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At least 631 records · Page 35Linked to original sources

Structure mapping on enhanced landsat images of Southern Brazil: Tectonic control of mineralization and speculations on metallogeny

Computer enhancement, particularly contrast-stretching, reveals a previously unnoticed east-west structural zone across a Landsat image of the southern Brazilian Precambrian shield. In this zone occur the only known economic or near-economic deposits of gold, tin, and copper. Such deposits are typically localized by small east-west structural elements. Non-economic copper occurrences elsewhere in the region appear to be related to major northeast- and northwest-trending lineaments mapped on Landsat images. Mineral exploration should be primarily directed at the main east-west lineament, but two other possible east-west zones might be worthwhile targets also. The major east-west lineament projects through a break in the continental shelf, across the Atlantic along a large transoceanic fracture zone and into the African continent along a mapped tectonic trend that goes through an area that produces copper, gold, and tin. Global geophysical data suggest that the mapped east-west trend in South America is a surface reflection of structures that developed in the tectosphere in Precambrian time and that have persisted until the present. © 1977 Society of Exploration Geophysicists.

Geophysics↗

GPS in pioneering dynamic monitoring of long-period structures

Global Positioning System (GPS) technology with 10-20-Hz sampling rates allows scientifically justified dynamic measurements of relative displacements of long-period structures. The displacement response of a simulated tall building in real time and permanent deployment of GPS units at the roof of a building are described. To the authors' best knowledge, this is the first permanent deployment of GPS units (in the world) for continuous dynamic monitoring of a tall building. Data recorded from the building during a windy day is analyzed to determine the structural characteristics. When recorded during extreme motions caused by earthquakes and strong winds, such measurements can be used to compute average drift ratios and changes in dynamic characteristics, and therefore can be used by engineers and building owners or managers to assess the structural integrity and performance by establishing pre-established thresholds. Such information can be used to secure public safety and/or take steps to improve the performance of the building.

Earthquake Spectra↗

Structure-specific scalar intensity measures for near-source and ordinary earthquake ground motions

Introduced in this paper are several alternative ground-motion intensity measures (IMs) that are intended for use in assessing the seismic performance of a structure at a site susceptible to near-source and/or ordinary ground motions. A comparison of such IMs is facilitated by defining the "efficiency" and "sufficiency" of an IM, both of which are criteria necessary for ensuring the accuracy of the structural performance assessment. The efficiency and sufficiency of each alternative IM, which are quantified via (i) nonlinear dynamic analyses of the structure under a suite of earthquake records and (ii) linear regression analysis, are demonstrated for the drift response of three different moderate- to long-period buildings subjected to suites of ordinary and of near-source earthquake records. One of the alternative IMs in particular is found to be relatively efficient and sufficient for the range of buildings considered and for both the near-source and ordinary ground motions. ?? 2007, Earthquake Engineering Research Institute.

Earthquake Spectra↗

Effects of topographic position and geology on shaking damage to residential wood-framed structures during the 2003 San Simeon earthquake, western San Luis obispo county, California

A statistical evaluation of shaking damage to wood-framed houses caused by the 2003 M6.5 San Simeon earthquake indicates that both the rate and severity of damage, independent of structure type, are significantly greater on hilltops compared to hill slopes when underlain by Cretaceous or Tertiary sedimentary rocks. This increase in damage is interpreted to be the result of topographic amplification. An increase in the damage rate is found for all structures built on Plio-Pleistocene rocks independent of topographic position, and this is interpreted to be the result of amplified shaking caused by geologic site response. Damage rate and severity to houses built on Tertiary rocks suggest that amplification due to both topographic position and geologic site response may be occurring in these rocks, but effects from other topographic parameters cannot be ruled out. For all geologic and topographic conditions, houses with raised foundations are more frequently damaged than those with slab foundations. However, the severity of damage to houses on raised foundations is only significantly greater for those on hill slopes underlain by Tertiary rocks. Structures with some damage-resistant characteristics experienced greater damage severity on hilltops, suggesting a spectral response to topographic amplification. ?? 2010, Earthquake Engineering Research Institute.

