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Greater sage-grouse habitat of Nevada and northeastern California—Integrating space use, habitat selection, and survival indices to guide areas for habitat management

Executive Summary Greater sage-grouse populations ( Centrocercus urophasianus ; hereafter sage-grouse) are threatened by a suite of disturbances and anthropogenic factors that have contributed to a net loss of sagebrush-dominant shrub cover in recent decades. Declines in sage-grouse populations are largely linked to habitat loss across their range. A key component of conservation and land use planning efforts for sage-grouse involves the continued monitoring and modeling of habitat requirements and suitability across its range. The Bureau of Land Management (BLM) is addressing the management of sage-grouse habitats on BLM-authorized public lands throughout the western United States through a land use planning amendment and associated environmental impact statement (86 FR 66331). More than 25 percent of the range-wide distribution of sage-grouse is within Nevada and northeastern California, and information on sage-grouse distribution and habitat requirements is important to guide appropriate management decisions. Therefore, the BLM has identified the need for updated spatially explicit information on sage-grouse habitat in Nevada and northeastern California to guide the land use planning amendment and associated management decisions. To address this need, researchers with the U.S. Geological Survey, in close cooperation with multiple State and Federal resource agency partners, including BLM, Nevada Department of Wildlife (NDOW) and California Department of Fish and Wildlife (CDFW), sought to map sage-grouse distribution and produce example habitat designations in these states. Herein, we report results of our primary study objective, which was to map sage-grouse habitat and create example habitat management areas, based on more than a decade of location and survival data collected from marked sage-grouse across the study region coupled with lek count survey data managed by the NDOW and the CDFW. We expanded on previously developed methodology to incorporate information on habitat selection and survival during reproductive life stages and specific seasons with updated sage-grouse location and known fate datasets, while also including brood-rearing areas that are understood to be threatened and important for population persistence. We combined predictive habitat map surfaces for each life stage and season with updated information on current occupancy patterns to classify habitat based on its suitability and probability of occupancy. We carried out additional steps to delineate specific example habitat management areas, specifically (1) incorporated corridors connecting key nesting and brood-rearing habitat, (2) corrected outputs for pre-wildfire habitat conditions within areas burned in the last 16 years, and (3) masked out areas of anthropogenic development. Our methodological example of deriving habitat management areas was intended to help inform decisions by BLM and other land managers regarding conservation and management of sage-grouse. Associated data products in the form of habitat maps provide updated, detailed, and comprehensive information about the status of habitats and can be useful to partner agencies in their efforts to designate and rank habitats for this species of high conservation concern in Nevada and California, with full recognition that on-the-ground field data and local sources of information and expertise should be used in conjunction with inferences from these models.

California, Idaho, Nevada↗

Wildlife value orientation stability among South Dakota residents: Setting the stage for a longitudinal analysis

The concept of wildlife value orientations (WVOs) has been useful for understanding the diversity of public interests in wildlife management and has been shown to be a strong predictor of public attitudes towards a wide range of wildlife management actions and policies. WVOs consist of two predominant value orientations (domination and mutualism) defined by how people view their relationship with wildlife. WVO assessment, which analyzes response patterns on a series of scaled agree/disagree statements representing these two orientations, has led to the identification of four distinct types of people: a) utilitarian (high score on domination and low score on mutualism); (b) mutualist (low score on domination and high score on mutualism); (c) pluralist (high score on both WVO scales); and (d) distanced (low score on both WVO scales). The theoretical framework of WVOs is based on evidence that changing lifestyles arising from modernization contribute to a gradual shift away from domination toward mutualism. This theory suggests a longitudinal process of change that was tested in 2004 by cross-sectional analyses in 19 western states. More recent replications of WVO assessment in South Dakota in 2012 measured relatively similar proportions of WVO types (50% and 49% utilitarian, 15% and 16% mutualist, 29% and 25% pluralist, and 6% and 10% distanced in 2004 and 2012, respectively). Also, we identified similar proportions of WVO types and recreation participation comparing two counties with the largest urban populations (Minnehaha and Pennington) to the remainder of the state. Our results illustrate opportunities for continuing longitudinal analyses of WVO with an additional focus on within state changes.

