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Sage-grouse

In this chapter, we summarize the ecology and conservation issues affecting greater ( Centrocercus urophasianus ) and Gunnison ( C . minimus ) sage-grouse, iconic and obligate species of rangelands in the sagebrush ( Artemisia spp.) biome in western North America. Greater sage-grouse are noted for their ability to migrate, whereas Gunnison sage-grouse localize near leks year-round. Seasonal habitats include breeding habitat where males display at communal leks, nesting habitat composed of dense sagebrush and herbaceous plants to conceal nests, mesic summer habitats where broods are reared, and winter habitat, characterized by access to sagebrush for cover and forage. While two-thirds of sage-grouse habitat occurs on public lands, private land conservation is the focus of national groups including the USDA-NRCS Sage-Grouse Initiative. Sage-grouse are a species of great conservation concern due to population declines associated with loss and fragmentation of more than half of the sagebrush biome. Wildlife and land management agencies have been increasingly proactive in monitoring trends in sage-grouse populations (e.g., lek count index), adapting regulations to reduce harvest on declining populations, and in designing and implementing conservation policies such as core areas to conserve sage-grouse habitats and populations. Much of the remaining sagebrush habitat is threatened by altered fire regimes, invasive annual grasses and noxious weeds, encroaching piñon ( Pinus edulis and monophylla )-juniper ( Juniperus spp.) woodlands, sagebrush conversion, anthropogenic development, and climate change. Several diseases affect sage-grouse, but to date, disease has not been a widespread cause of declines. Proper livestock grazing and limited hunting appear to be sustainable with sage-grouse, whereas improper grazing, increasing free-roaming equid populations, and sagebrush conversion are primary concerns for future conservation. Research has identified additional concerns for sage-grouse including effects from fence collisions, predation from common ravens ( Corvus corax ), and reduced habitat effectiveness resulting from grouse avoidance of anthropogenic infrastructure. There is a need for future research evaluating sage-grouse habitat restoration practices following improper rangeland management, habitat alteration from invasive species and fire, effects on small and isolated populations, and effects from diseases.

Book chapter↗

Learning from the past and planning for the future: Experience-driven insight into managing for ecosystem transformations induced by drought and wildfire

Drought and wildfire pose enormous threats to the integrity of natural resources that land managers are charged with protecting. Recent observations and modeling forecasts indicate that these stressors will likely produce catastrophic ecosystem transformations, or abrupt changes in the condition of plants, wildlife, and their habitats, in regions across the country in coming decades. In this project, researchers will bring together land managers who have experienced various degrees of ecosystem transformation (from not yet experiencing any changes to seeing large changes across the lands they manage) to share their perspectives on how to mitigate large-scale changes in land condition. The team will conduct surveys and structured interviews and invite participants to an in-person field trip and workshop. Encouraging land managers to share perspectives across diverse ecosystems with different degrees of drought and wildfire stress will produce new insight into how to better prevent and prepare for ecosystem changes. New knowledge generated from this project will be widely shared with land managers throughout the western U.S. to improve climate adaptation decision making processes.

Final Report↗

Waterfowl distribution and abundance during spring migration in Southern Oregon and Northeastern California

