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At least 559 records · Page 31Linked to original sources

Atlantic Seaduck Project

Atlantic Seaduck Project is being conducted to learn more about the breeding and moulting areas of seaducks in northern Canada and more about their feeding ecology on wintering areas, especially Chesapeake Bay. Satellite telemetry is being used to track surf scoters wintering in Chesapeake Bay, Maryland and black scoters on migrational staging areas in New Brunswick, Canada to breeding and moulting areas in northern Canada. Various techniques used to capture the scoters included mist netting, night-lighting, and net capture guns. All captured ducks were transported to a veterinary hospital where surgery was conducted following general anaesthesia procedures. A PTT100 transmitter (39 g) manufactured by Microwave, Inc., Columbia, Maryland was implanted into the duck?s abdominal cavity with an external (percutaneous) antenna. Eight of the surf scoters from Chesapeake Bay successfully migrated to possible breeding areas in Canada and all 13 of the black scoters migrated to suspected breeding areas. Ten of the 11 black scoter males migrated to James Bay presumably for moulting. Updated information from the ARGOS Systems aboard the NOAA satellites on scoter movements was made accessible on the Patuxent Website. Habitat cover types of locations using GIS (Geographical Information Systems) and aerial photographs (in conjunction with remote sensing software) are currently being analyzed to build thematic maps with varying cosmetic layer applications. Many factors related to human population increases have been implicated in causing changes in the distribution and abundance of wintering seaducks. Analyses of the gullet (oesophagus and proventriculus) and the gizzard of seaducks are currently being conducted to determine if changes from historical data have occurred. Scoters in the Bay feed predominantly on the hooked mussel and several species of clams. The long-tailed duck appears to select the gem clam in greater amounts than other seaducks, but exhibits a diverse diet of other mollusks and crustaceans. Seaduck food habits in the Maritimes are decidedly different, where all three species of scoters feed extensively on the blue mussel. Understanding the feeding ecology of seaducks in wintering areas such as the Chesapeake Bay and the Maritimes will provide managers with a better understanding of the changes in the distribution and abundance of these ducks. Future studies will attempt to determine the effects of experimental diets varying in protein and energy levels on the physiology and behaviour of captive seaducks. An attempt will be made to determine if seaducks exhibit an endogenous rhythm in regard to body weight and condition during the winter. Foraging energetics in relation to different food sources found in the Chesapeake Bay will be measured in two large aquariums (dive tanks) with scoters and long-tailed ducks. The combined studies being conducted in the Atlantic Seaduck Project will greatly aid the conservation effort for seaducks presently being conducted throughout the world.

Book chapter↗

Fifty-fifth Christmas Bird Count. 159. Ocean City, Md

The distribution of dynamic pressure behind a Harris' hawk's wing was sampled using a wake rake consisting of 15 pitot tubes and one static tube. The hawk was holding on to a perch, but at an air speed and gliding angle at which it was capable of gliding. The perch was instrumented, so that the lift developed by the wing was known and the lift coefficient could be calculated. The mean of 92 estimates of profile drag coefficient was 0.0207, with standard deviation 0.0079. Lift coefficients ranged from 0.51 to 1.08. Reynolds numbers were nearly all in the range 143000-194000. The estimates of profile drag coefficient were reconcilable with previous estimates of the wing profile drag of the same bird, obtained by the subtractive method, and also with values predicted by the `Airfoil-ii? program for designing aerofoils, based on a digitized wing profile from the ulnar region of the wing. The thickness of the wake suggested that the boundary layer was mostly or fully turbulent in most observations and separated in some, possibly as an active means of creating drag for control purposes. It appears that the bird could momentarily either increase or decrease the profile drag of specific parts of the wing, by active changes of shape, and it appeared to use the carpo-metacarpal region especially for such control movements. Further investigation in a low turbulence wind tunnel would help to resolve doubts about the possible influence of airstream turbulence on the behaviour of the boundary layer.