Proceedings of the South Dakota Academy of Science↗

Status review of the Marbled Murrelet (Brachyramphus marmoratus) in Alaska and British Columbia

The Marbled Murrelet ( Brachyramphus marmoratus ) is a small, diving seabird inhabiting inshore waters of the Northeastern Pacific Ocean. This species feeds on small, schooling fishes and zooplankton, and nests primarily on the moss-covered branches of large, old-growth conifers, and also, in some parts of its range, on the ground. We reviewed existing information on this species to evaluate its current status in the northern part of its range—Alaska (U.S.) and British Columbia (Canada). Within the southern part of its range (Washington, Oregon, and California, U.S.), the Marbled Murrelet was listed as a threatened species under the Endangered Species Act (ESA) in 1993, and the U.S. Fish and Wildlife Service (USFWS) needed information on the species throughout its range for ESA deliberations. We compiled published information on the conservation status, population biology, foraging ecology, population genetics, population status and trends, demography, marine and nesting habitat characteristics, threats, and ongoing conservation efforts for Marbled Murrelets in Alaska and British Columbia. We conducted a new genetic study using samples from a segment of the range that had not been included in previous studies (Washington, Oregon) and additional nuclear intron and microsatellite markers. We also analyzed available at-sea survey data from several locations for trend. To understand the reasonableness of the empirical trend data, we developed demographic models incorporating stochasticity to discern what population trends were possible by chance. The genetic studies substantially confirmed previous findings on population structure in the Marbled Murrelet. Our present work finds three populations: (1) one comprising birds in the central and western Aleutian Islands; (2) one comprising birds in central California; and (3) one comprising birds within the center of the range from the eastern Aleutians to northern California. Our knowledge of genetic structure within this central population is limited and it requires additional study. Compiling available abundance information, we estimated that in the recent past, Marbled Murrelets in Alaska numbered on the order of 1 million birds. We were unable to generate a similar estimate for historical population size in British Columbia. Using trend information from at-sea surveys spanning a wide geographic range in Alaska, murrelet numbers declined significantly at five of eight trend sites at annual rates of -5.4 to -12.7 percent since the early 1990s. Applying these rates of decline to the historical population estimate, the current murrelet population in Alaska is projected to be on the order of 270,000 birds. This represents an overall population decline of about 70 percent during the past 25 years. In British Columbia, available trend data indicate that murrelet populations there have experienced similar declines. We updated a recent (2002) population estimate for British Columbia, concluding that there are now between 54,000 and 92,000 murrelets in British Columbia. The rates of decline we observed are within, but at the high end of, a range of rates expected by chance. Given that declines were estimated for sites over essentially the entire northern range of the species, there is cause for concern about the species’ status. In their marine habitats, Marbled Murrelets overlap with salmon (Oncorhynchus sp.) gillnetting operations in British Columbia and in Alaska (especially in Prince William Sound and Southeast Alaska), and annual bycatch mortality is likely in the low thousands per year, although bycatch rates are difficult to measure. The species’ inshore distribution coincides with high levels of vessel traffic and makes them especially vulnerable to both chronic oil pollution and to catastrophic spills (e.g., the 1989 Exxon Valdez oil spill [EVOS] in south-central Alaska, which is estimated to have killed 12,000 to 15,000 murrelets). In their forested nesting habitats, Marbled Murrelets have lost about 15 percent of their suitable nesting habitat in Southeast Alaska, and 33 to 49 percent in British Columbia, from industrial-scale logging within the past half century. Increased predation also may be a threat to murrelet populations, related to fragmentation and edge effects from logging and development, and recent population increases observed for some important murrelet predators, including Bald Eagles ( Haliaeetus leucocephalus ), Common Ravens ( Corvus corax ), and Steller’s Jays ( Cyanocitta stelleri ). Nesting habitat losses cannot explain the declines observed in areas where industrial logging has not occurred on a large scale (e.g., Prince William Sound) or at all (Glacier Bay). The apparent change in population size and rates of decline reported for the Marbled Murrelet are large, and we therefore considered alternative explanations and precedents for changes of similar magnitude in other marine wildlife populations in the Northeastern Pacific Ocean. The declines are likely real, and related to combined and cumulative effects from climate-related changes in the marine ecosystem (most likely the 1977 regime shift) and human activities (logging, gillnet bycatch, oil pollution). Much uncertainty about the decline could be alleviated by continuing to repeat boat surveys in Prince William Sound and lower Cook Inlet, and by repeating the boat survey of Southeast Alaska that was conducted in 1994. This survey used a statistically sound design and covered the region that has been and likely remains the center of the species’ abundance. Important questions remain to be addressed about methods for measuring population status and change, adult mortality (major sources, density dependence, seasonal concordance), and the movements of wintering populations.

