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At least 73 records · Page 4Linked to original sources

Prevalence, transmission, and genetic diversity of blood parasites infecting tundra-nesting geese in Alaska

A total of 842 blood samples collected from five species of tundra-nesting geese in Alaska was screened for haemosporidian parasites using molecular techniques. Parasites of the genera Leucocytozoon Danilewsky, 1890, Haemoproteus Kruse, 1890, and Plasmodium Marchiafava and Celli, 1885 were detected in 169 (20%), 3 (<1%), and 0 (0%) samples, respectively. Occupancy modeling was used to estimate prevalence of Leucocytozoon parasites and assess variation relative to species, age, sex, geographic area, year, and decade. Species, age, and decade were identified as important in explaining differences in prevalence of Leucocytozoon parasites. Leucocytozoon parasites were detected in goslings sampled along the Arctic Coastal Plain using both historic and contemporary samples, which provided support for transmission in the North American Arctic. In contrast, lack of detection of Haemoproteus and Plasmodium parasites in goslings ( n = 238) provided evidence to suggest that the transmission of parasites of these genera may not occur among waterfowl using tundra habitats in Alaska, or alternatively, may only occur at low levels. Five haemosporidian genetic lineages shared among different species of geese sampled from two geographic areas were indicative of interspecies parasite transmission and supported broad parasite or vector distributions. However, identical Leucocytozoon and Haemoproteus lineages on public databases were limited to waterfowl hosts suggesting constraints in the range of parasite hosts.

Alaska

Petrology and isotopic composition of Quaternary basanites dredged from the Bering Sea continental margin near Navarin Basin

Quaternary basanites were recovered from shallow water depth from the continental margin of the Bering Sea (58°39.0′N, 177°12.9′W) near Navarin Basin. The basanites are highly vesicular flow rock and hyaloclastites similar to other alkalic volcanic rocks erupted repeatedly during the late Cenozoic on islands in the Bering Sea region and in mainland Alaska. K–Ar ages for the basanites indicate at least two episodes of volcanism at about 1.1 and 0.4 Ma. Similar alkalic volcanism occurred sporadically at geographically widely separated centers in the Bering Sea region for at least the past 6 Ma. Chemically, these alkalic lavas are intraplate basalts similar to those erupted from oceanic islands and in some continental settings. Trace-element data indicate these alkalic lavas have been generated by small, but variable, amounts of partial melting of a meta-somatized lherzolite source. The relatively primitive compositions (MgO > 9%), presence of mantle-derived xenoliths in some alkalic lavas, and presence of forsteritic olivine with low CaO and high NiO suggest that magma rose rapidly from greath depth without spending time in large, long-lived magma chambers. Although lavas from different volcanic centers in the Bering Sea region are similar with respect to major elements and many trace-element ratios, isotopic compositions indicate heterogeneities in the source. The Navarin basanites have higher 87 Sr/ 86 Sr and lower 143 Nd/ 144 Nd values than any other lavas so far reported from this region. The 207 Pb/ 204 Pb isotopic ratios indicate involvement of a crustal component, which may have resulted from metasomatism associated with subduction-related magmatic activity during the Early Eocene in this region. Although some volcanic episodes appear to have occurred roughly synchronously at geographically widely separated centers, no large-scale regional extension nor presence of large mantle plumes are indicated. Instead, alkalic volcanism apparently resulted from upwelling and decompressional melting of small isolated mantle diapirs in response to local lithospheric attenuation associated with jostling of blocks during adjustment to regional stresses.

Alaska

Geographic information systems compilation of geophysical, geologic, and tectonic data for the Bering Shelf, Chukchi Sea, Arctic margin, and adjacent landmasses

The accompanying CD-ROM contains a compilation of geophysical, geologic, and tectonic data for the Bering Shelf, the Chukchi Sea, the Arctic margin, and adjacent landmasses. These data sets focus on Alaska, the Russian Far East, and the continental shelves that link these two landmasses. For compatibility with other available geographic information system (GIS) products, our GIS compilation extends from 120°E to 115°W, and from 40°N to 80°N. This area encompasses the region from the modern Paciµc plate boundary of the Japan, Kurile, and Aleutian subduction zones, the Queen Charlotte transform fault, and the Cascadia subduction zone (in the south) to the continent-ocean transition from the Eurasian and North American continents to the Arctic Ocean (in the north); and from the diffuse Eurasian–North American plate boundary, including the probable Okhotsk plate (in the west) to the Alaskan-Canadian Cordilleran fold belt (in the east). The CD-ROM comprises thematic layers of spatial data sets for topography, gravity µeld, magnetic µeld, earthquakes, volcanoes, geology, tectonostratigraphic terranes, and cultural reference features, and also includes metadata (data about the data) for all these data sets. The spatial data sets can be viewed, analyzed, and plotted with commercial GIS software (ArcView and ARC/Info) or through a freeware program (ArcExplorer) that is included on this CD-ROM. This GIS compilation provides data for studies of the Mesozoic and Cenozoic collisional and accretionary tectonics that assembled this continental crust and of the neotectonics of active and passive plate margins in this region, and for constructing and interpreting geophysical, geologic, and tectonic models of the region.