We used aerial surveys to study abundance and distribution of waterfowl (ducks, geese, swans, and coots) during spring in southern Oregon and northeastern California (SONEC). Total waterfowl-use days in SONEC during the 119-day, 5 January-3 May, spring period was similar during 2002 (127,977,700) and 2003 (128,076,200) and averaged 1,075,900 birds per day (bpd); these estimates should be adjusted upward 4%-10% to account for areas not surveyed. Waterfowl abundance peaked in mid-March in both years: 2,095,700 in 2002 and 1,681,700 in 2003. Northern Pintail (Anas acuta) was the most abundant species in both years, accounting for 25.6% of the 2002 and 24.5% of the 2003 waterfowl-use days. Pintail abundance peaked during the 13 March survey at 689,300 in 2002 and 532,100 in 2003. All other dabbling ducks accounted for 27.6% and 28.6%, diving ducks for 13.5% and 9.2%, geese for 24.6% and 29.3%, swans for 2.8% and 1.0%, and coots for 5.8% and 6.4% of the spring waterfowl-use days in SONEC during 2002 and 2003, respectively. Although use days changed little for total waterfowl (+0.08%) and dabbling ducks (-0.1%), diving duck use was lower (-32%), and goose use days were greater (+19%) in 2003 than in 2002. Distribution was similar in both years, with the most waterfowl use in the Lower (66%) and Upper (14%) Klamath subregions; 2%-6% occurred in each of the other subregions. Although the Lower Klamath subregion received the greatest overall waterfowl use, distribution among subregions varied among species and surveys, and all subregions were important during some part of the spring for 1 or more species. Peak spring abundance in SONEC during 2002 and 2003 averaged 50.3% of the midwinter abundance in California (all survey regions) and southern Oregon (69-3 survey region) for all waterfowl, 46.1% for dabbling ducks, 62.4% for diving ducks, 68.8% for geese, 109.4% for swans, and 43.8% for coots. Each spring, 75% of all waterfowl use in SONEC occurred on federal, state, or Nature Conservancy lands (i.e., protected areas). On protected areas there was a higher percentage of dabbling ducks (80.5%), geese (70.5%), and coots (81.5%) than diving ducks (60.4%) and swans (49%). Waterfowl use of Klamath Basin National Wildlife Refuge (NWR) averaged 42% greater during spring 2002-2003 (568,500 bpd) than during 1998-2001 (Gilmer et al. 2004). Numerous factors likely impacted magnitude and distribution of waterfowl use of SONEC during spring, including weather, waterfowl populations, SONEC habitat, and species ecology. SONEC is a critical spring staging area for waterfowl that winter in the Central Valley of California and other Pacific Flyway regions and should be a major focus area for waterfowl-habitat conservation efforts.

Western North American Naturalist↗

Value of migratory bird recreation at the Bosque del Apache National Wildlife Refuge in New Mexico

Each fall, thousands of Rocky Mountain Sandhill Cranes and other migratory birds congregate at the Bosque del Apache National Wildlife Refuge in New Mexico’s Rio Grande Valley in search of wintering habitat. As such, this refuge is known as one of the premier destinations for bird viewing and photography in the United States. Using contingent valuation data, this case study quantifies the value associated with migratory bird recreation at this refuge to be \$7.5 million in 2010. It is estimated that this annual value increased by more than \$6.4 million in 2017 due to growth in annual refuge visitation.

New Mexico↗

Current distribution of the nine-banded armadillo (Dasypus novemcinctus) in the United States

The nine-banded armadillo ( Dasypus novemcinctus : hereafter armadillo) was first recorded in the United States (U.S.) in the state of Texas in 1849 and has been expanding its range northward and eastward since then. With the widespread adoption of participatory science as well as the proliferation of nationwide wildlife game camera studies, occurrence data of armadillos can be compiled more rapidly and thoroughly than at any time in the past. Here, we use disparate data sources to update the current geographic distribution of the armadillo in the United States and use occurrence data from the leading edge of its range expansion to create a species distribution model to understand their relationship with landscape and bioclimatic factors. Since the last report on the geographic distribution of the armadillo in 2014, we show that armadillos have expanded to cover the entirety of Missouri and established in southern Iowa, expanded modestly within Kansas and Illinois, expanded northward and eastward in Indiana, expanded eastward in both Kentucky and Tennessee, established throughout the entirety of South Carolina and Georgia and established in the western third of North Carolina. Our species distribution model indicates that there is substantial opportunity for the species to continue to expand its geographic range, particularly in the Eastern United States. These results provide information to managers who are now or might soon be co-existing with the armadillo to proactively manage the species or inform the public regarding potential conflicts.

Diversity↗

Movements, home range, and control of porcupines in western Washington.