Alaska, British Columbia↗

Fishes in paleochannels of the Lower Mississippi River alluvial valley: A national treasure

Fluvial geomorphology of the alluvial valley of the Lower Mississippi River reveals a fascinating history. A prominent occupant of the valley was the Ohio River, estimated to have flowed 25,000 years ago over western Tennessee and Mississippi to join the Mississippi River north of Baton Rouge, Louisiana, 750–800 km south of the present confluence. Over time, shifts in the Mississippi and Ohio rivers toward their contemporary positions have left a legacy of abandoned paleochannels supportive of unique fish assemblages. Relative to channels abandoned in the last 500 years, paleochannels exhibit harsher environmental conditions characteristic of hypereutrophic lakes and support tolerant fish assemblages. Considering their ecological, geological, and historical importance, coupled with their primordial scenery, the hundreds of paleochannels in the valley represent a national treasure. Altogether, these waterscapes are endangered by human activities and would benefit from the conservation attention afforded to our national parks and wildlife refuges.

Lower Mississippi River valley↗

Trade-offs between utility-scale solar development and ungulates on western rangelands

Utility-scale solar energy (USSE) has become an efficient and cost-effective form of renewable energy, with an expanding footprint into rangelands that provide important habitat for many wild ungulate populations. Using global positioning system data collected before and after construction, we documented the potential impacts of USSE on pronghorn ( Antilocapra americana ), including direct habitat loss, indirect habitat loss, and barrier effects to both resident and migratory population segments. Our case study highlights the challenges that USSE poses to ungulate conservation, including (1) impermeable security fencing that blocks access to and reduces connectivity between formerly available habitats, and (2) the lack of guidelines for minimizing USSE impacts on ungulates. Improved siting and ungulate-specific best management practices would help to minimize habitat loss and retain landscape connectivity. Ungulate biodiversity and ecosystem services (for example, services provided by long-distance migratory species) in arid rangelands are important considerations when balancing the global benefits of renewable energy with local wildlife impacts.

Wyoming↗

Examining the occupancy–density relationship for a low-density carnivore

The challenges associated with monitoring low-density carnivores across large landscapes have limited the ability to implement and evaluate conservation and management strategies for such species. Non-invasive sampling techniques and advanced statistical approaches have alleviated some of these challenges and can even allow for spatially explicit estimates of density, one of the most valuable wildlife monitoring tools. For some species, individual identification comes at no cost when unique attributes (e.g. pelage patterns) can be discerned with remote cameras, while other species require viable genetic material and expensive laboratory processing for individual assignment. Prohibitive costs may still force monitoring efforts to use species distribution or occupancy as a surrogate for density, which may not be appropriate under many conditions. Here, we used a large-scale monitoring study of fisher Pekania pennanti to evaluate the effectiveness of occupancy as an approximation to density, particularly for informing harvest management decisions. We combined remote cameras with baited hair snares during 2013–2015 to sample across a 70 096-km 2 region of western New York, USA. We fit occupancy and Royle–Nichols models to species detection–non-detection data collected by cameras, and spatial capture–recapture (SCR) models to individual encounter data obtained by genotyped hair samples. Variation in the state variables within 15-km 2 grid cells was modelled as a function of landscape attributes known to influence fisher distribution. We found a close relationship between grid cell estimates of fisher state variables from the models using detection–non-detection data and those from the SCR model, likely due to informative spatial covariates across a large landscape extent and a grid cell resolution that worked well with the movement ecology of the species. Fisher occupancy and density were both positively associated with the proportion of coniferous-mixed forest and negatively associated with road density. As a result, spatially explicit management recommendations for fisher were similar across models, though relative variation was dampened for the detection–non-detection data. Synthesis and applications . Our work provides empirical evidence that models using detection–non-detection data can make similar inferences regarding relative spatial variation of the focal population to models using more expensive individual encounters when the selected spatial grain approximates or is marginally smaller than home range size. When occupancy alone is chosen as a cost-effective state variable for monitoring, simulation and sensitivity analyses should be used to understand how inferences from detection–non-detection data will be affected by aspects of study design and species ecology.