Earthquake Spectra↗

Structure, burial history, and petroleum potential of frontal thrust belt and adjacent foreland, southwest Montana

The frontal thrust belt in the Lima area of southwestern Montana consists of blind (nonsurfacing) thrusts of the Lima thrust system beneath the Lima anticline and the Tendoy thrust sheet to the west. The Tendoy sheet involves Mississippian through Cretaceous rocks of the southwest-plunging nose of the Mesozoic Blacktail-Snowcrest uplift that are thrust higher (northeast) onto the uplift. The front of the Tendoy sheet west of Lima locally has been warped by later compressive deformation which also involved synorogenic conglomerates of the structurally underlying Beaverhead Formation. To the north, recent extension faulting locally has dropped the front of the Tendoy sheet beneath Quaternary gravels. Rocks of the exposed Tendoy sheet have never been deeply buried, based on itrinite reflectance of <= 0.6%, conodont CAI (color alteration index) values that are uniformly 1, and on supporting organic geochemical data from Paleozoic rocks from the Tendoy thrust sheet. Directly above and west of the Tendoy sheet lie formerly more deeply buried rocks of the Medicine Lodge thrust system. Their greater burial depth is indicated by higher conodont CAI values. West-dipping post-Paleocene extension faults truncate much of the rear part of the Tendoy sheet and also separate the Medicine Lodge sheet from thrust sheets of the Beaverhead Range still farther west. The Laramide Blacktail-Snowcrest uplift east of the frontal thrust belt is asymmetric. Its southeast, steeper limb is exposed along the Snowcrest Range. This limb extends southwestward in the complexly deformed Snowcrest structural terrane. Northwest-dipping thrusts on this limb involve basement rocks and probably merge with depth into a major sub-Snowcrest Range thrust. This major thrust borders and is chiefly responsible for the Blacktail-Snowcrest uplift and adjacent Ruby synclinorium to the southeast. Uniform conodont CAI values of 1 from both the southeast and northwest flanks of the Blacktail-Snowcrest uplift indicate that no thick cover of Upper Cretaceous or younger rocks extended over the flanks of the uplift. During Mississippian through Permian time, the area of later Laram de uplift underwent more rapid subsidence than the area of the Laramide Ruby syncline and the Centennial basin to the southeast. The inferred sub-Snowcrest Range thrust fault apparently represents a reactivated zone of basement weakness. The intersection of thrust-belt and foreland trends, similar to the Uinta uplift area to the south, probably formed a number of structural traps for hydrocarbons which have not yet been tested. Potential petroleum source beds and reservoir rocks are both present in southwest Montana. However, remnants of Tertiary lava flows through much of the area, Tertiary to recent basin-and-range faulting, and supermaturity with respect to oil of Permian and older rocks in the western Centennial uplift area are additional factors which must be considered in any estimate of hydrocarbon potential of the Cordilleran overthrust belt and adjacent foreland in extreme southwestern Montana.