Radio-telemetry was used to monitor the movements of 18 porcupines (Erethizon dorsatum) in typical west Cascase habitat near Mount St. Helens, Washington. Average linear movement ranged from 249 m in 24 hr to 1,585 m for periods of more than 30 days. The greatest linear movement was 31.1 km in 66 days. Average home range of animals tracked for 10 months or more was 83.5 hectares; the average range of males (106.6 hectares) exceeded that of females (81.2 hectares). Concentration of animals at den sites was not observed. Hunting porcupines with dogs is probably the most effective control measure.

Wildlife Leaflet↗

Assessing potential collateral effects on amphibians from insecticide applications for flea control and plague mitigation

Ideal disease mitigation measures for wildlife are safe and benign for target species, non-target organisms, the environment, and humans. Identifying collateral (i.e., unintended) effects is a key consideration in implementing such actions. Deltamethrin dust and fipronil-laced baits represent a group of insecticides that target fleas (pulicides) and are used to control flea (Siphonaptera) vectors of the plague bacterium Yersinia pestis to protect prairie dogs ( Cynomys spp.) and their plague-susceptible obligate predators, endangered black-footed ferrets ( Mustela nigripes ). A variety of animals use prairie dog burrows as refuge, which potentially exposes them to deltamethrin, and to fipronil and its metabolites in fecal pellets excreted by prairie dogs and other mammals that have eaten fipronil baits. We assessed the potential effects of deltamethrin and fipronil residues on survival, body mass, and activity of western tiger salamanders ( Ambystoma mavortium ), a burrow-inhabiting amphibian. Pulicides were applied at realistic concentrations in mesocosms mimicking burrows. Treatments included (1) deltamethrin dust and non-treated prairie dog fecal pellets, (2) prairie dog fecal pellets containing fipronil and fipronil sulfone, and (3) un-treated prairie dog fecal pellets as controls. All 29 salamanders survived the experiment. We did not detect pulicide residues in any control salamanders. Fipronil sulfone was detected in tissues from 3 of 10 salamanders in the fipronil treatment and deltamethrin was detected in tissues from 9 of 11 salamanders in the deltamethrin treatment. Salamanders were observed outside of burrows more frequently after treatments than before. Deltamethrin concentrations in whole body samples correlated positively with the amount of time salamanders were inside burrows. Acute, lethal effects were not detected, but uptake of deltamethrin and, to a lesser extent fipronil sulfone, into salamander tissues indicated the potential for long-term effects on this non-target species. Identifying potential collateral effects is an important aspect of evaluating mitigation actions implemented to protect endangered species.

PLoS ONE↗

Location and agricultural practices influence spring use of harvested cornfields by cranes and geese in Nebraska

Millions of ducks, geese, and sandhill cranes ( Grus canadensis ; hereafter cranes) stop in the Central Platte River Valley (CPRV) of Nebraska to store nutrients for migration and reproduction by consuming corn remaining in fields after harvest. We examined factors that influence use of cornfields by cranes and geese (all mid‐continent species combined; e.g., Anser , Chen , and Branta spp.) because it is a key step to efficient conservation planning aimed at ensuring that adequate food resources are available to migratory birds stopping in the CPRV. Distance to night‐time roost site, segment of the CPRV (west to east), and agricultural practices (post‐harvest treatment of cornfields: idle, grazed, mulched, mulched and grazed, and tilled) were the most important and influential variables in our models for geese and cranes. Probability of cornfield use by geese and cranes decreased with increasing distance from the closest potential roosting site. The use of cornfields by geese increased with the density of corn present there during the early migration period, but field use by cranes appeared not to be influenced by early migration corn density. However, probability of cornfield use by cranes did increase with the amount of wet grassland habitat within 4.8 km of the field. Geese were most likely to use fields that were tilled and least likely to use fields that were mulched and grazed. Cranes were most likely to use fields that were mulched and least likely to use fields that were tilled, but grazing appeared not to influence the likelihood of field use by cranes. Geese were more likely to use cornfields in western segments of the CPRV, but cranes were more likely to use cornfields in eastern segments. Our data suggest that managers could favor crane use of fields and reduce direct competition with geese by reducing fall and spring tilling and increasing mulching. Moreover, crane conservation efforts would be most beneficial if they were focused in the eastern portions of the CPRV and in fields as close as possible to both known roosting and large amounts of wet grassland habitats.