Journal of Applied Ecology↗

Geographic drivers of mercury entry into aquatic food webs revealed by mercury stable isotopes in dragonfly larvae

Atmospheric mercury (Hg) emissions and subsequent transport and deposition are major concerns within protected lands, including national parks, where Hg can bioaccumulate to levels detrimental to human and wildlife health. Despite this risk to biological resources, there is limited understanding of the relative importance of different Hg sources and delivery pathways within protected regions. Here, we used Hg stable isotope measurements of a single aquatic bioindicator, dragonfly larvae, to determine if these tracers can resolve spatial patterns in Hg sources, delivery mechanisms, and aquatic cycling at a national scale. Mercury isotope values in dragonfly tissues varied among habitat types (e.g., lentic, lotic, wetland) and geographic location. Photochemical-derived isotope fractionation was habitat-dependent and influenced by factors that impact light penetration directly or indirectly, including dissolved organic matter, canopy cover, and total phosphorus. Strong patterns for Δ 200 Hg emerged in the western US, highlighting the relative importance of wet deposition sources in arid regions in contrast to dry deposition delivery in forested regions. This work highlights the efficacy of dragonfly larvae as biosentinels for Hg isotope studies due to their ubiquity across freshwater ecosystems and ability to track variation in Hg sources and processing attributed to small-scale habitat and large-scale regional patterns.

Environmental Science and Technology↗

Spatial differences in hydrologic characteristics and water chemistry of a temperate coastal plain peatland: The Great Dismal Swamp, USA

Spatial differences in hydrologic processes and geochemistry across forested peatlands control the response of the wetland-community species and resiliency to natural and anthropogenic disturbances. Knowing these controls is essential to effectively managing peatlands as resilient wetland habitats. The Great Dismal Swamp is a 45,325 hectare peatland in the Atlantic Coastal Plain of Virginia and North Carolina, USA, managed by the U.S. Fish and Wildlife Service. The existing forest-species distribution is a product of timber harvesting, hydrologic alteration by canal and road construction, and wildfires. Since 2009, studies of hydrologic and geochemical controls have expanded knowledge of groundwater flow paths, water chemistry, response to precipitation events, and characteristics of the peat. Dominant hydrologic and geochemical controls include (1) the gradual slope in land surface, (2) vertical differences in the hydraulic characteristics of the peat, (3) the proximity of lateral groundwater and small stream inflows from uplands, (4) the presence of an extensive canal and road network, and (5) small, adjustable-height dams on the canals. Although upland sources provide some surface water and lateral groundwater inflow to western parts of the swamp, direct groundwater recharge by precipitation is the major source of water throughout the swamp and the only source in many areas. Additionally, the proximity and type of upland water sources affect water levels and nutrient concentrations in canal water and groundwater. Where streams are a dominant upland source, variations in groundwater levels and nutrient concentrations are greater than where recharge by precipitation is the primary water source. Where upland groundwater is a dominant source, water levels are more stable. Because the species distribution of forest communities in the Swamp is strongly influenced by these controls, swamp managers are beginning to incorporate this knowledge into forest, water, and fire management plans.