Journal of Experimental Biology↗

Fifty-fifth Christmas Bird Count. 159. Ocean City, Md

The distribution of dynamic pressure behind a Harris' hawk's wing was sampled using a wake rake consisting of 15 pitot tubes and one static tube. The hawk was holding on to a perch, but at an air speed and gliding angle at which it was capable of gliding. The perch was instrumented, so that the lift developed by the wing was known and the lift coefficient could be calculated. The mean of 92 estimates of profile drag coefficient was 0.0207, with standard deviation 0.0079. Lift coefficients ranged from 0.51 to 1.08. Reynolds numbers were nearly all in the range 143000-194000. The estimates of profile drag coefficient were reconcilable with previous estimates of the wing profile drag of the same bird, obtained by the subtractive method, and also with values predicted by the ?Airfoil-ii? program for designing aerofoils, based on a digitized wing profile from the ulnar region of the wing. The thickness of the wake suggested that the boundary layer was mostly or fully turbulent in most observations and separated in some, possibly as an active means of creating drag for control purposes. It appears that the bird could momentarily either increase or decrease the profile drag of specific parts of the wing, by active changes of shape, and it appeared to use the carpo-metacarpal region especially for such control movements. Further investigation in a low turbulence wind tunnel would help to resolve doubts about the possible influence of airstream turbulence on the behaviour of the boundary layer.

Audubon Field Notes↗

Importance of sampling design and analysis in animal population studies: a comment on Sergio et al

1. The use of predators as indicators and umbrellas in conservation has been criticized. In the Trentino region, Sergio et al. (2006; hereafter SEA) counted almost twice as many bird species in quadrats located in raptor territories than in controls. However, SEA detected astonishingly few species. We used contemporary Swiss Breeding Bird Survey data from an adjacent region and a novel statistical model that corrects for overlooked species to estimate the expected number of bird species per quadrat in that region. 2. There are two anomalies in SEA which render their results ambiguous. First, SEA detected on average only 6.8 species, whereas a value of 32 might be expected. Hence, they probably overlooked almost 80% of all species. Secondly, the precision of their mean species counts was greater in two-thirds of cases than in the unlikely case that all quadrats harboured exactly the same number of equally detectable species. This suggests that they detected consistently only a biased, unrepresentative subset of species. 3. Conceptually, expected species counts are the product of true species number and species detectability p. Plenty of factors may affect p, including date, hour, observer, previous knowledge of a site and mobbing behaviour of passerines in the presence of predators. Such differences in p between raptor and control quadrats could have easily created the observed effects. Without a method that corrects for such biases, or without quantitative evidence that species detectability was indeed similar between raptor and control quadrats, the meaning of SEA's counts is hard to evaluate. Therefore, the evidence presented by SEA in favour of raptors as indicator species for enhanced levels of biodiversity remains inconclusive. 4. Synthesis and application. Ecologists should pay greater attention to sampling design and analysis in animal population estimation. Species richness estimation means sampling a community. Samples should be representative for the community studied and the sampling fraction among communities compared should be the same on average, otherwise formal estimation approaches must be applied to avoid misleading inference.

Journal of Applied Ecology↗

EARTHQUAKE PERFORMANCE OF A BRIDGE DECK AND ABUTMENT.

During the 24 April 1984 Morgan Hill Earthquake (M equals 6. 1), 15 channels of acceleration records were obtained at the site of the I-280-680/US 101 interchange 12 km west of the epicenter. These records include free field measurements as well as the acceleration response at one of the supporting column bases, and at three locations in one of the spans of the three-span continuous post-tensioned box-girder deck. The purpose of this paper is to review the performance of this bridge deck and its abutment through the study of these records. The objective in extensively instrumenting a bridge deck or any structure is to obtain relevant response data to study its behaviour during strong motion events and ultimately extrapolate conclusions for improved design.