Nebraska↗

Consolidation drainage and climate change may reduce Piping Plover habitat in the Great Plains

Many waterbird species utilize a diversity of aquatic habitats; however, with increasing anthropogenic needs to manage water regimes there is global concern over impacts to waterbird populations. The federally threatened Piping Plover (Charadrius melodus; hereafter plovers) is a shorebird that breeds in three habitat types in the Prairie Pothole Region of North Dakota, South Dakota, and Canada: riverine sandbars; reservoir shorelines; and prairie wetlands. Water surface areas of these habitats fluctuate in response to wet-dry periods; decreasing water surface areas expose shorelines that plovers utilize for nesting. Climate varies across the region so when other habitats are unavailable for plover nesting because of flooding, prairie wetlands may periodically provide habitat. Over the last century, many of the wetlands used by plovers in the Prairie Pothole Region have been modified to receive water from consolidation drainage (drainage of smaller wetlands into another wetland), which could eliminate shoreline nesting habitat. We evaluated whether consolidation drainage and fuller wetlands have decreased plover presence in 32 wetlands historically used by plovers. We found that wetlands with more consolidation drainage in their catchment and wetlands that were fuller had a lower probability of plover presence. These results suggest that plovers could have historically used prairie wetlands during the breeding season but consolidation drainage and/or climate change have reduced available shoreline habitat for plovers through increased water levels. Prairie wetlands, outside of some alkali wetlands in the western portion of the region, are less studied as habitat for plovers when compared to river and reservoir shorelines. Our study suggests that these wetlands may have played a larger role in plover ecology than previously thought. Wetland restoration and conservation, through the restoration of natural hydrology, may be required to ensure that adequate habitat exists among the three habitat types in the face of existing or changing climate and to ensure long-term conservation.

North Dakota↗

Long-term Pseudogymnoascus destructans surveillance data reveal factors contributing to pathogen presence

The disease white-nose syndrome (WNS) was first recognized in upstate New York in 2006 and has since spread across much of the United States (U.S.), causing severe mortality in several North American bat species. To aid in the identification and monitoring of at-risk bat populations, we evaluate factors associated with the presence of the causative fungal agent of WNS, Pseudogymnoascus destructans ( Pd ), in the continental United States. We obtained Pd samples through hibernaculum surveys conducted from 2013 to 2020, with all samples analyzed at the U.S. Geological Survey National Wildlife Health Center. Using generalized additive models, we estimated the likelihood of Pd presence under three different hypotheses: human-mediated, species-mediated, and hibernaculum type. In addition to hypothesis-related predictor variables, a subset of models included a smoothed nonseparable effect of longitude and latitude and a smoothed effect of time since study onset to account for spatial and temporal autocorrelation. Under all hypotheses, models indicated probability of Pd detection is best described by the smoothed nonseparable effect of longitude and latitude and a smoothed effect of time since onset of this study. After accounting for spatial and temporal autocorrelations, only hibernaculum type significantly affected Pd presence, with mines and culverts/tunnels less likely to contain Pd compared with caves. Reduced likelihood of Pd presence in mines and culverts/tunnels bodes well for bats of the western and southern United States, where use of these hibernaculum types is more common. While our findings can help guide monitoring and management efforts, the potential for long-distance dispersal combined with variation in community composition and hibernation ecology between the western and eastern United States necessitates the continued monitoring of Pd presence.