North Carolina, Virginia↗

Winter use of douglas-fir forests by Blue Grouse in Colorado

We studied winter use of Douglas-fir ( Pseudotsuga menziesii ) forests by blue grouse ( Dendragapus obscurus ) from 1981 to 1983 at 2 study areas in northcentral Colorado. Comparisons of used and available stands indicated grouse were concentrated spatially, but there were no consistent differences related to basal area of tree species, conifer stem densities, and topography that were common to both areas. Blue grouse used dense (2,000 stems/ha) second growth (40-75 yr old), open to dense (200-1,900 stems/ha) mature (100-200 yr old), and open (<100 stems/ha) old-growth (200-600 yr old) stands. Stands used were composed of Douglas-fir alone or in association with subalpine fir ( Abies lasiocarpa ), Engelmann spruce ( Picea engelmannii ), lodgepole pine ( Pinus contorta ), limber pine ( P. flexilis ), Rocky Mountain juniper ( Juniperus scopulorum ), and quaking aspen ( Populus tremuloides ). Grouse used stands on mesic northern and eastern aspects, on xeric southern and western aspects, at elevations of 2,530-2,960 m, and on slopes of 1-45°. Preferential use (P < 0.05) of Douglas-fir trees occurred within stands that had an abundance of limber pine (use = availability) and subalpine fir (use < availability). Large Douglas-fir (20-90 cm dbh) were preferred (P < 0.05) within stands that had an abundance of smaller (≤15 cm dbh) trees. Both sexes used similar trees.

Colorado↗

Using videography to quantify landscape-level availability of habitat for grazers: An example with emperor geese in western Alaska

We present a videography approach to estimating large-scale availability of grazing lawns, an important food resource used by broods of emperor geese (Chen canagica) on the Yukon-Kuskokwim Delta, Alaska. Sampling was conducted in 1999, 2003, and 2004 at six locations that encompassed ???40% of the North American population of breeding emperor geese. We conducted ground truthing in 2003 and 2004 to estimate how accurately grazing lawn was classified. Overall, classification accuracy for grazing lawn and non-grazing lawn habitat was greater than 91%. Availability of grazing lawns was stable among years, but varied both among and within locations. Some locations have up to three times as much available grazing lawn, which in combination with densities of geese, likely represents dramatic variation in per capita food availability. Our results suggest that videography is a useful way to sample quickly across a large region and accurately identify fine-scale habitats. We present its use for estimating the availability of a preferred food resource for emperor geese, but the method could be applied to many other cases.

Arctic↗

Proceedings of a Coastal and Marine Spatial Planning Workshop for the Western United States

Recent scientific and ocean policy assessments demonstrate that a fundamental change in our current management system is required to achieve the long-term health of our ocean, coasts, and Great Lakes in order to sustain the services and benefits they provide to society. The present (2011) species- and sector-centric way we manage these ecosystems cannot account properly for cumulative effects, sustaining multiple ecosystem services, and holistically and explicitly evaluating the tradeoffs associated with proposed alternative and multiple human uses. A transition to an ecosystem-based approach to management and conservation of coastal and marine resources is needed. Competing uses and activities such as commerce, recreation, cultural practices, energy development, conservation, and national security are increasing pressure for new and expanded resource usage in coastal marine ecosystems. Current management efforts use a sector-by-sector approach that mostly focuses on a limited range of tools and outcomes [for example, oil and gas leases, fishery management plans, and Marine Protected Areas (MPAs)]. A comprehensive, ecosystem-based, and proactive approach to planning and managing these uses and activities is needed. Further, scientific understanding and information are essential to achieve an integrated decision-making process that includes knowledge of ecosystem services, existing and possible future conditions, and potential consequences of natural and anthropogenic events. Because no single government agency has executive authority for coastal or ocean resources, conflicting objectives around competing uses abound. In recent years, regional- and state-level initiatives in Coastal and Marine Spatial Planning (CMSP) have emerged to coordinate management activities. In some respects, the components and steps of the overall CMSP process are similar to how existing ocean resources are regulated and managed. For example, the Bureau of Ocean Energy Management Regulation and Enforcement (BOEMRE) uses spatial planning exercises in State Renewable Energy Task Force meetings to identify competing and conflicting ocean uses, and to delineate areas suitable for renewable energy development. Similarly terrestrial areas such as in national parks and national wildlife refuges managed by the Department of the Interior (DOI) prepare management plans for preservation and restoration of species and habitats of concern, some of which are protected by law. The analogy to CMSP is clear - multiple users and multiple expectations, resulting in the requirement to establish spatial plans for management of different resources and different ecosystem services. A two-day workshop on December 1-2, 2010, was convened for DOI representatives and several key non-DOI participants with roles in CMSP as a step toward clarifying national perspectives and consequences of the National Ocean Policy for the West (appendix 1). Discussions helped to develop an understanding of CMSP from the federal perspective and to identify regional priorities. An overarching theme was to promote a better understanding of current and future science needs. The workshop format included briefings by key Federal agencies on their understanding of the national focus followed by discussion of regional issues, including the needs for scientific information and coordination. The workshop also explored potential science contributions by Federal agencies and others; utilizing current capabilities, data, and information systems; and provided a foundation for possible future regional workshops focusing in turn on the West Coast Region (California, Oregon, and Washington), Pacific Islands (sometimes referred to as Oceania) and Alaska. Participants were asked to share information in the following areas, recognizing that the purpose would be to learn more about the national perspective (see appendixes 2-4): Explore how the Western U.S. (Alaska, Pacific Islands, and West Coast Region) migh