Montana↗

Structure and evolution of Bering Sea shelf south of St. Lawrence Island

The virtually featureless Beringian shelf south of St. Lawrence Island is underlain structurally by at least 14 basins. Encompassing a total area of more than 300,000 sq km, most of the basins are either elongate structural sags, grabens, or half (asymmetric) grabens beneath the outer shelf. The regional trend of these basins is northwest, parallel with that of the continental margin. Two of the basins, St. George and Navarin, contain 7 to 10 km of Upper Cretaceous(?) and Cenozoic sedimentary strata. A major divergence in dip of beds in the upper half of the sedimentary section may reflect an abrupt shelf-wide change in the rate of sedimentation and/or subsidence, probably during the Miocene. The outer sub-shelf basement grabens and adjacent ridges (horsts) are bounded by high-angle normal faults that exhibit growth-type structure. St. Matthew basin, an elongate, southwest-trending feature of the inner shelf, lies along the offshore expression of the Kaltag fault of western Alaska. The Kaltag fault, like the Denali fault in southwestern Alaska, does not extend to the outer Bering Sea shelf but ends or turns parallel with the margin within the inner shelf. The inner shelf is underlain by a broad basement high, Nunivak arch, the seaward half of which is characterized by an arcuate belt of high-frequency and high-amplitude magnetic anomalies. This zone of intense magnetic anomalies along the shelf is probably the signature of a Mesozoic magmatic arc that extends from southwestern Alaska to eastern Siberia and consists of Jurassic to Cretaceous plutonic and volcanic rocks. We speculate that this magmatic arc resulted from oblique convergence and subduction in the Mesozoic between the Kula(?) and North American plates along the eastern Beringian margin. Folding and uplift in the area of the present outer shelf occurred contemporaneously with magmatism along the inner shelf. Plate convergence apparently ceased by the end of the Mesozoic or t e beginning of the Cenozoic. Subsequently, the foldbelt underlying the outer shelf was eroded extensively and rifted extensionally to form large, deep basins. On the average, the shelf has subsided more than 1.5 km. Subsidence and sediment burial of the eroded orogen formed the modern Beringian shelf.

AAPG Bulletin↗

Subsidence, crustal structure, and thermal evolution of Georges Bank basin

A geophysical study of Georges Bank basin defines a deep crustal structure that is interpreted in terms of the basin's tectonic and thermal history. Gravity models along three basin cross sections delineate two zones of crustal thinning at the basement hinge zone and oceanic crustal margins. These two zones bound rift-stage crust (about 25 km thick) which underlies the central portion of the basin. Subsidence analysis of the basin, using data from multichannel seismic reflection lines and two COST wells, suggests a rifting and (uniform) extensional origin. Two-dimensional finite difference modeling of the basin defines a crustal structure that concurs with the gravity and subsidence studies. The resulting isotherms show no major changes in the thermal structure since the ate Jurassic. In some areas of the basin, temperatures sufficient for oil generation are determined from maturation studies of Jurassic sediments. Hydrocarbon generation is questionable, however, because of the probable lack of proper and sufficient kerogen in the Jurassic deposits.

American Association of Petroleum Geologists Bulle↗

Structural charge site influence on the interlayer hydration of expandable three-sheet clay minerals

Previous investigations have demonstrated the influences of interlayer cation composition, relative humidity, temperature, and magnitude of interlayer surface charge on the interlayer hydration of montmorillonites and vermiculites. It has been suggested that the sites of layer charge deficiencies may also have an influence upon the amount of hydration that can take place in the interlayers of expandable clay minerals. If the interlayer cation-to-layer bonds are considered as ideally electrostatic, the magnitude of the forces resisting expansion may be expressed as a form of Coulomb's law. If this effect is significant, expandable structures in which the charge-deficiency sites are predominantly in the tetrahedral sheet should have less pronounced swelling properties than should structures possessing charge deficiencies located primarily in the octahedral sheet. Three samples that differed in location of layer charge sites were selected for study. An important selection criterion was a non-correlation between tetrahedral charge sites and high surface-charge density, and between octahedral charge sites and low surface-charge density. The effects of differences in interlayer cation composition were eliminated by saturating portions of each sample with the same cations. Equilibrium (001) d values at controlled constant humidities were used as a measure of the relative degree of interlayer hydration. Although no correlation could be made between the degree of interlayer hydration and total surface-charge density, the investigation does not eliminate total surface-charge density as being significant to the swelling properties of three-sheet clay-mineral structures. The results do indicate a correlation between more intense expandability and predominance of charge deficiencies in the octahedral sheet. Conversely, less intense swelling behavior is associated with predominantly tetrahedral charge deficiencies.

