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At least 667 records · Page 37Linked to original sources

Artificial recharge of groundwater and its role in water management

This paper summarizes and discusses the various aspects and methods of artificial recharge with particular emphasis on its uses and potential role in water management in the Arabian Gulf region. Artificial recharge occurs when man's activities cause more water to enter an aquifer, either under pumping or non-pumping conditions, than otherwise would enter the aquifer. Use of artificial recharge can be a practical means of dealing with problems of overdraft of groundwater. Methods of artificial recharge may be grouped under two broad types: (a) water spreading techniques, and (b) well-injection techniques. Successful use of artificial recharge requires a thorough knowledge of the physical and chemical characteristics of the aquifier system, and extensive onsite experimentation and tailoring of the artificial-recharge technique to fit the local or areal conditions. In general, water spreading techniques are less expensive than well injection and large quantities of water can be handled. Water spreading can also result in significant improvement in quality of recharge waters during infiltration and movement through the unsaturated zone and the receiving aquifer. In comparison, well-injection techniques are often used for emplacement of fresh recharge water into saline aquifer zones to form a manageable lens of fresher water, which may later be partially withdrawn for use or continue to be maintained as a barrier against salt-water encroachment. A major advantage in use of groundwater is its availability, on demand to wells, from a natural storage reservoir that is relatively safe from pollution and from damage by sabotage or other hostile action. However, fresh groundwater occurs only in limited quantities in most of the Arabian Gulf region; also, it is heavily overdrafted in many areas, and receives very little natural recharge. Good use could be made of artificial recharge by well injection in replenishing and managing aquifers in strategic locations if sources of freshwater could be made available for the artificial-recharge operations.

Desalination↗

Simultaneous oxidation of arsenic and antimony at low and circumneutral pH, with and without microbial catalysis

Arsenic and Sb are common mine-water pollutants and their toxicity and fate are strongly influenced by redox processes. In this study, simultaneous Fe(II), As(III) and Sb(III) oxidation experiments were conducted to obtain rates under laboratory conditions similar to those found in the field for mine waters of both low and circumneutral pH. Additional experiments were performed under abiotic sterile conditions to determine the biotic and abiotic contributions to the oxidation processes. The results showed that under abiotic conditions in aerated Fe(III)–H 2 SO 4 solutions, Sb(III) oxidizes slightly faster than As(III). The oxidation rates of both elements were accelerated by increasing As(III), Sb(III), Fe(III), and Cl − concentrations in the presence of light. For unfiltered circumneutral water from the Giant Mine (Yellowknife, NWT, Canada), As(III) oxidized at 15–78 μmol/L/h whereas Sb(III) oxidized at 0.03–0.05 μmol/L/h during microbial exponential growth. In contrast, As(III) and Sb(III) oxidation rates of 0.01–0.03 and 0.01–0.02 μmol/L/h, respectively, were obtained in experiments performed with acid unfiltered mine waters from the Iberian Pyritic Belt (SW Spain). These results suggest that the Fe(III) formed from microbial oxidation abiotically oxidized As(III) and Sb(III). After sterile filtration of both mine water samples, neither As(III), Sb(III), nor Fe(II) oxidation was observed. Hence, under the experimental conditions, bacteria were catalyzing As and Sb oxidation in the Giant Mine waters and Fe oxidation in the acid waters of the Iberian Pyrite Belt.

Applied Geochemistry↗

Shear wave velocity, seismic attenuation, and thermal structure of the continental upper mantle