Open-File Report↗

Differential plague susceptibility in species and populations of prairie dogs

Laboratory trials conducted over the past decade at U.S. Geological Survey National Wildlife Health Center indicate that wild populations of prairie dogs ( Cynomys spp.) display different degrees of susceptibility to experimental challenge with fully virulent Yersinia pestis , the causative agent of plague. We evaluated patterns in prairie dog susceptibility to plague to determine whether the historical occurrence of plague at location of capture was related to survival times of prairie dogs challenged with Y. pestis . We found that black-tailed prairie dogs ( Cynomys ludovicianus ) from South Dakota (captured prior to the detection of plague in the state), Gunnison's prairie dogs ( Cynomys gunnisoni ) from Colorado, and Utah prairie dogs ( Cynomys parvidens ) from Utah were most susceptible to plague. Though the susceptibility of black-tailed prairie dogs in South Dakota compared with western locations supports our hypothesis regarding historical exposure, both Colorado and Utah prairie dogs have a long history of exposure to plague. It is possible that for these populations, genetic isolation/bottle necks have made them more susceptible to plague outbreaks.

Colorado, South Dakota, Utah↗

A synthesis of aquatic science for management of Lakes Mead and Mohave

Lakes Mead and Mohave, which are the centerpieces of Lake Mead National Recreation Area, provide many significant benefits that have made the modern development of the Southwestern United States possible. Lake Mead is the largest reservoir by volume in the nation and it supplies critical storage of water supplies for more than 25 million people in three Western States (California, Arizona, and Nevada). Storage within Lake Mead supplies drinking water and the hydropower to provide electricity for major cities including Las Vegas, Phoenix, Los Angeles, Tucson, and San Diego, and irrigation of more than 2.5 million acres of croplands. Lake Mead is arguably the most important reservoir in the nation because of its size and the services it delivers to the Western United States. This Circular includes seven chapters. Chapter 1 provides a short summary of the overall findings and management implications for Lakes Mead and Mohave that can be used to guide the reader through the rest of the Circular. Chapter 2 introduces the environmental setting and characteristics of Lakes Mead and Mohave and provides a brief management context of the lakes within the Colorado River system as well as overviews of the geological bedrock and sediment accumulations of the lakes. Chapter 3 contains summaries of the operational and hydrologic characteristics of Lakes Mead and Mohave. Chapter 4 provides information on water quality, including discussion on the monitoring of contaminants and sediments within the reservoirs. Chapter 5 describes aquatic biota and wildlife, including food-web dynamics, plankton, invertebrates, fish, aquatic birds, and aquatic vegetation. Chapter 6 outlines threats and stressors to the health of Lake Mead aquatic ecosystems that include a range of environmental contaminants, invasive species, and climate change. Chapter 7 provides a more detailed summary of overall findings that are presented in Chapter 1; and it contains a more detailed discussion on associated management implications, additional research, and monitoring needs.