Alaska

Regional contamination versus regional dietary differences: Understanding geographic variation in brominated and chlorinated contaminant levels in polar bears

The relative contribution of regional contamination versus dietary differences to geographic variation in polar bear ( Ursus maritimus ) contaminant levels is unknown. Dietary variation between Alaska, Canada, East Greenland, and Svalbard subpopulations was assessed by muscle nitrogen and carbon stable isotope (δ 15 N, δ 13 C) and adipose fatty acid (FA) signatures relative to their main prey (ringed seals). Western and southern Hudson Bay signatures were characterized by depleted δ 15 N and δ 13 C, lower proportions of C 20 and C 22 monounsaturated FAs and higher proportions of C 18 and longer chain polyunsaturated FAs. East Greenland and Svalbard signatures were reversed relative to Hudson Bay. Alaskan and Canadian Arctic signatures were intermediate. Between-subpopulation dietary differences predominated over interannual, seasonal, sex, or age variation. Among various brominated and chlorinated contaminants, diet signatures significantly explained variation in adipose levels of polybrominated diphenyl ether (PBDE) flame retardants (14−15%) and legacy PCBs (18−21%). However, dietary influence was contaminant class-specific, since only low or nonsignificant proportions of variation in organochlorine pesticide (e.g., chlordane) levels were explained by diet. Hudson Bay diet signatures were associated with lower PCB and PBDE levels, whereas East Greenland and Svalbard signatures were associated with higher levels. Understanding diet/food web factors is important to accurately interpret contaminant trends, particularly in a changing Arctic.

Environmental Science & Technology

Harvest–release decisions in recreational fisheries

Most fishery regulations aim to control angler harvest. Yet, we lack a basic understanding of what actually determines the angler’s decision to harvest or release fish caught. We used XGBoost, a machine learning algorithm, to develop a predictive angler harvest–release model by taking advantage of an extensive recreational fishery data set (24 water bodies, 9 years, and 193 523 fish). We were able to successfully predict the harvest–release outcome for 99% of fish caught in the training data set and 96% of fish caught in the test data set. Unsuccessful predictions were mostly attributed to predicting harvest of fish that were released. Fish length was the most essential feature examined for predicting angler harvest. Other important predictive harvest–release features included the number of individuals of the same species caught, geographic location of an angler’s residence, distance traveled, and time spent fishing. The XGBoost algorithm was able to effectively predict the harvest–release decision and revealed hidden and intricate relationships that are often unaccounted for with classical analysis techniques. Exposing and accounting for these angler–fish intricacies is critical for fisheries conservation and management.

Nebraska

Analysis of environmental setting, surface-water and groundwater data, and data gaps for the Citizen Potawatomi Nation Tribal Jurisdictional Area, Oklahoma, through 2011

The Citizen Potawatomi Nation Tribal Jurisdictional Area, consisting of approximately 960 square miles in parts of three counties in central Oklahoma, has an abundance of water resources, being underlain by three principal aquifers (alluvial/terrace, Central Oklahoma, and Vamoosa-Ada), bordered by two major rivers (North Canadian and Canadian), and has several smaller drainages. The Central Oklahoma aquifer (also referred to as the Garber-Wellington aquifer) underlies approximately 3,000 square miles in central Oklahoma in parts of Cleveland, Logan, Lincoln, Oklahoma, and Pottawatomie Counties and much of the tribal jurisdictional area. Water from these aquifers is used for municipal, industrial, commercial, agricultural, and domestic supplies. The approximately 115,000 people living in this area used an estimated 4.41 million gallons of fresh groundwater, 12.12 million gallons of fresh surface water, and 8.15 million gallons of saline groundwater per day in 2005. Approximately 8.48, 2.65, 2.24, 1.55, 0.83, and 0.81 million gallons per day of that water were used for domestic, livestock, commercial, industrial, crop irrigation, and thermoelectric purposes, respectively. Approximately one-third of the water used in 2005 was saline water produced during petroleum production. Future changes in use of freshwater in this area will be affected primarily by changes in population and agricultural practices. Future changes in saline water use will be affected substantially by changes in petroleum production. Parts of the area periodically are subject to flooding and severe droughts that can limit available water resources, particularly during summers, when water use increases and streamflows substantially decrease. Most of the area is characterized by rural types of land cover such as grassland, pasture/hay fields, and deciduous forest, which may limit negative effects on water quality by human activities because of lesser emissions of man-made chemicals on such areas than in more urbanized areas. Much of the water in the area is of good quality, though some parts of this area have water quality impaired by very hard surface water and groundwater; large chloride concentrations in some smaller streams; relatively large concentrations of nutrients and counts of fecal-indicator bacteria in the North Canadian River; and chloride, iron, manganese, and uranium concentrations that exceed primary or secondary drinking-water standards in water samples collected from small numbers of wells. Substantial amounts of hydrologic and water-quality data have been collected in much of this area, but there are gaps in those data caused by relatively few streamflow-gaging stations, uneven distribution of surface-water quality sampling sites, lack of surface-water quality sampling at high-flow and low-flow conditions, and lack of a regularly measured and sampled groundwater network. This report summarizes existing water-use, climatic, geographic, hydrologic, and water-quality data and describes several means of filling gaps in hydrologic data for this area.