Ecosphere↗

Migratory connectivity of American woodcock derived using satellite telemetry

American woodcock ( Scolopax minor ; woodcock) migratory connectivity (i.e., association between breeding and wintering areas) is largely unknown, even though current woodcock management is predicated on such associations. Woodcock are currently managed in the Eastern and Central management regions in the United States with the boundary between management regions analogous to the boundary between the Atlantic and Mississippi flyways, based largely on analysis of band returns from hunters. Factors during migration influence survival and fitness, and existing data derived from banding and very high frequency telemetry provide only coarse-scale information to assess factors influencing woodcock migratory movement patterns and behavior. To assess whether current management-region boundaries correspond with woodcock migratory connectivity in the Central Management Region and to describe migration patterns with higher resolution than has been previously possible, we deployed satellite transmitters on 73 woodcock (25 adult and 28 juvenile females, and 8 adult and 12 juvenile males) and recorded 87 autumn or spring migration paths from 2014 to 2016. Marked woodcock used 2 primary migrations routes: a Western Route and a Central Route. The Western Route ran north-south, connecting the breeding and wintering grounds within the Central Management Region. The hourglass-shaped Central Route connected an area on the wintering grounds reaching from Texas to Florida, to sites throughout northeastern North America in both the Eastern Management Region and Central Management Region and woodcock following this route migrated through the area between the Appalachian Mountains and the Mississippi Alluvial Valley in western Tennessee during autumn and spring. Two of 17 woodcock captured associated with breeding areas in Michigan, Wisconsin, or Minnesota migrated to wintering sites in the Eastern Management Region and 12 marked woodcock captured on wintering areas in Texas and Louisiana migrated to breeding sites in the Eastern Management Region. Woodcock that used the Western Route exhibited high concentrations of stopovers during spring in the Arkansas Ozark Mountains and northern Missouri, and along the Mississippi River on the border between Wisconsin and Minnesota, and autumn concentrations of stopovers in southwestern Iowa, central Missouri, the Arkansas portion of the Ozark Mountains, and around the junction of Texas, Louisiana, Oklahoma, and Arkansas. Woodcock that used the Central Route exhibited high concentrations of stopovers during spring in northern Mississippi through western Tennessee, western Kentucky, and the Missouri Bootheel, and autumn concentrations of stopovers in northern Illinois, southwestern Ohio, and the portions of Kentucky and Tennessee west of the Appalachian Mountains. We suggest that current management of woodcock based on 2 management regions may not be consistent with the apparent lack of strong migratory connectivity we observed. Our results also suggest where management of migration habitat might be most beneficial to woodcock.

Journal of Wildlife Management↗

Multiscale guidance and tools for implementing a landscape approach to resource management in the Bureau of Land Management