Clays and Clay Minerals↗

Lithium and potassium absorption, dehydroxylation temperature, and structural water content of aluminous smectites

X-ray analysis of Li + - and K + -saturated samples, differential thermal analysis (DTA), thermal gravimetric analysis (TGA), and chemical analysis of 83 samples enable a distinction to be made between Wyoming, Tatatilla, Otay, Chambers, and non-ideal types of montmorillonite, and between ideal and non-ideal types of beidellite. The Greene-Kelly Li + -test differentiates between the montmorillonites and beidellites. Re-expansion with ethylene glycol after K + -saturation and heating at 300°C depends upon total net layer charge and not upon location of the charge. Wyoming-type montmorillonites characteristically have low net layer charge and re-expand to 17 Å . whereas most other montmorillonites and beidellites have a higher net layer charge and re-expand to less than 17 Å . Major differences in dehydroxylation temperatures cannot be related consistently to the amount of Al 3 + -for-Si 4 + substitution, nor to the amount of Mg, Fe, type of interlayer cations, or particle size. The major factor controlling temperature of dehydroxylation seems to be the amount of structural (OH). Of 19 samples analyzed by TGA, montmorillonites and the one ideal beidellite that give dehydroxylation endotherms on their DTA curves between 650° and 760°C all contain nearly the ideal amount of 4(OH) per unit cell, but the non-ideal montmorillonites and beidellites that give dehydroxylation peaks between 550° and 600°C do not. Non-ideal beidellites contain more than the ideal amount of structural (OH) and non-ideal montmorillonites seem to contain less, although the low temperature of dehydroxylation of the latter could also be due to other structural defects. Change in X-ray diffraction intensity of the 001 reflection during dehydroxylation suggests that the extra (OH) of beidellite occurs at the apex of SiO 4 or AlO 4 tetrahedrons with the H + of the (OH) - polarized toward vacant cation sites in the octahedral sheet.

Clays and Clay Minerals↗

The structure of Mediterranean rocky reef ecosystems across environmental and human gradients, and conservation implications

Historical exploitation of the Mediterranean Sea and the absence of rigorous baselines makes it difficult to evaluate the current health of the marine ecosystems and the efficacy of conservation actions at the ecosystem level. Here we establish the first current baseline and gradient of ecosystem structure of nearshore rocky reefs at the Mediterranean scale. We conducted underwater surveys in 14 marine protected areas and 18 open access sites across the Mediterranean, and across a 31-fold range of fish biomass (from 3.8 to 118 g m-2). Our data showed remarkable variation in the structure of rocky reef ecosystems. Multivariate analysis showed three alternative community states: (1) large fish biomass and reefs dominated by non-canopy algae, (2) lower fish biomass but abundant native algal canopies and suspension feeders, and (3) low fish biomass and extensive barrens, with areas covered by turf algae. Our results suggest that the healthiest shallow rocky reef ecosystems in the Mediterranean have both large fish and algal biomass. Protection level and primary production were the only variables significantly correlated to community biomass structure. Fish biomass was significantly larger in well-enforced no-take marine reserves, but there were no significant differences between multi-use marine protected areas (which allow some fishing) and open access areas at the regional scale. The gradients reported here represent a trajectory of degradation that can be used to assess the health of any similar habitat in the Mediterranean, and to evaluate the efficacy of marine protected areas.

PLoS ONE↗

Effects of spatial subsidies and habitat structure on the foraging ecology and size of geckos