Oklahoma

Information resources

During recent decades, natural resources agency personnel and others involved with the management and stewardship of wildlife have experienced an increasing need to access information and obtain technical assistance for addressing a diverse array of wildlife disease issues. This Chapter provides a broad overview of selected sources for obtaining supplemental information and technical assistance for addressing wildlife disease issues in North America. Specifically, examples of existing major wildlife disease programs focusing on free-ranging wildlife populations are highlighted; training opportunities for enhancing within-agency wildlife disease response are identified; a selected reading list of wildlife disease references is provided; and selected Web sites providing timely information on wildlife disease are highlighted. No attempt is made to detail all the North American programs and capabilities that address disease in free-ranging wildlife populations. Instead, this Chapter is focused on enhancing awareness of the types of capabilities that exist as potential sources for assistance and collaboration between wildlife conservation agency personnel and others in addressing wildlife disease issues. A wide variety of entities across North America are involved in wildlife disease investigations; however, the formal assembly of multidimensional programs that primarily address disease for the benefit of free-ranging wildlife is rather limited. The Southeastern Cooperative Wildlife Disease Study (SCWDS), the National Wildlife Health Center (NWHC), and the Canadian Wildlife Health Cooperative (CWHC) are selected examples. These programs are highlighted because of the scope of their capabilities and long-term involvement in assisting State and Federal natural resource agencies combat wildlife disease. A variety of other sources for possible assistance in addressing wildlife disease issues exists throughout North America and globally. It is prudent for wildlife conservation field biologists, managers, and administrators to be aware of such local resources. Ideally, awareness and knowledge of the types of assistance those programs can provide should be obtained prior to disease crisis events since appropriate, timely intervention often is required to minimize wildlife losses from disease and prevent the establishment of new infectious diseases within wildlife populations and geographic areas. Increasing recognition of the substantial number of infectious diseases being transferred between wildlife, domestic animals, and humans has led to increased collaborative investigations between wildlife, domestic, and human health programs. That collaboration has led to a heightened focus on wildlife disease within some public health and agriculture agencies. For purposes of this Chapter, wildlife disease is narrowly defined as those diseases (infectious and noninfectious) causing morbidity and mortality in free-ranging wildlife populations. Therefore, there is no focus on the numerous fish disease or environmental contaminant programs that exist on behalf of North American fauna.

Techniques and Methods

Stable isotope analysis and satellite tracking reveal interspecific resource partitioning of nonbreeding albatrosses off Alaska

Albatrosses (Diomedeidae) are the most threatened family of birds globally. The three North Pacific species (Phoebastria Reichenbach, 1853) are listed as either endangered or vulnerable, with the population of Short-tailed Albatross (Phoebastria albatrus (Pallas, 1769)) less than 1% of its historical size. All North Pacific albatross species do not currently breed sympatrically, yet they do co-occur at-sea during the nonbreeding season. We incorporated stable isotope analysis with the first simultaneous satellite-tracking study of all three North Pacific albatross species while sympatric on summer (nonbreeding season) foraging grounds off Alaska. Carbon isotope ratios and tracking data identify differences in primary foraging domains of continental shelf and slope waters for Short-tailed Albatrosses and Black-footed Albatrosses (Phoebastria nigripes (Audubon, 1839)) versus oceanic waters for Laysan Albatrosses (Phoebastria immutabilis (Roths-child, 1893)). Short-tailed and Black-footed albatrosses also fed at higher trophic levels than Laysan Albatrosses. The relative trophic position of Black-footed and Laysan albatrosses, however, appears to differ between nonbreeding and breeding seasons. Spatial segregation also occurred at a broader geographic scale, with Short-tailed Albatrosses ranging more north into the Bering Sea than Black-footed Albatrosses, which ranged more to the southeast, and Laysan Albatrosses more to the southwest. Differences in carbon isotope ratios among North Pacific albatross species during the nonbreeding season likely reflect the relative proportion of neritic (more carbon enriched) versus oceanic (carbon depleted) derived nutrients, and possible differential use of fishery discards, rather than latitudinal differences in distribution.