Conference Paper↗

Akermanite: phase transitions in heat capacity and thermal expansion, and revised thermodynamic data.

A small but sharp anomaly in the heat capacity of akermanite at 357.9 K, and a discontinuity in its thermal expansion at 693 K, as determined by XRD, have been found. The enthalpy and entropy assigned to the heat-capacity anomaly, for the purpose of tabulation, are 679 J/mol and 1.9 J/(mol.K), respectively. They were determined from the difference between the measured values of the heat capacity in the T interval 320-365 K and that obtained from an equation which fits the heat-capacity and heat-content data for akermanite from 290 to 1731 K. Heat-capacity measurements are reported for the T range from 9 to 995 K. The entropy and enthalpy of formation of akermanite at 298.15 K and 1 bar are 212.5 + or - 0.4 J/(mol.K) and -3864.5 + or - 4.0 kJ/mol, respectively. Weak satellite reflections have been observed in hk0 single-crystal X-ray precession photographs and electron-diffraction patterns of this material at room T. With in situ heating by TEM, the satellite reflections decreased significantly in intensity above 358 K and disappeared at about 580 K and, on cooling, reappeared. These observations suggest that the anomalies in the thermal behaviour of akermanite are associated with local displacements of Ca ions from the mirror plane (space group P421m) and accompanying distortion of the MgSi2O7 framework.-L.C.C.

Canadian Mineralogist↗

Investigation of aquifer-system compaction in the Hueco basin, El Paso, Texas, USA

The Pleistocene geologic history of the Rio Grande valley in the Hueco basin included a cycle of sediment erosion and re-aggradation, resulting in unconformable stratification of sediment of contrasting compressibility and stress history. Since the 1950s large groundwater withdrawals have resulted in significant water-level declines and associated land subsidence. Knowledge of the magnitude and variation of specific storage is needed for developing predictive models of subsidence and groundwater flow simulations. Analyses of piezometric and extensometric data in the form of stress-strain diagrams from a 16 month period yield in situ measurements of aquifer-system compressibility across two discrete aquifer intervals. The linear elastic behaviour of the deeper interval indicates over-consolidation of basin deposits, probably resulting from deeper burial depth before the middle Pleistocene. By contrast, the shallow aquifer system displays an inelastic component, suggesting pre-consolidation stress not significantly greater than current effective stress levels for a sequence of late Pleistocene clay. Harmonic analyses of the piezometric response to earth tides in two water-level piezometers provide an independent estimate of specific storage of aquifer sands.

Conference Paper↗

Needle twins and right-angled twins in minerals: comparison between experiment and theory

Transformation twinning in minerals forms isolated twin walls, intesecting walls with corner junctions, and wedge-shaped twins as elements of hierarchical patterns. When cut perpendicular to the twin walls, the twins have characteristic shapes, right-angled and needle-shaped wall traces, which can be observed by transmission electron microscopy or by optical microscopy. Theoretical geometries of wall shapes recently derived for strain-related systems should hold for most displacive and order-disorder type phase transitions: 1) right-angled twins show curved junctions; 2) needle-shaped twins contain flat wall segments near the needle tip if the elastic behaviour of the mineral is dominated by its anisotroyp; 3) additional bending forces and pinning effects lead to curved walls near the junction that make the needle tip appear more blunt. Bent right-angled twins were analyzed in Gd2(MoO4)3. Linear needle tips were found in WO3, [N(CH3)4]2.ZnBr4 CrAl, BiVO4, GdBa2Cu3O7, and PbZrO. Parabolic tips occur in K2Ba(NO2)4, and GeTe whereas exponential curvatures appear in BaTiO3, KSCN, Pb3(PO4)2, CaTiO3, alkali feldspars, YBa2Cu3O7, and MnAl. The size and shape of the twin microstructure relates to its formation during the phase transition and the subsequent annealing history. The mobility of the twin walls after formation depends not only on the thermal activation but also on the structure of the wall, which may be pinned to impurities on a favorable structural site. Depinnign energies are often large compared with thermal energies for diffusion. This leads to kinetic time scales for twin coarsening that are comparable to geological time scales. Therefore, transformation twins that exhibit needle domains not only indicate that the mineral underwent a structural phase transition but also contain information about its subsequent geological history.