While it is well established that ecosystem subsidies—the addition of energy, nutrients, or materials across ecosystem boundaries—can affect consumer abundance, there is less information available on how subsidy levels may affect consumer diet, body condition, trophic position, and resource partitioning among consumer species. There is also little information on whether changes in vegetation structure commonly associated with spatial variation in subsidies may play an important role in driving consumer responses to subsidies. To address these knowledge gaps, we studied changes in abundance, diet, trophic position, size, and body condition of two congeneric gecko species ( Lepidodactylus spp.) that coexist in palm dominated and native (hereafter dicot dominated) forests across the Central Pacific. These forests differ trongly both in the amount of marine subsidies that they receive from seabird guano and carcasses, and in the physical structure of the habitat. Contrary to other studies, we found that subsidy level had no impact on the abundance of either gecko species; it also did not have any apparent effects on resource partitioning between species. However, it did affect body size, dietary composition, and trophic position of both species. Geckos in subsidized, dicot forests were larger, had higher body condition and more diverse diets, and occupied a much higher trophic position than geckos found in palm dominated, low subsidy level forests. Both direct variation in subsidy levels and associated changes in habitat structure appear to play a role in driving these responses. These results suggest that variation in subsidy levels may drive important behavioral responses in predators, even when their numerical response is limited. Strong changes in trophic position of consumers also suggest that subsidies may drive increasingly complex food webs, with longer overall food chain length.

Palmyra Atoll↗

Roosting and foraging social structure of the endangered Indiana bat ( Myotis sodalis )

Social dynamics are an important but poorly understood aspect of bat ecology. Herein we use a combination of graph theoretic and spatial approaches to describe the roost and social network characteristics and foraging associations of an Indiana bat ( Myotis sodalis ) maternity colony in an agricultural landscape in Ohio, USA. We tracked 46 bats to 50 roosts (423 total relocations) and collected 2,306 foraging locations for 40 bats during the summers of 2009 and 2010. We found the colony roosting network was highly centralized in both years and that roost and social networks differed significantly from random networks. Roost and social network structure also differed substantially between years. Social network structure appeared to be unrelated to segregation of roosts between age classes. For bats whose individual foraging ranges were calculated, many shared foraging space with at least one other bat. Compared across all possible bat dyads, 47% and 43% of the dyads showed more than expected overlap of foraging areas in 2009 and 2010 respectively. Colony roosting area differed between years, but the roosting area centroid shifted only 332 m. In contrast, whole colony foraging area use was similar between years. Random roost removal simulations suggest that Indiana bat colonies may be robust to loss of a limited number of roosts but may respond differently from year to year. Our study emphasizes the utility of graphic theoretic and spatial approaches for examining the sociality and roosting behavior of bats. Detailed knowledge of the relationships between social and spatial aspects of bat ecology could greatly increase conservation effectiveness by allowing more structured approaches to roost and habitat retention for tree-roosting, socially-aggregating bat species.

Ohio↗

Implications of the circumpolar genetic structure of polar bears for their conservation in a rapidly warming Arctic

We provide an expansive analysis of polar bear ( Ursus maritimus ) circumpolar genetic variation during the last two decades of decline in their sea-ice habitat. We sought to evaluate whether their genetic diversity and structure have changed over this period of habitat decline, how their current genetic patterns compare with past patterns, and how genetic demography changed with ancient fluctuations in climate. Characterizing their circumpolar genetic structure using microsatellite data, we defined four clusters that largely correspond to current ecological and oceanographic factors: Eastern Polar Basin, Western Polar Basin, Canadian Archipelago and Southern Canada. We document evidence for recent (ca. last 1&ndash;3 generations) directional gene flow from Southern Canada and the Eastern Polar Basin towards the Canadian Archipelago, an area hypothesized to be a future refugium for polar bears as climate-induced habitat decline continues. Our data provide empirical evidence in support of this hypothesis. The direction of current gene flow differs from earlier patterns of gene flow in the Holocene. From analyses of mitochondrial DNA, the Canadian Archipelago cluster and the Barents Sea subpopulation within the Eastern Polar Basin cluster did not show signals of population expansion, suggesting these areas may have served also as past interglacial refugia. Mismatch analyses of mitochondrial DNA data from polar and the paraphyletic brown bear ( U. arctos ) uncovered offset signals in timing of population expansion between the two species, that are attributed to differential demographic responses to past climate cycling. Mitogenomic structure of polar bears was shallow and developed recently, in contrast to the multiple clades of brown bears. We found no genetic signatures of recent hybridization between the species in our large, circumpolar sample, suggesting that recently observed hybrids represent localized events. Documenting changes in subpopulation connectivity will allow polar nations to proactively adjust conservation actions to continuing decline in sea-ice habitat.