Seismic velocity and attenuation anomalies in the mantle are commonly interpreted in terms of temperature variations on the basis of laboratory studies of elastic and anelastic properties of rocks. In order to evaluate the relative contributions of thermal and non-thermal effects on anomalies of attenuation of seismic shear waves, Q −1 s , and seismic velocity, V s , we compare global maps of the thermal structure of the continental upper mantle with global Q −1 s and V s maps as determined from Rayleigh waves at periods between 40 and 150 s. We limit the comparison to three continental mantle depths (50, 100 and 150 km), where model resolution is relatively high. The available data set does not indicate that, at a global scale, seismic anomalies in the upper mantle are controlled solely by temperature variations. Continental maps have correlation coefficients of <0.56 between V s and T and of <0.47 between Q s and T at any depth. Such low correlation coefficients can partially be attributed to modelling artefacts; however, they also suggest that not all of the V s and Q s anomalies in the continental upper mantle can be explained by T variations. Global maps show that, by the sign of the anomaly, V s and Q s usually inversely correlate with lithospheric temperatures: most cratonic regions show high V s and Q s and low T , while most active regions have seismic and thermal anomalies of the opposite sign. The strongest inverse correlation is found at a depth of 100 km, where the attenuation model is best resolved. Significantly, at this depth, the contours of near-zero Q s anomalies approximately correspond to the 1000 °C isotherm, in agreement with laboratory measurements that show a pronounced increase in seismic attenuation in upper mantle rocks at 1000–1100 °C. East–west profiles of V s , Q s and T where continental data coverage is best (50°N latitude for North America and 60°N latitude for Eurasia) further demonstrate that temperature plays a dominant, but non-unique, role in determining the value of lithospheric V s and Q s . At 100 km depth, where the resolution of seismic models is the highest, we compare observed seismic V s and Q s with theoretical V T s and Q T s values, respectively, that are calculated solely from temperature anomalies and constrained by experimental data on temperature dependencies of velocity and attenuation. This comparison shows that temperature variations alone are sufficient to explain seismic V s and Q s in ca 50 per cent of continental regions. We hypothesize that compositional anomalies resulting from Fe depletion can explain the misfit between seismic and theoretical V s in cratonic lithosphere. In regions of active tectonics, temperature effects alone cannot explain seismic V s and Q s in the lithosphere. It is likely that partial melts and/or fluids may affect seismic parameters in these regions. This study demonstrates that lithospheric temperature plays the dominant role in controlling V s and Q s anomalies, but other physical parameters, such as compositional variations, fluids, partial melting and scattering, may also play a significant role in determining V s and Q s variations in the continental mantle.

Geophysical Journal International↗

Ichthyophonus-induced cardiac damage: a mechanism for reduced swimming stamina in salmonids

Swimming stamina, measured as time-to-fatigue, was reduced by approximately two-thirds in rainbow trout experimentally infected with Ichthyophonus. Intensity of Ichthyophonus infection was most severe in cardiac muscle but multiple organs were infected to a lesser extent. The mean heart weight of infected fish was 40% greater than that of uninfected fish, the result of parasite biomass, infiltration of immune cells and fibrotic (granuloma) tissue surrounding the parasite. Diminished swimming stamina is hypothesized to be due to cardiac failure resulting from the combination of parasite-damaged heart muscle and low myocardial oxygen supply during sustained aerobic exercise. Loss of stamina in Ichthyophonus-infected salmonids could explain the poor performance previously reported for wild Chinook and sockeye salmon stocks during their spawning migration. ?? 2006 Blackwell Publishing Ltd.

Journal of Fish Diseases↗

Temporal shifts in top-down vs. bottom-up control of epiphytic algae in a seagrass ecosystem

In coastal marine food webs, small invertebrate herbivores (mesograzers) have long been hypothesized to occupy an important position facilitating dominance of habitat-forming macrophytes by grazing competitively superior epiphytic algae. Because of the difficulty of manipulating mesograzers in the field, however, their impacts on community organization have rarely been rigorously documented. Understanding mesograzer impacts has taken on increased urgency in seagrass systems due to declines in seagrasses globally, caused in part by widespread eutrophication favoring seagrass overgrowth by faster-growing algae. Using cage-free field experiments in two seasons (fall and summer), we present experimental confirmation that mesograzer reduction and nutrients can promote blooms of epiphytic algae growing on eelgrass ( Zostera marina ). In this study, nutrient additions increased epiphytes only in the fall following natural decline of mesograzers. In the summer, experimental mesograzer reduction stimulated a 447% increase in epiphytes, appearing to exacerbate seasonal dieback of eelgrass. Using structural equation modeling, we illuminate the temporal dynamics of complex interactions between macrophytes, mesograzers, and epiphytes in the summer experiment. An unexpected result emerged from investigating the interaction network: drift macroalgae indirectly reduced epiphytes by providing structure for mesograzers, suggesting that the net effect of macroalgae on seagrass depends on macroalgal density. Our results show that mesograzers can control proliferation of epiphytic algae, that top-down and bottom-up forcing are temporally variable, and that the presence of macroalgae can strengthen top-down control of epiphytic algae, potentially contributing to eelgrass persistence.