American Mineralogist↗

Estimation of Renyi exponents in random cascades

We consider statistical estimation of the Re??nyi exponent ??(h), which characterizes the scaling behaviour of a singular measure ?? defined on a subset of Rd. The Re??nyi exponent is defined to be lim?????0 [{log M??(h)}/(-log ??)], assuming that this limit exists, where M??(h) = ??i??h(??i) and, for ??>0, {??i} are the cubes of a ??-coordinate mesh that intersect the support of ??. In particular, we demonstrate asymptotic normality of the least-squares estimator of ??(h) when the measure ?? is generated by a particular class of multiplicative random cascades, a result which allows construction of interval estimates and application of hypothesis tests for this scaling exponent. Simulation results illustrating this asymptotic normality are presented. ?? 1999 ISI/BS.

Bernoulli↗

Conventional U-Pb dating versus SHRIMP of the Santa Barbara Granite Massif, Rondonia, Brazil

The Santa Ba??rbara Granite Massif is part of the Younger Granites of Rondo??nia (998 - 974 Ma) and is included in the Rondo??nia Tin Province (SW Amazonian Craton). It comprises three highly fractionated metaluminous to peraluminous within-plate A-type granite units emplaced in older medium-grade metamorphic rocks. Sn-mineralization is closely associated with the late-stage unit. U-Pb monazite conventional dating of the early-stage Serra do Cicero facies and late-stage Serra Azul facies yielded ages of 993 ?? 5 Ma and 989 ?? 13 Ma, respectively. Conventional multigrain U-Pb isotope analyses of zircon demonstrate isotopic disturbance (discordance) and the preservation of inherited older zircons of several different ages and thus yield little about the ages of Sn-granite magmatism. SHRIMP U-Pb ages for the Santa Ba??rbara facies association yielded a 207Pb/206Pb weighted-mean age of 978 ?? 13 Ma. The textural complexity of the zircon crystals of the Santa Ba??rbara facies association, the variable concentrations of U, Th and Pb, as well as the mixed inheritance of zircon populations are major obstacles to using conventional multigrain U-Pb isotopic analyses. Sm-Nd model ages and ??Nd (T) values reveal anomalous isotopic data, attesting to the complex isotopic behaviour within these highly fractionated granites. Thus, SHRIMP U-Pb zircon and conventional U-Pb monazite dating methods are the most appropriate to constrain the crystallization age of the Sn-bearing granite systems in the Rondo??nia Tin Province.

Geologia USP - Serie Cientifica↗

An overview on current fluid-inclusion research and applications

This paper provides an overview of some of the more important developments in fluid-inclusion research and applications in recent years, including fluid-inclusion petrography, PVTX studies, and analytical techniques. In fluid-inclusion petrography, the introduction of the concept of 'fluid-inclusion assemblage' has been a major advance. In PVTX studies, the use of synthetic fluid inclusions and hydrothermal diamond-anvil cells has greatly contributed to the characterization of the phase behaviour of geologically relevant fluid systems. Various analytical methods are being developed and refined rapidly, with the Laser-Raman and LA-ICP-MS techniques being particularly useful for volatile and solute analyses, respectively. Ore deposit research has been and will continue to be the main field of application of fluid inclusions. However, fluid inclusions have been increasingly applied to other fields of earth science, especially in petroleum geology and the study of magmatic and earth interior processes.

