper-oak savanna; mesquite savanna; short-grass steppe; and Chihuahuan Desert scrubland. Rodents included Spermophilus spilosoma (Spotted Ground Squirrel), Perognathus flavescens (Plains Pocket Mouse), Perognathus flavus (Silky Pocket Mouse), Dipodomys merriami (Merriam’s Kangaroo Rat), Dipodomys ordii (Ord’s Kangaroo Rat), Dipodomys spectabilis (Banner-tailed Kangaroo Rat), Reithrodontomys megalotis (Western Harvest Mouse), Peromyscus boylii (Brush Mouse), Peromyscus eremicus (Cactus Mouse), Peromyscus leucopus (White-footed Mouse), Peromyscus truei (Piñon Mouse), Onychomys arenicola (Mearn’s Grasshopper Mouse), Onychomys leucogaster (Northern Grasshopper Mouse), Neotoma albigula/leucodon (White-throated Woodrats), and Neotoma micropus (Southern Plains Woodrat). We collected stomach contents of all species, and cheek-pouch contents of heteromyids, and quantified them in the laboratory. We determined seasonal diets in each habitat by calculating mean percentage volumes of seeds, arthropods and green vegetation (plant leaves and stems) for each species of rodent. Seeds consumed by each rodent were identified to genus, and often species, and quantified by frequency counts. Comparisons of diets between and among species of rodents, seasons, and ecosystems were also examined. We provide an appendix of all plant taxa documented.

Special publication of the Museum of Southwestern ↗

Hydrology and water quality of the Great Dismal Swamp, Virginia and North Carolina, and implications for hydrologic-management goals and strategies

The Great Dismal Swamp is a peat wetland in the Coastal Plain of southeastern Virginia and northeastern North Carolina. Timber harvesting and the construction of ditches to drain the swamp and facilitate the harvesting are collectively implicated in changes that altered the wetland forests, caused subsidence and decomposition of the peat, and increased the risk of fire. In response to these changes, managers have implemented strategies to control water levels and rewet the swamp using a network of 64 adjustable-height, water-control structures on the ditches. Rewetting the swamp is intended to re-establish the original wetland-forest types, reduce the risk of fire, reduce subsidence and decomposition of the peat, enhance peat accretion, and reduce the risk of fire. Knowledge of responses of the swamp to hydrologic controls, however, is critical to developing and implementing effective management goals and strategies. Because the 2008 South One fire reemphasized the need for this knowledge, the U.S. Geological Survey in cooperation with the U.S. Fish and Wildlife Service began studies in 2009 to identify critical hydrologic controls and responses to these controls. These studies identified water sources, topography, the two-layered hydraulic characteristics of the peat, the absence of peat in some areas, the ditch and road network, water-control structures on the ditches, the Dismal Swamp Canal and associated infrastructure, and wetland forests as the primary hydrologic controls. Precipitation is the only water source across much of the swamp. The eastward flow of streams and groundwater from the Isle of Wight Plain, across the Suffolk scarp, and into the swamp are additional water sources to the western part of the swamp. Vertical differences in the hydraulic characteristics of the peat reflect an upper peat having a high hydraulic conductivity and specific yield overlying a lower peat and sand having lower hydraulic conductivity and specific yield. The upper peat forms the main aquifer for the storage, flow, and release of water from the swamp. Maintaining water in the upper peat is critical to water availability to the wetland forests because of these properties. Groundwater flows from the swamp into the ditches and the Dismal Swamp Canal where it discharges into nearby streams. Discharge typically is to the closest ditch except where a spoil-pile road that impedes flow intervenes between the swamp and the ditch. When groundwater levels in a ditch are about 2 feet lower than levels in the other three ditches surrounding a part of the swamp, however, most groundwater typically discharges to the ditch having the lower level. This occurs even if a spoil-pile road intervenes between the swamp and the ditch having the lower level. Flow to a single ditch shifts watershed boundaries and groundwater divides toward the ditches having higher water levels and demonstrates how flow and discharge are controlled by ditch water levels. Consequently, managing water levels based on these and other hydrologic controls and responses is critical to achieving management objectives. The chemistry of water across the swamp shows the effects of the peat. Dissolved organic carbon concentrations in the groundwater are among the highest reported globally, ranging from 55 to 195 milligrams per liter. The pH of groundwater and ditch water is commonly less than 4.0 standard units because of organic acids. A relation between the pH and specific conductance of groundwater and ditch water reflects water sources, flow paths, and the chemical evolution, as waters from the different sources mix and flow along the paths.