Ecology↗

Statistical facilitation in environmental science: Integrating results from complementary statistical analyses can improve ecological interpretations

Professionals working in biological conservation seek to understand, manage, and restore populations of native organisms using many techniques. A common approach for this discipline is using long-term data collections to inform decision making. However, several quantitative issues complicate statistical analysis of monitoring datasets and can reduce the utility of results for conservation decision making. Integrating results from multiple analyses applied to the same dataset (i.e., approaching the same biological problem using different techniques) is one way to address concerns related to field data that violate statistical assumptions. This process allows data analysts, researchers, and managers to assemble insights based on the weight of evidence. Here we tested whether three different statistical techniques [(1) multiple logistic regression on original data, (2) multiple logistic regression on standardized data (i.e., mean of 0 and standard deviation of 1), and (3) random forest analysis] identified a similar hierarchy for selecting natural and anthropogenic habitat regressors. Our examination of how environmental variables affected Plains Minnow ( Hybognathus placitus ), a state-threatened fish, is relevant to other taxa and locations. We gained useful information from redundancies (i.e., agreements across analyses). New directions also emerged by addressing ambiguities (i.e., disagreements among results across analyses). When multiple analyses were integrated into one ecological story, a clearer interpretation emerged. Viewing different statistical tests as facilitators that provide mutual advantages can advance the understanding and application of statistical analyses applied to non-experimental field datasets.

Kansas↗

Blood changes in mallards exposed to white phosphorus

White phosphorus (P 4 ) has been extensively used by the military for various purposes, including marking artillery impacts and as an obscurant. Target practice in an Alaskan tidal marsh during the last 4 decades has deposited large amounts of P 4 particles in sediments and water, which have resulted in die-offs of several waterfowl species. Because the toxicity of P 4 in birds has not been well documented and because it is quickly excreted or metabolized in living animals, we sought to determine the effects of experimental dosing on blood characteristics in game farm mallards ( Anas platyrhynchos ). In two experiments, one employing single doses of 5.4 mg P 4 per kilogram body weight in corn oil and the other using daily repeated doses of pelletized P 4 at either 0.5 or 1.0 mg/kg, there were significant changes in aspartate aminotransferase, alanine aminotransferase, lactate dehydrogenase (LDH), inorganic P, hematocrit, and hemoglobin. Other indications of exposure included changes in uric acid, creatinine, and total protein, which were consistent with reported liver and kidney damage due to this contaminant. Changes in white blood cells included a greater frequency of thrombocytes and fewer lymphocytes in dosed birds compared to controls. A biomarker of exposure based on LDH activity and hemoglobin is proposed.

Environmental Toxicology and Chemistry↗

Lower lethal temperatures for nonnative freshwater fishes in Everglades National Park, Florida

Temperature is an important factor that shapes biogeography and species composition. In southern Florida, the tolerance of nonnative freshwater fishes to low temperatures is a critical factor in delineating their geographic spread. In this study, we provide empirical information on experimentally derived low-temperature tolerance limits of Banded Cichlid Heros severus and Spotfin Spiny Eel Macrognathus siamensis, two nonnative Everglades fishes that were lacking data, and African Jewelfish Hemichromis letourneuxi and Mayan Cichlid Cichlasoma urophthalmus, species for which previous results were derived from studies with small sample sizes. We also provide a literature review summarizing the current state of knowledge of low-temperature tolerances for all 17 nonnative freshwater fishes that have been found in Everglades National Park. Mean lower lethal temperature tolerances ranged from 4°C (Orinoco Sailfin Catfish Pterygoplichthys multiradiatus) to 16.1°C (Butterfly Peacock Bass Cichla ocellaris). These low-temperature limits may inform the understanding of the ecological role or influence of nonnative fishes and may lead to potential management opportunities and applications.