The Bureau of Land Management (BLM) is implementing a landscape approach to resource management (hereafter, landscape approach) to more effectively work with partners and understand the effects of management decisions. A landscape approach is a set of concepts and principles used to guide resource management when multiple stakeholders are involved and goals include diverse and sustainable social, environmental, and economic outcomes. Core principles of a landscape approach include seeking meaningful participation of diverse stakeholders, considering diverse resource values in multifunctional landscapes, acknowledging the tradeoffs needed to meet diverse objectives in the context of sustainable resource management, and addressing the complexity of social and ecological processes by embracing interdisciplinarity and considering multiple and broad spatial and temporal perspectives. In chapter 1, we outline the overall goal of this report: to provide a conceptual foundation and framework for implementing a landscape approach to resource management in the BLM, focusing on the role of multiscale natural resource monitoring and assessment information. In chapter 2, we describe a landscape approach to resource management. BLM actions taken to implement a landscape approach include a major effort to compile broad-scale data on natural resource status and condition across much of the west. These broadscale data now provide a regional context for interpreting monitoring data collected at individual sites and informing decisions made for local projects. We also illustrate the utility of using multiscale data to understand potential effects of different resource management decisions, define relevant terms in landscape ecology, and identify spatial scales at which planning and management decisions may be evaluated. In chapter 3, we describe how the BLM Rapid Ecoregional Assessment program and Assessment, Inventory and Monitoring program may be integrated to provide the multiscale monitoring data needed to inform a landscape approach. We propose six core, broad-scale indicators of natural resource status and condition: the amount, spatial distribution, patch size and connectivity of ecosystems and wildlife habitats, and the pattern of existing development across the landscape. Additional supplemental broad-scale indicators may include fire return intervals, distributions of invasive species, and vulnerability of ecosystems to a changing climate. Landscape intactness is an additional derived indicator that is calculated from one or more of the core and supplemental broad-scale indicators. We then outline a process for assessing broad-scale indicators that is consistent with the overall BLM Assessment, Inventory, and Monitoring process, facilitating development of a multiscale natural resource monitoring program. Finally, we describe how broad-scale indicators of natural resource status and condition may guide field monitoring implemented through the BLM Assessment, Inventory and Monitoring program and help address complex management questions. In chapter 4, we consider the specific question of assessing the ecological integrity of rangelands across the western United States. We first define ecological integrity and its relation to land health. We then suggest that a combination of six local-scale indicators collected through field sampling at individual sites and five complementary broad-scale indicators together provide information on the composition, structure, and function of rangelands. The terrestrial monitoring indicators collected at the level of individual field sites are the amount of bare ground, vegetation composition (including invasive plants and plants of management concern), vegetation height, and the proportion of the soil surface in large intercanopy gaps. The broad-scale indicators are vegetation amount, distribution, patch size, connectivity, and productivity, along with the pattern of terrestrial development. Our suggested approach to quantifying ecological integrity focuses specifically on informing management of public lands for multiple resource uses, and illustrates how existing data collected through BLM monitoring and assessment programs may be used together to provide multiscale information on land condition across broad extents. In chapter 5, we develop a method for quantifying landscape intactness and apply this method to the western United States. Our multiscale index of landscape intactness is designed to be defensible, decomposable, and easy to understand. The foundation of the multiscale index of landscape intactness is the surface disturbance footprint of anthropogenic development, including energy and urban development, roads and railroads, cultivated croplands, surface mines and quarries, and energy transmission lines and pipelines. The index represents a gradient of anthropogenic influence as represented by development summarized at two spatial scales of analysis: 2.5 and 20 kilometers. We provide several example applications of the index, illustrating how these data may inform natural resource decisions at the spatial extent of BLM field and district offices, states, ecoregions, and the western United States. We find that 19.2 percent of lands managed by the BLM across the 17 western states of the conterminous United States had the highest landscape intactness. The largest intact areas occur on public lands at high elevations or in the Great Basin. We believe the frameworks, processes, and analyses provided in this report will improve the ability of the BLM to identify and evaluate potential direct and indirect effects of management actions (such as habitat restoration and renewable energy development), and assist the BLM in further implementing a landscape approach to resource management.

Open-File Report↗

An overview of sea otter studies

The Exxron Valdez oil spill (EVOS) on 24 March 1989 threatened extensive areas of prime sea otter ( Enhydra lutris ) habitat along the coasts of south-central Alaska. The spill occurred in northeastern Prince William Sound (PWS), and oil moved rapidly south and west through PWS into the Gulf of Alaska. Much of the coastline of western PWS was heavily oiled, and the slick eventually spread as far southwest as Kodiak Island and the Alaska Peninsula (Galt and Payton 1990; Morris and Loughlin, Chapter 1). All coastal waters affected by the spill were inhabited by sea otters. Concern for the survival of sea otters following the oil spill was immediate and well founded. Sea otters are particularly vulnerable to oil contamination because they rely on pelage rather than blubber for insulation, and oiling drastically reduces the insulative value of the fur (Costa and Kooyman 1982; Siniff et al. 1982; Geraci and Williams 1990). Within days of the spill, recovery of oiled live otters and carcasses began. During the several months following the spill, sea otters became symbolic of the mortality associated with the spilled oil, and of the hope for rescue and recovery of injured wildlife (Batten 1990). An extensive sea otter rescue and rehabilitation effort was mounted in the weeks and months following the spill. Handling and treatment of the captive sea otters posed an enormous and difficult challenge, given the large number of otters held at the facilities and minimal prior experience in caring for oiled sea otters. Rehabilitation of sea otters was a separate effort from the postspill studies designed to evaluate injury to the otter populations and is not addressed in this chapter only as it relates to evaluation of damage assessment studies. Detailed information on the rehabilitation effort is presented in Bayha and Kormendy (1990) and Williams and Davis (1990). Sea otters retained a high profile in the Natural Resource Damage Assessment (NRDA) studies largely because the initial injury to the sea otter population was readily demonstrable, but also because of concerns about long-term damages. The scope of the postspill studies to assess oil-related damages to sea otters was extensive: From 1989 through 1993, more than $3,000,000 was spent, and more than 20 scientists were involved in a comprehensive research program. The studies were predominantly directed at sea otter populations in PWS. Damages to sea otters generally can be classified as either acute, defined as spill-related deaths occurring during the spill, or chronic, defined as longer term lethal or sublethal oil-related injuries. Studies of acute damages focused on estimating the total initial loss of sea otters. Characterization of the pathologies associated with exposure to oil was a secondary goal of studies of acute effects. Chronic or longer term damages may have resulted from sublethal initial exposure or continued exposure to hydrocarbons persisting in the environment. Studies of chronic effects included evaluating abundance and distribution, survival and reproduction rates, foraging behavior, and pathological, physiological, and toxicological changes in the years following the spill. The objective of this chapter is to review the studies conducted on sea otters in response to the EVOS and to synthesize the major findings of those studies relative to injury to the sea otter population associated with exposure to oil. We also provide recommendations for research to improve our understanding of the effects of future oil spills on Sea otter populations.