North Carolina, Virginia↗

Land-Cover Trends of the Central Basin and Range Ecoregion

The U.S. Geological Survey (USGS) Land Cover Trends research project is focused on understanding the amounts, rates, trends, causes, and implications of contemporary land-use and land-cover (LU/LC) change in the United States. This project is supported by the USGS Geographic Analysis and Monitoring Program in collaboration with the U.S. Environmental Protection Agency (EPA) and the National Aeronautics and Space Administration (NASA). LU/LC change is a pervasive process that modifies landscape characteristics and affects a broad range of socioeconomic, biologic, and hydrologic systems. Understanding the impacts and feedbacks of LU/LC change on environmental systems requires an understanding of the rates, patterns, and driving forces of past, present, and future LU/LC change. The objectives of the Land Cover Trends project are to (1) determine and describe the amount, rates, and trends of contemporary LU/LC change by ecoregion for the period 1973-2000 for the conterminous United States, (2) document the causes, driving forces, and implications of change, and (3) synthesize individual ecoregion results into a national assessment of LU/LC change. The Land Cover Trends research team includes staff from the USGS National Center for Earth Resources Observation and Science (EROS), Rocky Mountain Geographic Science Center, Eastern Geographic Science Center, Mid-Continent Geographic Science Center, and the Western Geographic Science Center. Other partners include researchers at South Dakota State University, University of Southern Mississippi, and State University of New York College of Environmental Science and Forestry. This report presents an assessment of LU/LC change in the Central Basin and Range ecoregion for the period 1973-2000. The Central Basin and Range ecoregion is one of 84 Level-III ecoregions as defined by the Environmental Protection Agency. Ecoregions have served as a spatial framework for environmental resource management and to denote areas that contain a geographically distinct assemblage of biotic and abiotic phenomena including geology, physiography, vegetation, climate, soils, land use, wildlife, and hydrology. The established Land Cover Trends methodology generates estimates of LU/LC change using a probability sampling approach and change-detection analysis of thematic land-cover images derived from Landsat satellite imagery.

Scientific Investigations Report↗

Selenium concentrations in the Colorado pikeminnow (Ptychocheilus lucius): Relationship with flows in the upper Colorado River

A Department of the Interior (DOI) irrigation drainwater study of the Uncompahgre Project area and the Grand Valley in western Colorado revealed high selenium concentrations in water, sediment, and biota samples. The lower Gunnison River and the Colorado River in the study area are designated critical habitat for the endangered Colorado pikeminnow (Ptychocheilus lucius) and razorback sucker (Xyrauchen texanus). Because of the endangered status of these fish, sacrificing individuals for tissue residue analysis has been avoided; consequently, little information existed regarding selenium tissue residues. In 1994, muscle plugs were collected from a total of 39 Colorado pikeminnow captured at various Colorado River sites in the Grand Valley for selenium residue analysis. The muscle plugs collected from 16 Colorado pikeminnow captured at Walter Walker State Wildlife Area (WWSWA) contained a mean selenium concentration of 17 ??g/g dry weight, which was over twice the recommended toxic threshold guideline concentration of 8 ??g/g dry weight in muscle tissue for freshwater fish. Because of elevated selenium concentrations in muscle plugs in 1994, a total of 52 muscle plugs were taken during 1995 from Colorado pikeminnow staging at WWSWA. Eleven of these plugs were from fish previously sampled in 1994. Selenium concentrations in 9 of the 11 recaptured fish were significantly lower in 1995 than in 1994. Reduced selenium in fish may in part be attributed to higher instream flows in 1995 and lower water selenium concentrations in the Colorado River in the Grand Valley. In 1996, muscle plugs were taken from 35 Colorado squawfish captured at WWSWA, and no difference in mean selenium concentrations were detected from those sampled in 1995. Colorado River flows during 1996 were intermediate to those measured in 1994 and 1995.