Arizona, Nevada↗

Compilation of historical water-quality data for selected springs in Texas, by ecoregion

Springs are important hydrologic features in Texas. A database of about 2,000 historically documented springs and available spring-flow measurements previously has been compiled and published, but water-quality data remain scattered in published sources. This report by the U.S. Geological Survey, in cooperation with the Texas Parks and Wildlife Department, documents the compilation of data for 232 springs in Texas on the basis of a set of criteria and the development of a water-quality database for the selected springs. The selection of springs for compilation of historical water-quality data in Texas was made using existing digital and hard-copy data, responses to mailed surveys, selection criteria established by various stakeholders, geographic information systems, and digital database queries. Most springs were selected by computing the highest mean spring flows for each Texas level III ecoregion. A brief assessment of the water-quality data for springs in Texas shows that few data are available in the Arizona/New Mexico Mountains, High Plains, East Central Texas Plains, Western Gulf Coastal Plain, and South Central Plains ecoregions. Water-quality data are more abundant for the Chihuahuan Deserts, Edwards Plateau, and Texas Blackland Prairies ecoregions. Selected constituent concentrations in Texas springs, including silica, calcium, magnesium, sodium, potassium, strontium, sulfate, chloride, fluoride, nitrate (nitrogen), dissolved solids, and hardness (as calcium carbonate) are comparatively high in the Chihuahuan Deserts, Southwestern Tablelands, Central Great Plains, and Cross Timbers ecoregions, mostly as a result of subsurface geology. Comparatively low concentrations of selected constituents in Texas springs are associated with the Arizona/New Mexico Mountains, Southern Texas Plains, East Central Texas Plains, and South Central Plains ecoregions.

Texas↗

Organochlorine residues and shell characteristics of roseate tern eggs, 1981

Roseate Terns ( Sterna dougallii ) breed in two areas in the Western Hemisphere: in northeastern North America between Long Island, New York, and Nova Scotia, and around the Caribbean Sea from the Florida Keys and the Bahamas to the Netherlands Lesser Antilles (Bent 1921, Bond 1956, Nisbet 1980). Both populations are small, and concern recently has been expressed about their status (Nisbet 1980, Buckley and Buckley 1981). The northeastern population has decreased from a peak of about 8500 pairs in the 1940s to between 2500 and 3000 pairs in 1978-1982, and has become largely concentrated into 4 colonies (Nisbet 1980). The Caribbean population has been affected by egg collecting and other forms of human disturbance in its main stronghold in the U.S. Virgin Islands (U.S. Virgin Islands Bureau of Fish and Wildlife 1976-1979, Norton 1980, 1981). One factor which may have affected the northeastern population is chemical pollution. Hays and Risebrough (1972) reported high levels of polychlorinated biphenyls (PCBs) and l,l-dichloro-2,2-bis(p-chloro phenyl) ethylene (DDE) in 3 Roseate Tern chicks found with congenital abnormalities at Great Gull Island, New York, in 1970. High levels of PCBs were also found in chicks found dead at Bird Island, Massachusetts, in 1970 (Nisbet 1981). A close relative, the Common Tern ( S. hirundo ), is relatively sensitive to the effects of DDE; elevated residues of DDE in eggs are associated with eggshell-thinning (Switzer et al. 1973), reduction in the porosity of eggshells, and embryonic mortality (Fox 1976). The present paper reports the results of a survey of organochlorine residues in Roseate Terns in 1981. The main objectives of the survey were to determine the levels of organochlorine contamination in eggs of the Roseate Tern in its major colonies and to investigate whether changes in eggshell characteristics similar to those reported by Fox (1976) may have occurred in this species. A secondary objective was to determine geographic patterns of organochlorine contamination within the northeastern U.S. population of Roseate Terns and to compare them with patterns observed in Common Terns