Florida↗

An evaluation of the rust fungus Gymnoconia nitensas a potential biological control agent for alien Rubus species in Hawaii

The rust fungus Gymnoconia nitens infects blackberry ( Rubus argutus ) systemically in regions of the continental United States, producing bright yellow–orange masses of spores on newly developing floricanes during springtime. In tests to determine the suitability of this rust as a biological control agent for R. penetrans in Hawaii, a species now thought to be conspecific with R. argutus, rooted cuttings of the Hawaiian plants were grown at North Carolina State University, inoculated, and observed. Other introduced weedy Rubus spp. in Hawaii, including R. ellipticus, R. rosifolius, and R. glaucus, as well as the two endemic species R. hawaiensis and R. macraei, also were inoculated. No species of Rubus are of commercial importance in Hawaii, but the protection of the native species, of which R. macraei is rare, was of utmost concern. The native Hawaiian species did not survive well in North Carolina in this study, however. Later availability of a plant pathogen containment laboratory in Hawaii enabled similar tests to be conducted at that facility. In addition to the above species, R. spectabilis (salmonberry), a species native to the Pacific Northwest with which the Hawaiian Rubus spp. are thought to share a common ancestor, was inoculated in Hawaii. Infection with G. nitens under natural field conditions becomes apparent only when sporulation occurs on floricanes the second year following infection. However, experimental inoculation led to early responses of chlorotic leaf flecking and puckering, leaf and stem contortion, and stem gall formation, indicating the sensitivity of R. penetrans (= R. argutus ), R. hawaiensis, and R. macraei to this rust. Apparent systemic infection also resulted in sporulation on one plant of R. macraei. Ability to attack the endemic species suggests that G. nitens would not be suitable for release in Hawaii as a biological control agent, at least on the islands with populations of the native species.

Hawaii↗

Kinetic model for the short-term dissolution of a rhyolitic glass

Aqueous dissolution experiments with the vitric phase of a rhyolitic tuff were performed at 25??C and constant pH in the range 4.5-7.5. Results suggest interchange of aqueous hydrogen ions for cations situated both on the surface and within the glass. At time intervals from 24 to 900 hr., dissolution kinetics are controlled by ion transport to and from sites within the glass. Experimental data indicate that parabolic diffusion rate of a chemical species from the solid is a nonlinear function of its aqueous concentration. A numerical solution to Fick's second law is presented for diffusion of sodium, which relates it's aqueous concentration to it's concentration on glass surface, by a Freundlich adsorption isotherm. The pH influence on sodium diffusion in the model can be accounted for by use of a pH-dependent diffusion coefficient and a pH-independent adsorption isotherm. ?? 1980.

Chemical Geology↗

Performance of the ecosystem demography model (EDv2.2) in simulating gross primary production capacity and activity in a dryland study area

Dryland ecosystems play an important role in the global carbon cycle, including regulating the inter-annual global carbon sink. Dynamic global vegetation models (DGVMs) are essential tools that can help us better understand carbon cycling in different ecosystems. Currently, there is limited knowledge of the performance of these models in drylands partly due to characterizing the heterogeneity of the vegetation and hydrometeorological conditions. The aim of this study is to evaluate the performance of a DGVM for drylands to facilitate improved understanding of gross primary production (GPP) as one of the important components of the carbon cycle. We performed a sensitivity analysis and calibrated the Ecosystem Demography (EDv2.2) DGVM to simulate GPP in a dryland watershed (Reynolds Creek Experimental Watershed, Idaho) in the western US for the years 2000-2017. GPP capacity and activity were investigated by comparing model simulations with GPP estimated from eddy covariance data (available from 2015-2017) and remote sensing products (2000-2017). Our results show good performance of EDv2.2 at daily timesteps ( R M S E &#x2248; 0.38 [ kgC / m 2 / year ] ) "> RMSE≈0.38[kgC/m2/year])

Idaho↗

Assessment of crop growth and soil water modules in SWAT2000 using extensive field experiment data in an irrigation district of the Yellow River Basin