Archives of Environmental Contamination and Toxico↗

Dynamics of alewives in Lake Ontario following a mass mortality

The U.S. Fish and Wildlife Service and the New York Department of Environmental Conservation assessed the population of alewives Alosa pseudoharengus in U.S. waters of Lake Ontario during 1976–1982 with bottom trawls. Alewives were abundant in 1976 but a die-off greatly reduced their numbers during the winter of 1976–1977. The population quickly recovered, however, adult abundance increasing nearly sevenfold during 1978–1981. In spring 1981 the bottom population in southern Lake Ontario was estimated to be 5.25 × 10 9 fish weighing 128,500 t. Estimated average alewife biomass per hectare during 1978–1982 far exceeded the estimates for either Lake Michigan during 1967–1982 or western Lake Huron during 1973–1982. Recruitment of age-II fish to the population was affected by abundance of adults in two ways: (1) the number of yearlings produced was directly related to adult abundance at low population levels but inversely related at high population levels; and (2) survival of yearlings to age II was inversely related to adult abundance. Growth in 1977 was exceptional, leaving a wide, unmistakable band on scales of the previously slow-growing adults. This wide growth zone served as a marker to identify survivors of the 1976–1977 die-off and to show that each year after 1978 a successively larger proportion of survivors was failing to grow in length or to form an annulus (54% in 1979, 96% in 1980, and 100% in 1981). There was no marker on scales of alewives recruited after the die-off, but the apparent age composition of our catches strongly suggested that most of them also failed to grow in 1981.

Transactions of the American Fisheries Society↗

Bacterial genomics reveal the complex epidemiology of an emerging pathogen in arctic and boreal ungulates

Northern ecosystems are currently experiencing unprecedented ecological change, largely driven by a rapidly changing climate. Pathogen range expansion, and emergence and altered patterns of infectious disease, are increasingly reported in wildlife at high latitudes. Understanding the causes and consequences of shifting pathogen diversity and host-pathogen interactions in these ecosystems is important for wildlife conservation, and for indigenous populations that depend on wildlife. Among the key questions are whether disease events are associated with endemic or recently introduced pathogens, and whether emerging strains are spreading throughout the region. In this study, we used a phylogenomic approach to address these questions of pathogen endemicity and spread for Erysipelothrix rhusiopathiae , an opportunistic multi-host bacterial pathogen associated with recent mortalities in arctic and boreal ungulate populations in North America. We isolated E. rhusiopathiae from carcasses associated with large-scale die-offs of muskoxen in the Canadian Arctic Archipelago, and from contemporaneous mortality events and/or population declines among muskoxen in northwestern Alaska and caribou and moose in western Canada. Bacterial genomic diversity differed markedly among these locations; minimal divergence was present among isolates from muskoxen in the Canadian Arctic, while in caribou and moose populations, strains from highly divergent clades were isolated from the same location, or even from within a single carcass. These results indicate that mortalities among northern ungulates are not associated with a single emerging strain of E. rhusiopathiae , and that alternate hypotheses need to be explored. Our study illustrates the value and limitations of bacterial genomic data for discriminating between ecological hypotheses of disease emergence, and highlights the importance of studying emerging pathogens within the broader context of environmental and host factors.

Frontiers in Microbiology↗

Long-term monitoring program: Evaluating chronic exposure of harlequin ducks and sea otters to lingering Exxon Valdez Oil in Western Prince William Sound

We found that average cytochrome P4501A induction (as measured by EROD activity) during March 2014 was not elevated in wintering harlequin ducks captured in areas of Prince William Sound oiled by the 1989 Exxon Valdez oil spill, relative to those captured in unoiled areas. This result is consistent with findings from March 2013. We interpret these findings to indicate that exposure of harlequin ducks to residual Exxon Valdez oil abated within 24 years after the original spill. Results from preceding sampling in 2011 indicated that EROD activity was elevated in harlequin ducks in oiled relative to unoiled areas, although the magnitude of elevation was lower than in previous years (1998-2009), suggesting that the rate or intensity of exposure was diminishing by 2011. The data presented in this report add to a growing body of literature indicating that persistence of oil in the environment, and exposure of wildlife to that oil, can occur over much longer time frames than previously assumed.

Alaska↗

Overwinter distribution of northern pintail populations in North America

Northern pintails ( Anas acuta ) exist as a single circumpolar breeding population but display weak fidelity to given breeding sites. If fidelity to wintering areas is strong, management on wintering grounds may allow local winter populations to increase. Thus, I delineated reference areas for wintering areas based on recovery data for pintails banded during the winter (Dec-Feb) in the United States. Fidelity to these reference areas varied with the strongest fidelity observed for pintails banded in areas along coastal areas or near large bodies of water such as western Washington-northwestern Oregon, central California, northwestern Utah, the Texas-Louisiana Gulf Coast, and the Greater Chesapeake Bay Region. My analysis suggests that pintails occurred in distinct wintering populations and that wintering ground affiliations to certain areas appear to be more stable population units than breeding ground affiliations. Consequently, winter banding programs may be useful in monitoring survival of specific wintering populations of concern.