Alaska↗

Using neutral landscape models to evaluate the umbrella species concept in an ecotone

Context Steep declines in North American rangeland biodiversity have prompted researchers and managers to use umbrella species as a tool to manage diverse suites of co-occurring wildlife, but efficacy of this method has been variable. Evaluation of prairie and shrubland grouse as umbrellas is typically restricted to observed overlap between umbrella and background species, but this approach does not distinguish between overlap due to ubiquity or niche overlap. Objectives We demonstrate a novel application of neutral landscape models (NLMs) to test the effectiveness of greater sage-grouse ( Centrocercus urophasianus ) as an umbrella species for grassland songbirds at a grassland-sagebrush ecotone in northeastern Wyoming, USA. Methods We leveraged existing spatial data representing sage-grouse habitat in two distinct seasons (nesting and late brood-rearing) and density and distribution of eight grassland songbirds. We applied a permutation-based analysis using NLMs to determine whether overlap between background species and greater sage-grouse was greater than expected by chance. Results Three species (western meadowlark Sturnella neglecta , loggerhead shrike Lanius ludovicianus , and lark bunting Calamospiza melanocorys ) had greater overlap than expected with at least one type of greater sage-grouse habitat, while western kingbirds ( Tyrannus verticalis ) indicated avoidance of all sage-grouse habitat assessed. Conclusions NLMs provided a more nuanced evaluation of the umbrella species concept than previously available and allowed us to differentiate between overlap due to ubiquity (e.g., vesper sparrow; Pooecetes gramineus ) rather than overlap in habitat use. All grassland passerine species with greater than expected overlap with sage-grouse habitat either nest in sagebrush (loggerhead shrike) or often select nest locations underneath small shrubs (western meadowlark, lark bunting). These results indicate that nesting substrate is a potential niche axis to consider when evaluating the umbrella species concept, especially within sagebrush-grassland ecotones.

Wyoming↗

Nematode parasites of waterfowl (Anseriformes) from western United States

Thirty-four species of nematodes were found in 415 Anseriformes (Anatidae) of 27 species; 93.7% of birds over 4 weeks old were infected. Data on prevalence, host specificity, age of host, and geographic distribution are given. Infections were more intense in sick birds and birds in poor physical condition. Accidental or abnormal infection was more likely in sick than in normal birds. From 1 to 13 species of nematodes are reported from each host species, including 118 new host records, 3 nematodes new for North America, and 1 new species. Multiple infections were present in 76.5% of birds parasitized; eight species of nematodes were found in one whistling swan (Olor columbianus).