Arctic↗

Isolation by distance versus landscape resistance: Understanding dominant patterns of genetic structure in Northern Spotted Owls (Strix occidentalis caurina)

Landscape genetics investigations examine how the availability and configuration of habitat influence genetic structure of plants and animals. We used landscape genetics to evaluate the role that forest connectivity plays in determining genetic structure of the federally-threatened Northern Spotted Owl ( Strix occidentalis caurina ) using genotypes of 339 Northern Spotted Owls obtained for 10 microsatellite loci. Spatial clustering analyses identified a distinct genetic cluster at the southern extent of the region examined. This cluster could not be linked to landscape connectivity patterns and suggested that post-Pleistocene processes were involved with its development rather than contemporary landscape configuration. We also compared matrices of pairwise inter-individual genetic distances with resistance distances derived from a circuit-theory based framework. Resistance distances were obtained for an idealized raster map that reflected continuous unimpeded dispersal habitat across the landscape along with five empirically-derived raster maps reflecting the 1870’s, 1940’s, 1986, 1994, and 2012. Resistance distances from the idealized map served as surrogates for linear geographic distances. Relative to idealized conditions, resistance distances were ~250% higher in the 1940’s and ~200% higher from 1986 onward. Resistance distances from the 1870’s were ~40% higher than idealized conditions. Inter-individual genetic distances were most highly correlated with resistance distances from the idealized map rather than any of the empirical maps. Two hypotheses explain our results. First, our results may reflect temporal lags between the onset of large-scale habitat alterations and their novel effects on genetic structure in long-lived species such as Northern Spotted Owls. Second, because Northern Spotted Owls disperse over long distances, our results may indicate that forest habitat has never been sufficiently fragmented to the point where connectivity was disrupted. The second hypothesis could indicate that forest management practices mandated by the Northwest Forest Plan succeeded with one of its primary goals. However, our results do not represent a complete portrayal of the status of Northern Spotted Owls given detection of significant population declines and bottlenecks in other studies. Future investigations based on computer simulations may help distinguish between hypotheses.

California, Oregon, Washington↗

Marsh canopy leaf area and orientation calculated for improved marsh structure mapping

An approach is presented for producing the spatiotemporal estimation of leaf area index (LAI) of a highly heterogeneous coastal marsh without reliance on user estimates of marsh leaf-stem orientation. The canopy LAI profile derivation used three years of field measured photosynthetically active radiation (PAR) vertical profiles at seven S. alterniflora marsh sites and iterative transform of those PAR attenuation profiles to best-fit light extinction coefficients (KM). KM sun zenith dependency was removed obtaining the leaf angle distribution (LAD) representing the average marsh orientation and the LAD used to calculate the LAI canopy profile. LAI and LAD reproduced measured PAR profiles with 99% accuracy and corresponded to field documented structures. LAI and LAD better reflect marsh structure and results substantiate the need to account for marsh orientation. The structure indexes are directly amenable to remote sensing spatiotemporal mapping and offer a more meaningful representation of wetland systems promoting biophysical function understanding.