Acta Petrologica Sinica↗

Cathodoluminescence, laser ablasion inductively coupled plasma mass spectrometry, electron probe microanalysis and electron paramagnetic resonance analyses of natural sphalerite

Natural sphalerite associated with copper, silver, lead-zinc, tin and tungsten deposits from various world-famous mineral deposits have been studied by cathodoluminescence (CL), laser ablasion inductively coupled plasma mass spectrometry (LA-ICP-MS), electron probe microanalysis (EPMA) and electron paramagnetic resonance (EPR) to determine the relationship between trace element type and content and the CL properties of sphalerite. In general, sphalerite produces a spectrum of CL colour under electron bombardment that includes deep blue, turquoise, lime green, yellow-orange, orange-red and dull dark red depending on the type and concentration of trace quantities of activator ions. Sphalerite from most deposits shows a bright yellow-orange CL colour with ??max centred at 585 nm due to Mn2+ ion, and the intensity of CL is strongly dependent primarily on Fe2+ concentration. The blue emission band with ??max centred at 470-490 nm correlates with Ga and Ag at the Tsumeb, Horn Silver, Balmat and Kankoy mines. Colloform sphalerite from older well-known European lead-zinc deposits and late Cretaceous Kuroko-type VMS deposits of Turkey shows intense yellowish CL colour and their CL spectra are characterised by extremely broad emission bands ranging from 450 to 750 nm. These samples are characterised by low Mn (<10 ppm) and Ag (<1 ppm), and they are enriched in Tl (1-30 ppm) and Pb (80-1500 ppm). Strong green CL is produced by sphalerite from the Balmat-Edwards district. Amber, lime-green and red-orange sphalerite produced weak orange-red CL at room temperatures, with several emission bands centred at 490, 580, 630, 680, 745, with ??max at 630 nm being the strongest. These emission bands are well correlated with trace quantities of Sn, In, Cu and Mn activators. Sphalerite from the famous Ogdensburg and Franklin mines exhibited brilliant deep blue and orange CL colours and the blue CL may be related to Se. Cathodoluminescence behaviour of sphalerite serves to characterise ore types and help detect technologically important trace elements.

Conference Paper↗

A field test of the centrifugal community organization model using psammophilic gerbils in Israel's southern coastal plain

Background: An optimal habitat selection model called centrifugal community organization (CCO) predicts that species, although they have the same primary habitat, may co-exist owing to their ability to use different secondary habitats. Goal: Test the predictions of CCO with field experiments. Species: The Egyptian sand gerbil (40 g), Gerbillus pyramidum, and Allenby's gerbil (25 g), G. andersoni allenbyi. Site: Ashdod sand dunes in the southern coastal plain of Israel. Three sandy habitats are present: shifting, semi-stabilized, and stabilized sand. Gerbils occupied all three habitats. Methods: We surveyed rodent abundance, activity levels, and foraging behaviour while experimentally removing G. pyramidum. Results: Three predictions of the CCO model were supported. Both species did best in the semi-stabilized habitat. However, they differed in their secondary habitats. Gerbillus pyramidum preferred the shifting sand habitat, whereas G. a. allenbyi preferred the stabilized habitat. Habitat selection by both species depended on density. However, in contrast to CCO, G. pyramidum dominated the core habitat and excluded G. a. allenbyi. We term this variant of CCO, 'asymmetric CCO'. Conclusions: The fundamental feature of CCO appears valid: co-existence may result not because of what each competing species does best, but because of what they do as a back-up. But in contrast to the prediction of the original CCO model, all dynamic traces of interaction can vanish if the system includes interference competition. ?? 2007 Gideon Wasserberg.