SWAT, a physically-based, hydrological model simulates crop growth, soil water and groundwater movement, and transport of sediment and nutrients at both the process and watershed scales. While the different versions of SWAT have been widely used throughout the world for agricultural and water resources applications, little has been done to test the performance, variability, and transferability of the parameters in the crop growth, soil water, and groundwater modules in an integrated way with multiple sets of field experimental data at the process scale. Using an multiple years of field experimental data of winter wheat (Triticum aestivum L.) in the irrigation district of the Yellow River Basin, this paper assesses the performance of the plant-soil-groundwater modules and the variability and transferability of SWAT2000. Comparison of the simulated results by SWAT to the observations showed that SWAT performed quite unsatisfactorily in LAI predictions during the senescence stage, in yield predictions, and in soil-water estimation under dry soil-profile conditions. The unsatisfactory performance in LAI prediction might be attributed to over-simplified senescence modeling; in yield prediction to the improper computation of the harvest index; and in soil water under dry conditions to the exclusion of groundwater evaporation from the soil water balance in SWAT. In this paper, improvements in crop growth, soil water, and groundwater modules in SWAT were implemented. The saturated soil profile was coupled to the oscillating groundwater table. A variable evaporation coefficient taking into account soil water deficit index, groundwater depth, and crop root depth was used to replace the fixed coefficient in computing groundwater evaporation. The soil water balance included the groundwater evaporation. The modifications improved simulations of crop evapotranspiration and biomass as well as soil water dynamics under dry soil-profile conditions. The evaluation shows that the crop growth and soil water components of SWAT could be further refined to better simulate the hydrology of agricultural watersheds. ?? 2008 Elsevier B.V. All rights reserved.

Journal of Hydrology↗

Is there enough sand? Evaluating the fate of Grand Canyon sandbars

Large dams have the potential to dramatically alter the flow regime, geomorphology, and aquatic ecosystem of downstream river reaches. Development of flow release regimes in order to meet multiple objectives is a challenge facing dam operators, resource managers, and scientists. Herein, we review previous work and present new analyses related to the effects of Glen Canyon Dam on the downstream reach of the Colorado River in Marble and Grand Canyons. The dam traps the entire incoming sediment load in Lake Powell and modulates the hydrologic regime by, for example, eliminating spring snowmelt floods, resulting in changes in the geomorphology of the river downstream. The primary geomorphic impact has been the erosion of sandbars along the banks of the river. Recognition of this impact has led to many scientific studies and a variety of experimental operations of Glen Canyon Dam with the goal of rebuilding the eroding sandbars. These efforts have thus far been generally unsuccessful and the question remains as to whether or not the dam can be operated such that sandbars can be rebuilt and maintained over extended periods with the existing sediment supply. We attempt to answer this question by evaluating a dam operation that may be considered a "best-case scenario" for rebuilding and maintaining eroded sandbars. Our analysis suggests that this best-case scenario may indeed have viability for rebuilding sandbars, and that the initial rate at which sandbars could be rebuilt is comparable to the rate at which sandbars have been eroded since dam construction. The question remains open as to the viability of operations that deviate from the best-case scenario that we have defined.

Grand Canyon↗

Application of SEAWAT to select variable-density and viscosity problems

SEAWAT is a combined version of MODFLOW and MT3DMS, designed to simulate three-dimensional, variable-density, saturated groundwater flow. The most recent version of the SEAWAT program, SEAWAT Version 4 (or SEAWAT_V4), supports equations of state for fluid density and viscosity. In SEAWAT_V4, fluid density can be calculated as a function of one or more MT3DMS species, and optionally, fluid pressure. Fluid viscosity is calculated as a function of one or more MT3DMS species, and the program also includes additional functions for representing the dependence of fluid viscosity on temperature. This report documents testing of and experimentation with SEAWAT_V4 with six previously published problems that include various combinations of density-dependent flow due to temperature variations and/or concentration variations of one or more species. Some of the problems also include variations in viscosity that result from temperature differences in water and oil. Comparisons between the results of SEAWAT_V4 and other published results are generally consistent with one another, with minor differences considered acceptable.

Scientific Investigations Report↗

The debris-flow rheology myth

Models that employ a fixed rheology cannot yield accurate interpretations or predictions of debris-flow motion, because the evolving behavior of debris flows is too complex to be represented by any rheological equation that uniquely relates stress and strain rate. Field observations and experimental data indicate that debris behavior can vary from nearly rigid to highly fluid as a consequence of temporal and spatial variations in pore-fluid pressure and mixture agitation. Moreover, behavior can vary if debris composition changes as a result of grain-size segregation and gain or loss of solid and fluid constituents in transit. An alternative to fixed-rheology models is provided by a Coulomb mixture theory model, which can represent variable interactions of solid and fluid constituents in heterogeneous debris-flow surges with high-friction, coarse-grained heads and low-friction, liquefied tails. ?? 2003 Millpress.