Photogrammetric Engineering and Remote Sensing↗

Spatial genetic structure of Long-tailed Ducks (Clangula hyemalis) among Alaskan, Canadian, and Russian breeding populations

Arctic ecosystems are changing at an unprecedented rate. How Arctic species are able to respond to such environmental change is partially dependent on the connections between local and broadly distributed populations. For species like the Long-tailed Duck ( Clangula hyemalis ), we have limited telemetry and band-recovery information from which to infer population structure and migratory connectivity; however, genetic analyses can offer additional insights. To examine population structure in the Long-tailed Duck, we characterized variation at mtDNA control region and microsatellite loci among four breeding areas in Alaska, Canada, and Russia. We observed significant differences in the variance of mtDNA haplotype frequencies between the Yukon-Kuskokwim Delta (YKD) and the three Arctic locations (Arctic Coastal Plain in Alaska, eastern Siberia, and central Canadian Arctic). However, like most sea duck genetic assessments, our study found no evidence of population structure based on autosomal microsatellite loci. Long-tailed Ducks use multiple wintering areas where pair formation occurs with some populations using both the Pacific and Atlantic Oceans. This situation provides a greater opportunity for admixture across breeding locales, which would likely homogenize the nuclear genome even in the presence of female philopatry. The observed mtDNA differentiation was largely due to the presence of two divergent clades: (A) a clade showing signs of admixture among all breeding locales and (B) a clade primarily composed of YKD samples. We hypothesize that the pattern of mtDNA differentiation reflects some degree of philopatry to the YKD and isolation of two refugial populations with subsequent expansion and admixture. We recommend additional genetic assessments throughout the circumpolar range of Long-tailed Ducks to further quantify aspects of genetic diversity and migratory connectivity in this species.

Arctic Coastal Plain, central Canadian Arctic, eas↗

Evidence for population bottlenecks and subtle genetic structure in the yellow rail

The Yellow Rail (Coturnicops noveboracencis) is among the most enigmatic and least studied North American birds. Nesting exclusively in marshes and wetlands, it breeds largely east of the Rocky Mountains in the northern United States and Canada, but there is an isolated population in southern Oregon once believed extirpated. The degree of connectivity of the Oregon population with the main population is unknown. We used mitochondrial DNA sequences (mtDNA) and six microsatellite loci to characterize the Yellow Rail's genetic structure and diversity patterns in six areas. Our mtDNA-based analyses of genetic structure identified significant population differentiation, but pairwise comparison of regions identified no clear geographic trends. In contrast, microsatellites suggested subtle genetic structure differentiating the Oregon population from those in the five regions sampled in the Yellow Rail's main breeding range. The genetic diversity of the Oregon population was also the lowest of the six regions sampled, and Oregon was one of three regions that demonstrated evidence of recent population bottlenecks. Factors that produced population reductions may include loss of wetlands to development and agricultural conversion, drought, and wildfire. At this time, we are unable to determine if the high percentage (50%) of populations having experienced bottlenecks is representative of the Yellow Rail's entire range. Further genetic data from additional breeding populations will be required for this issue to be addressed.

The Condor↗

Structure and stability of the midsummer fish communities in Chequamegon Bay, Lake Superior, 1973-1996

We analyzed the structure and stability of the summer fish communities of Chequamegon Bay, Lake Superior, during 1973–1996 from data collected with bottom trawls at 39 stations. Fifty‐three taxa were collected during the study, but we found that relative abundances for 20 taxa described most of the internal variability of the data for all taxa. Abundance data for the 20 species showed that two communities existed in the bay; one inhabited shallow water (≤3.0 m) whereas the other inhabited deeper water (>3.0 m). No temporal patterns of change were found in the structure of the shallow‐water community, whose variation was best described by abundances of 12 taxa. The deepwater community, whose variation was best described by eight taxa, underwent three periods ofstability; 1973–1978, 1979–1988, and 1989–1996. We conclude that the shallow‐water community was stable throughout the 24 years studied. Dynamics of the deepwater community were greatly affected by changes in stocking rates of lake trout Salvelinus namaycush and splake (hybrid of brook trout S. fontinalis × lake trout) and by rehabilitation of populations of lake herring Coregonus artedi and lake whitefish C. clupeaformis. Information on the existence, structure, stability, and habitats of fish communities in the bay will be useful for assessing changes in those communities that result from further changes in the bay or lake ecosystems.

Wisconsin↗