Evolutionary Ecology Research↗

Canadian groundwater inventory: Regional hydrogeological characterization of the south-central part of the maritimes basin

The Maritimes Groundwater Initiative (MGWI) is a large, integrated, regional hydrogeological study focusing on a representative area of the Maritimes Basin in eastern Canada. The study area covers a land surface of 10 500 km 2 , of which 9 400 km 2 are underlain by sedimentary rocks. This sedimentary bedrock is composed of a sequence of discontinuous strata of highly variable hydraulic properties, and is generally overlain by a thin layer of glacial till(mostly 4-8 m thick, but can reach 20 m). Depending on the area, 46 to 100% of the population relieson groundwater for water supply, either from municipal wells or from private residential wells. The main objectives of this project were to improve the general understanding of groundwater-flow dynamics and to provide baseline information and tools for a regional groundwater-resource assessment. This bulletin presents the current state of understanding of this hydrogeological system, along with the methodology used to characterize and analyze its distinct behaviour at three different scales. This regional bedrock aquifer system contains confined and unconfined zones, and each of its lenticular permeable strata extends only a few kilometres. Preferential groundwater recharge occurs where sandy till is present. The mean annual recharge rate to the bedrock is estimated to range between 130 and 165 mm/a. Several geological formations of this basin provide good aquifers, with hydraulic conductivity in the range 5x10 -6 to 10 -4 m/s. Based on results of numerical flow modelling, faults were interpreted to have a key role in the regional flow. Pumping-test results revealed that the fractured aquifers can locally be very heterogeneous and anisotropic, but behave similarly to porous media. Work performed at the local scale indicated that most water-producing fractures seem to be subhorizontal and generally oriented in a northeasterly direction, in agreement with regional structures and pumping-test results. Almost all residential wells are shallow (about 20 m) open holes that are cased only through the surficial sediments.

Bulletin of the Geological Survey of Canada↗

Book review: Sandhill and whooping cranes: Ancient voices over America's wetlands

Paul Johnsgard has long been captivated by wild cranes and their unique vocalizations, courtship dances, and wide-ranging migrations. As a scientist and an admirer, Johnsgard has watched their migrations and behaviors for decades as hundreds of thousands of cranes staged each spring by the central Platte River, not far from his home in Lincoln, Nebraska. As an artist, he has skilfully captured their courtship dances and other behaviours in his exceptional line drawings. And, as an author, he has written extensively on their ecology in three earlier books: Cranes of the World (1983), Those of the Gray Wind: the Sandhill Crane (1986), and Crane Music: a Natural History of Cranes (1991). Much has happened relative to North American cranes in the 20 years since Johnsgard published Crane Music , including increased crane abundance in many areas and the completion of multiple studies on crane ecology and conservation. This new crane book serves as an update to Crane Music and provides the reader with many useful resources for observing and learning about cranes.

The Prairie Naturalist↗

Manatees mapping seagrass (USA & Puerto Rico)

West Indian manatees (Trichechus manatus) are secretive creatures. While some of their behaviours at winter aggregation sites in Florida are readily visible to the casual observer, many of their habits and movements are difficult to observe. They rely on submerged vegetation for nutrition, and seagrasses are one of their most important food sources.