Conference Paper↗

Nest predation and adult mortality relationships with post-natal metabolic rates and growth among songbird species

Metabolism is thought to mediate the connection between environmental selection pressures and a broad array of life history tradeoffs, but tests are needed. High juvenile predation correlates with fast growth, which may be achieved via fast juvenile metabolism. Fast offspring metabolism and growth can create physiological costs later in life that should be minimized in species with low adult mortality. Yet, relationships between juvenile metabolism and mortality at offspring versus adult stages are unexplored. We found that post-natal metabolism was positively correlated with adult mortality but not nest predation rates among 43 songbird species on three continents. Nest predation, but not adult mortality, explained additional variation in growth rates beyond metabolism. Our results suggest that metabolism may not be the mechanism underlying the relationships between growth and mortality at different life stages.

Journal of Experimental Biology↗

Mississippi Kite nest defense: Is there an influence of nest phenology or human activity?

Birds that have adapted to urban landscapes often display changes in their behavioral responses to human disturbance. This habituation may result in a decreased wariness and secrecy near their nest and an increased inclination to engage in aggressive nest defenses. Aggressive defense of nests has been noted among Mississippi Kites ( Ictinia mississippiensis ), a raptor that has become a common and abundant urban nesting species across the Southern Great Plains. Defensive behaviors include swoops at, and occasional physical contact with, humans who venture close to nests. Previous research found aggressive responses by kites in 16–20% of experimental passes under nests. However, the type of human pedestrian activity around nests may influence the occurrence of aggressive responses. We assessed adult Mississippi Kite responses to experimental nest area intrusions during each week of the first four weeks of nestling development to explore increases or attenuation of aggressive behaviors. We also assessed responses in context of three types of pedestrian passes to nests. We conducted 84 trials consisting of 252 passes and found 90% elicited no response from the attending kite, 8% elicited a flight response, and 2% elicited an attack. There was no difference in response to pass type, but we found evidence that responsiveness may be associated with nestling age. Our results suggest aggression by Mississippi Kites is uncommon, but infrequent events that gain local attention may increase the perceived risk from the species due to the availability heuristic. Additionally, individual nesting pairs may tend toward aggression and become persistent nuisance birds that gain attention but are not representative of the majority of nesting pairs.

Journal of Raptor Research↗

Predicting pup-rearing habitat for Mexican wolves

Population monitoring is essential to document recovery efforts for threatened and endangered species. Mexican wolves ( Canis lupus baileyi ) are an endangered subspecies of gray wolves that historically occupied large portions of the American Southwest and Mexico. Recently, the Mexican wolf population in the United States has been growing rapidly and traditional approaches for population monitoring (e.g., capture and radio collaring) are becoming difficult and expensive as wolves expand into new areas. We developed predictive models of pup-rearing habitat (i.e., den and rendezvous sites) that could help guide future population monitoring efforts. We located 255 den sites and 129 rendezvous sites in Arizona and New Mexico, USA (1998–2023) using tracking collars and site visits. We sampled habitat conditions in wolf-occupied regions of Arizona and New Mexico and fit logistic regressions to these data following a use–available study design to estimate resource selection functions (RSF) for den and rendezvous sites. We hypothesized wolves would select areas that offered greater physical protection, lower human-disturbance, and access to reliable water sources for pup-rearing but that the relative importance of these features would differ between the denning and rendezvous site seasons. Mexican wolves selected den sites at higher elevations in steeper and rougher terrain that were closer to permanent waterbodies but farther from rural roads. Selection of rendezvous sites was also associated with higher elevations and proximity to waterbodies but varied with availability of green leaf biomass on the landscape. While still highly predictive, our rendezvous site model was less predictive than our den model (Spearman's correlation averaged 0.81 [SE = 0.05] vs. 0.90 [SE = 0.03], respectively), possibly because water and green leaf biomass are more spatially diffuse and variable because of monsoonal rains during the rendezvous site season. Our results suggest that terrain features associated with physical protection and access to reliable water were most important in characterizing suitable pup-rearing habitat for Mexican wolves. By predicting suitable den and rendezvous site habitat across portions of the Mexican Wolf Experimental Population Area, our models can help guide future population monitoring by reducing the total search area when surveying for wolves and increase the probability of detecting all members of a pack.

Arizona, New Mexico↗