Connecticut, Massachusetts, New York↗

Basis function models for animal movement

Advances in satellite-based data collection techniques have served as a catalyst for new statistical methodology to analyze these data. In wildlife ecological studies, satellite-based data and methodology have provided a wealth of information about animal space use and the investigation of individual-based animal–environment relationships. With the technology for data collection improving dramatically over time, we are left with massive archives of historical animal telemetry data of varying quality. While many contemporary statistical approaches for inferring movement behavior are specified in discrete time, we develop a flexible continuous-time stochastic integral equation framework that is amenable to reduced-rank second-order covariance parameterizations. We demonstrate how the associated first-order basis functions can be constructed to mimic behavioral characteristics in realistic trajectory processes using telemetry data from mule deer and mountain lion individuals in western North America. Our approach is parallelizable and provides inference for heterogenous trajectories using nonstationary spatial modeling techniques that are feasible for large telemetry datasets. Supplementary materials for this article are available online.

Journal of the American Statistical Association↗

Synthesizing beaver coexistence messaging with the capability, opportunity, and motivation behavior model

In the western United States, conservation practitioners are increasingly working with private landowners to restore habitat for North American beavers ( Castor canadensis ) and to use nonlethal mitigation techniques when beavers damage crops and infrastructure. Effective communication is critical for promoting coexistence, yet on-the-ground conservation messaging seldom links to behavior change theories. We conducted 23 semistructured interviews with practitioners to examine the approaches they used to communicate with private landowners about beaver coexistence in Oregon (USA). Although we did not set out to interview practitioners about their messages targeting capability, opportunity, and motivation (elements of the COM-B model of behavior), we used the COM-B model to synthesize the primary dimensions of practitioners’ complex, real-world communication about human–wildlife coexistence. We found that practitioners used multiple communication channels to listen for and respond to landowners’ capability, opportunity, and motivation. They tailored messages to affirm and enhance knowledge and skills, identify and address site-specific and social contexts, and align beaver impacts with landowner goals. Our findings suggest the COM-B model can go beyond guiding audience analysis and behavioral intervention design to help practitioners tailor real-time communication with landowners about coexistence behavior. The model, based on our use of COM-B to analyze existing communication, could be used to provide practitioners with techniques for making sense of their existing communication efforts, for identifying gaps, and for dynamically tailoring their communication.

Oregon↗

Wildfire and the ecological niche: Diminishing habitat suitability for an indicator species within semi‐arid ecosystems

Globally accelerating frequency and extent of wildfire threatens the persistence of specialist wildlife species through direct loss of habitat and indirect facilitation of exotic invasive species. Habitat specialists may be especially prone to rapidly changing environmental conditions because their ability to adapt lags behind the rate of habitat alteration. As a result, these populations may become increasingly susceptible to ecological traps by returning to suboptimal breeding habitats that were dramatically altered by disturbance. We demonstrate a multistage modeling approach that integrates habitat selection and survival during the key nesting life‐stage of a bird species of high conservation concern, the greater sage‐grouse ( Centrocercus urophasianus ; hereafter, sage‐grouse). We applied these spatially explicit models to a spatiotemporally robust dataset of sage‐grouse nest locations and fates across wildfire‐altered sagebrush ecosystems of the Great Basin ecoregion, western United States. Female sage‐grouse exhibited intricate habitat selection patterns that varied across regional gradients of ecological productivity among sagebrush communities, but often selected nest sites that disproportionately resulted in nest failure. For example, 23% of nests occurred in wildfire‐affected habitats characterized by reduced sagebrush cover and greater composition of invasive annual grasses. We found survival of nests was negatively associated with wildfire‐affected areas, but positively associated with higher elevations with increased ruggedness and overall shrub cover. Strong site fidelity likely drove sage‐grouse to continue nesting in habitats degraded by wildfire. Hence, increasing frequency and extent of wildfire may contribute disproportionately to reduced reproductive success by creating ecological traps that act as population sinks. Identifying such habitat mismatches between selection and survival facilitates deeper understanding of the mechanisms driving reduced geographic niche space and population decline at broad spatiotemporal scales, while guiding management actions to areas that would be most beneficial to the species.

Global Change Biology↗