North America↗

Habitat size and bird community management

The purpose of this paper is to review the results in the literature that show the effect of area of forest on nesting migratory bird species, and to present the results of additional field work that we have conducted in forest habitats in western Maryland. These results indicate the area sensitivity of many long distance migrants. Because 80 to 95 percent of the breeding birds in the northeastern deciduous forest are neotropical migrants, the changes in bird species composition as a result of forest fragmentation can be immense. Management strategies based on habitat size are suggested to assist in maintaining communities of nesting migratory birds.

Transactions of the North American Wildlife and Na↗

Spatially explicit demographics of Mojave Desert Tortoises on a demography plot in California, USA

Obtaining reliable estimates of demographic parameters is critical to effective wildlife conservation and management. Densities of Mojave Desert Tortoises ( Gopherus agassizii ) were historically derived from capture–mark–recapture surveys on small, often strategically placed demography plots, or demographic study areas, that also provided information on demographic composition and vital rates. After protection was afforded to Desert Tortoises under the US Endangered Species Act in 1990, monitoring shifted mostly to line-distance sampling across broad areas for estimating densities of primarily adult tortoises to inform long-term population trends. However, that approach is incapable of providing data about other demographic characteristics important to population growth and viability. We surveyed a previously unsampled demography plot in the western Mojave Desert, California, USA, during 2022 and applied spatial capture–recapture (SCR) models to estimate spatially explicit Desert Tortoise density and sex-by-size class compositions. Directly accounting for spatiotemporally varying survey effort in SCR models via hazard-based adjustment reduced the estimated detection rate by 91% and increased the estimated density by 17%. Estimated spatial mean Desert Tortoise density across a 2.53-km 2 area was 18.53 tortoises/km 2 (95% confidence interval [CI] = 12.36–27.77). The SCR model–estimated size class ratio was skewed toward prereproductive tortoises (64% prereproductive; 36% adults), whereas the adult sex ratio was female biased (61% females; 39% males). Those ratios corresponded to densities of 11.86 prereproductive tortoises/km 2 (95% CI = 7.91–17.77), 4.08 adult female tortoises/km 2 (95% CI = 2.72–6.11), and 2.59 adult male tortoises/km 2 (95% CI = 1.73–3.89). Estimated tortoise density and demographic composition collectively support a high potential for population growth. Our study provides an illustrative example of using SCR models to directly estimate spatially explicit local Desert Tortoise densities and demographic composition that can be used for long-term monitoring and comparisons with other demography plots to inform conservation.