Wildlife Disease↗

Monitoring wetland water quality related to livestock grazing in amphibian habitats

Land use alteration such as livestock grazing can affect water quality in habitats of at-risk wildlife species. Data from managed wetlands are needed to understand levels of exposure for aquatic life stages and monitor grazing-related changes afield. We quantified spatial and temporal variation in water quality in wetlands occupied by threatened Oregon spotted frog ( Rana pretiosa ) at Klamath Marsh National Wildlife Refuge in Oregon, United States (US). We used analyses for censored data to evaluate the importance of habitat type and grazing history in predicting concentrations of nutrients, turbidity, fecal indicator bacteria (FIB; total coliforms, Escherichia coli ( E. coli ), and enterococci), and estrogenicity, an indicator of estrogenic activity. Nutrients (orthophosphate and ammonia) and enterococci varied over time and space, while E. coli , total coliforms, turbidity, and estrogenicity were more strongly associated with local livestock grazing metrics. Turbidity was correlated with several grazing-related constituents and may be particularly useful for monitoring water quality in landscapes with livestock use. Concentrations of orthophosphate and estrogenicity were elevated at several sites relative to published health benchmarks, and their potential effects on Rana pretiosa warrant further investigation. Our data provided an initial assessment of potential exposure of amphibians to grazing-related constituents in western US wetlands. Increased monitoring of surface water quality and amphibian population status in combination with controlled laboratory toxicity studies could help inform future research and targeted management strategies for wetlands with both grazing and amphibians of conservation concern.

Oregon↗

Turkey Vulture survival is reduced in areas of greater road density

The demography of, and factors that influence these metrics, are largely unknown for most vultures in the Americas. Survivorship of Turkey Vultures ( Cathartes aura ) may be influenced by landscape heterogeneity and human disturbance. We quantified the effects of landscape composition (Shannon’s diversity index) and configuration (contagion, edge density, and largest patch index), and human disturbance (road density) on the annual and seasonal survival probabilities of the three North American breeding populations (western, central, and eastern) of Turkey Vultures that spend the nonbreeding season in the southeastern portion of the Nearctic and the northern Neotropics during a 17-year period. We used Cox’s proportional hazards models with time-varying covariates to estimate spatial and temporal changes in survival rates of adult Turkey Vultures. Road density, but not landscape composition or configuration, influenced survival rates in space and time. Overall annual survival averaged 0.87 (95% confidence interval [CI]: 0.74–0.98). Mortality risk was low in western and central populations (hazard ratio < 1) but was 3.7 times greater for vultures in the eastern population. Survival during the breeding (0.97, 95% CI: 0.96–0.98) and outbound migration (1.0, 95% CI: 1–1) seasons was significantly higher than the other seasons. Average survival tended to be higher for nonbreeding (0.81, 95% CI: 0.71–0.88) compared to return migration (0.69, 95% CI: 0.56–0.81) seasons. The risk of mortality for all vulture populations increased with road density, and this was greater during the nonbreeding and return migration seasons. The spatial variation in road density across the Americas may generate a network of ecological traps for Turkey Vultures induced to stop in areas of greater road-kill abundance. Road-killed animals acting as an attractant for vultures can increase the occurrence of vulture–vehicle collisions and potentially aggravate human–wildlife conflicts. Further analyses are needed to address survivorship and mortality factors for young birds. Our results may help the implementation of specific mitigation efforts to reduce human–vulture conflicts and vulture mortality. For instance, concentrating efforts to remove road-killed animals in areas where road density is highest can likely reduce vulture–vehicle collisions and associated mortalities of these birds.

Article↗

Genetic differentiation of walleye stocks in Lake St. Clair and western Lake Erie

Allozyme data from six spawning sites of walleyes (Stizostedion vitreum vitreum) in western Lake Erie and two in Lake St. Clair demonstrated significant differences between allelic frequencies in fish from the two lakes. In contrast, differences were only slight between walleyes from different spawning sites within each lake. Of 21 presumptive genetic loci assayed electrophoretically, 4 were polymorphic enough to differentiate the populations. Allelic frequencies differentiating the stocks were stable between year classes, sexes, and sample years, showing that fry hatched in a particular area were returning there to spawn. These findings support other evidence for homing in Great Lakes walleyes.

Fish and Wildlife Technical Report↗