Seagrass-Watch↗

Loss and modification of habitat

Amphibians live in a wide variety of habitats around the world, many of which have been modified or destroyed by human activities. Most species have unique life history characteristics adapted to specific climates, habitats (e.g., lentic, lotic, terrestrial, arboreal, fossorial, amphibious), and local conditions that provide suitable areas for reproduction, development and growth, shelter from environmental extremes, and predation, as well as connectivity to other populations or habitats. Although some species are entirely aquatic or terrestrial, most amphibians, as their name implies, lead a dual life and require a mosaic of habitats in both aquatic and terrestrial ecosystems. With over 6 billion people on Earth, most species are now persisting in habitats that have been directly or indirectly influenced by human activities. Some species have disappeared where their habitats have been completely destroyed, reduced, or rendered unsuitable. Habitat loss and degradation are widely considered by most researchers as the most important causes of amphibian population decline globally (Barinaga 1990; Wake and Morowitz 1991; Alford and Richards 1999). In this chapter, a background on the diverse habitat requirements of amphibians is provided, followed by a discussion of the effects of urbanization, agriculture, livestock grazing, timber production and harvesting, fire and hazardous fuel management, and roads on amphibians and their habitats. Also briefly discussed is the influence on amphibian habitats of natural disturbances, such as extreme weather events and climate change, given the potential for human activities to impact climate in the longer term. For amphibians in general, microhabitats are of greater importance than for other vertebrates. As ectotherms with a skin that is permeable to water and with naked gelatinous eggs, amphibians are physiologically constrained to be active during environmental conditions that provide appropriate body temperatures and adequate water balance (Thorson and Svihla 1943; Brattstrom 1963; Tracy 1976). Hence, individuals require and seek specific microhabitats that maintain their preferred body temperature while at the same time reducing water loss or allowing individuals to re-hydrate. Amphibians also possess relatively few physical attributes that protect them from predators. Although they may avoid predators behaviourally or deter them by skin toxins, amphibians lack defensive shells or hardened cuticles, do not have protective teeth or claws, and most are insufficiently fast to escape predators. Hence, they are relatively dependent on sites that conceal or protect them from predation. Most amphibians also differ significantly from other vertebrates in possessing a complex two-phase life cycle: the pre-metamorphic larval (tadpole) stage and the post-metamorphic juvenile and adult stage (Wilbur 1980, 1984). Most amphibian species have two distinct econes (Heatwole 1989), each with different habitat requirements, the larvae being aquatic and the post-metamorphic animals more terrestrial. The habitats required by the two phases can differ greatly, but both are essential to the survival of a species. However, amphibian diversity is great and exceptions to this general pattern exist. For example, some species have direct development without going through a larval stage and are fully terrestrial, whereas the larvae of other species can reach sexual maturity without going through metamorphosis (i.e., neoteny) and are fully aquatic.

Book chapter↗

Ecological impacts of non-native species

Non-native species are considered one of the greatest threats to freshwater biodiversity worldwide (Drake et al. 1989; Allen and Flecker 1993; Dudgeon et al. 2005). Some of the first hypotheses proposed to explain global patterns of amphibian declines included the effects of non-native species (Barinaga 1990; Blaustein and Wake 1990; Wake and Morowitz 1991). Evidence for the impact of non-native species on amphibians stems (1) from correlative research that relates the distribution or abundance of a species to that of a putative non-native species, and (2) from experimental tests of the effects of a non-native species on survival, growth, development or behaviour of a target species (Kats and Ferrer 2003). Over the past two decades, research on the effects of non-native species on amphibians has mostly focused on introduced aquatic predators, particularly fish. Recent research has shifted to more complex ecological relationships such as influences of sub-lethal stressors (e.g. contaminants) on the effects of non-native species (Linder et al. 2003; Sih et al. 2004), non-native species as vectors of disease (Daszak et al. 2004; Garner et al. 2006), hybridization between non-natives and native congeners (Riley et al. 2003; Storfer et al. 2004), and the alteration of food-webs by non-native species (Nystrom et al. 2001). Other research has examined the interaction of non-native species in terms of facilitation (i.e. one non-native enabling another to become established or spread) or the synergistic effects of multiple non-native species on native amphibians, the so-called invasional meltdown hypothesis (Simerloff and Von Holle 1999). Although there is evidence that some non-native species may interact (Ricciardi 2001), there has yet to be convincing evidence that such interactions have led to an accelerated increase in the number of non-native species and cumulative impacts are still uncertain (Simberloff 2006). Applied research on the control, eradication, and management of non-native species has only just begun but some promising results have already emerged (see below), giving hope to a very difficult conservation issue. This chapter provides an overview of the role of non-native species in amphibian declines and summarizes the current state of knowledge of non-native species that are known, or considered to be, a threat to amphibian species and populations. The biological and socio-economic issues of non-native species control are examined and brief case studies of successful eradication programmes are provided.

Book chapter↗