California↗

Demography and behavior of polar bears summering on land in Alaska

Polar bears (Ursus maritimus) in the southern Beaufort Sea population (SB) are spending increased time on the coastal North Slope of Alaska between July and October (Gleason and Rode 2010). The duration spent on land by polar bears, satellite collared on the sea-ice in the spring, during the summer and fall has also increased (USGS, unpublished data; Figure 1). This change in polar bear ecology has relevance for human-bear interactions, subsistence harvest, prevalence of defense kills, and disturbance associated with existing land-based development [e.g., National Petroleum Reserve of Alaska (NPRA), Arctic National Wildlife Refuge (ANWR)], Native Alaskan communities, recreation (ANWR) and tourism (e.g., bear viewing in Kaktovik, AK). These activities have the potential to impact, in new ways, the status of the entire SB population. Concomitantly, the change in polar bear ecology will impact these human activities, and a base-line characterization of this phenomenon can better inform mitigation (e.g., industry permitting under the Endangered Species Act and Marine Mammal Protection Act). In this study we aim to characterize the demography, habitat-use, and aspects of foraging ecology and health of polar bears spending fall on land. The SB population is characterized by a divergent-sea ice ecology, where polar bears typically spend most of the year on the sea-ice, even as the pack ice retreats northward, away from the coast, to its minimal extent in September (Amstrup et al. 2008; Durner et al. 2009). From 2000 – 2005, using coastal aerial surveys, Schliebe et al. (2008) observed between 3.7 and 8% of polar bears from SB (~ 60 – 120 of 1526, Regher et al. 2006) on land during the autumn. Sighting probability was not estimated in these surveys, and therefore the numbers represent minimum numbers of bears on land. Our analysis of USGS data suggest an annual average of 15% (± 3%, SE) of polar bears satellite-tagged on the spring-time sea ice (total n = 18 of 124 satellite tags, 2003 – 2009) come to land during July – October. Based on these data, and an assumption that bears satellite-tagged on the spring time sea ice are representative of the entire SB population of independent bears, there would be an average of 230 bears on land each fall. In contrast to the SB population, in five of the world’s 19 polar bear populations (Obbard et al. 2010), polar bears spend significant periods of time on land (1 – 5 months) when ice completely melts. In these seasonal-ice populations (Amstrup et al. 2008), polar bears are largely in a hypophagic condition (e.g., Hobson et al. 2009), relying on fat stores from the spring hyperphagic season, when ringed seals (Phoca hispida) pup. In general, these seasonal-ice populations are demographically productive (Taylor et al. 2005), although recently an increase in the ice-free season has resulted in a population decline in western Hudson Bay (Stirling et al. 1999; Regehr et al. 2007). There have been measured declines in the body condition and productivity of polar bears in SB, and changes in these parameters have been linked to declining optimal ice habitat (e.g., Durner et al. 2009; Regehr et al. 2010). We do not understand the relationship between land-use and the overall status of the population. Individual polar bears that use land may have increased or decreased fitness, in comparison to polar bears that remain on ice in the autumn. This project, which focuses on the biology of animals that spend time on-shore, will help address this question. This project is funded by the Bureau of Ocean Energy Management (BOEM) under Agreement No. M09PG00025 and the USGS Outer Continental Shelf Program (OCS) for FY 2009-2014. Parts of this study are also funded by US Fish and Wildlife Service, Office of Marine Mammals Management; the Bureau of Land Management; and the North Slope Borough, Department of Wildlife Management. This report is comprehensive, describing results for achieving the overlap

Beaufort Sea, Chukchi Sea↗

Transcontinental mourning dove recovery

A Mourning Dove ( Zenaida macroura ) banded in New York has been reported shot in California. On 25 August 1969, near Palmyra (43 ° 00' N, 77 ° 10' W), New York Department of Environmental Conservation personnel placed U. S. Fish & Wildlife Service band 883-97279 on the leg of a hatching-year Mourning Dove of unknown sex. During the first weekend of the dove season in September 1970, Stan Solus (P.O. Box 594, Seiad Valley, California) recovered the band from a dove he shot in the Shasta Valley, Siskiyou County, California (41 ° 30' N, 122 ° 20' W). As Mr. Solus included the band with his reporting letter and, in response to my asking him for verification, reaffirmed his original information, the recovery has been accepted as authentic. I suggest this vagrancy may be explained by assuming that the inexperienced New York bird got emotionally involved with a western bird with which it shared winter quarters, perhaps in Mexico, and thus the following year ended up a flower child in California.

The Auk↗

Genetic analysis of harvest samples reveals population structure in a highly mobile generalist carnivore

Delineating wildlife population boundaries is important for effective population monitoring and management. The bobcat ( Lynx rufus ) is a highly mobile generalist carnivore that is ecologically and economically important. We sampled 1225 bobcats harvested in South Dakota, USA (2014–2019), of which 878 were retained to assess genetic diversity and infer population genetic structure using 17 microsatellite loci. We assigned individuals to genetic clusters ( K ) using spatial and nonspatial Bayesian clustering algorithms and quantified differentiation ( F ST and GST″ ) among clusters. We found support for population genetic structure at K = 2 and K = 4, with pairwise F ST and GST″ values indicating weak to moderate differentiation, respectively, among clusters. For K = 2, eastern and western clusters aligned closely with historical bobcat management units and were consistent with a longitudinal suture zone for bobcats previously identified in the Great Plains. We did not observe patterns of population genetic structure aligning with major rivers or highways. Genetic divergence observed at K = 4 aligned roughly with ecoregion breaks and may be associated with environmental gradients, but additional sampling with more precise locational data may be necessary to validate these patterns. Our findings reveal that cryptic population structure may occur in highly mobile and broadly distributed generalist carnivores, highlighting the importance of considering population structure when establishing population monitoring programs or harvest regulations. Our study further demonstrates that for elusive furbearers, harvest can provide an efficient, broad-scale sampling approach for genetic population assessments.

South Dakota↗