Canadian Journal of Zoology

Potential climate change impacts on temperate forest ecosystem processes

Large changes in atmospheric CO2, temperature and precipitation are predicted by 2100, yet the long-term consequences for carbon, water, and nitrogen cycling in forests are poorly understood. We applied the PnET-CN ecosystem model to compare the long-term effects of changing climate and atmospheric CO2 on productivity, evapotranspiration, runoff, and net nitrogen mineralization in current Great Lakes forest types. We used two statistically downscaled climate projections, PCM B1 (warmer and wetter) and GFDL A1FI (hotter and drier), to represent two potential future climate and atmospheric CO2 scenarios. To separate the effects of climate and CO2, we ran PnET-CN including and excluding the CO2 routine. Our results suggest that, with rising CO2 and without changes in forest type, average regional productivity could increase from 67% to 142%, changes in evapotranspiration could range from –3% to +6%, runoff could increase from 2% to 22%, and net N mineralization could increase 10% to 12%. Ecosystem responses varied geographically and by forest type. Increased productivity was almost entirely driven by CO2 fertilization effects, rather than by temperature or precipitation (model runs holding CO2 constant showed stable or declining productivity). The relative importance of edaphic and climatic spatial drivers of productivity varied over time, suggesting that productivity in Great Lakes forests may switch from being temperature to water limited by the end of the century.

Michigan;Minnesota;Wisconsin

Evaluating analytical approaches for estimating pelagic fish biomass using simulated fish communities

Pelagic fish assessments often combine large amounts of acoustic-based fish density data and limited midwater trawl information to estimate species-specific biomass density. We compared the accuracy of five apportionment methods for estimating pelagic fish biomass density using simulated communities with known fish numbers that mimic Lakes Superior, Michigan, and Ontario, representing a range of fish community complexities. Across all apportionment methods, the error in the estimated biomass generally declined with increasing effort, but methods that accounted for community composition changes with water column depth performed best. Correlations between trawl catch and the true species composition were highest when more fish were caught, highlighting the benefits of targeted trawling in locations of high fish density. Pelagic fish surveys should incorporate geographic and water column depth stratification in the survey design, use apportionment methods that account for species-specific depth differences, target midwater trawling effort in areas of high fish density, and include at least 15 midwater trawls. With relatively basic biological information, simulations of fish communities and sampling programs can optimize effort allocation and reduce error in biomass estimates.

Canadian Journal of Fisheries and Aquatic Sciences

Characterization and application of a quantitative DNA marker that discriminates sex in chinook salmon (Oncorhynchus tshawytscha)

A qualitative male-specific DNA marker (OT-24) was amplified by spPCR (single-primer polymerase chain reaction) from chinook salmon (Oncorhynchus tshawytscha) DNA along with several non-sex-linked products. The termini of the male-specific product were sequenced, and a pair of PeR primers were constructed for marker-specific PCR amplification. Dual primer PCR (dpPCR), with the marker-specific primers, amplified a product from both nudes and females. The amount of dpPCR product amplified from males was at least 100-fold greater than that from females. The quantitative difference between males and females was consistent among geographically distinct populations from western U.S. rivers. In addition, DNA sequence analysis indicated that OT-24 was highly conserved among geographically distinct salmon populations. The qualitative spPCR product segregated through several genetic crosses indicating equal sex ratios among progeny. Identification of the male and female juveniles by dpPCR was consistent with the spPCR analysis. There was no tissue specificity observed by spPCR or dpPCR analysis of this marker. A rapid DNA extraction method and dpPCR analysis were used to nonlethally determine sex ratios in wild spring chinook salmon adults, withheld for genetic and behavioral studies, prior to their development of gross sexual differences in their external morphology.

Canadian Journal of Fisheries and Aquatic Sciences

Characterization and application of a quantitative DNA marker that discriminates sex in Chinook salmon ( Oncorhynchus tshawytscha )

A qualitative male-specific DNA marker (OT-24) was amplified by spPCR (single-primer polymerase chain reaction) from chinook salmon (Oncorhynchus tshawytscha) DNA along with several non-sex-linked products. The termini of the male-specific product were sequenced, and a pair of PeR primers were constructed for marker-specific PCR amplification. Dual primer PCR (dpPCR), with the marker-specific primers, amplified a product from both nudes and females. The amount of dpPCR product amplified from males was at least 100-fold greater than that from females. The quantitative difference between males and females was consistent among geographically distinct populations from western U.S. rivers. In addition, DNA sequence analysis indicated that OT-24 was highly conserved among geographically distinct salmon populations. The qualitative spPCR product segregated through several genetic crosses indicating equal sex ratios among progeny. Identification of the male and female juveniles by dpPCR was consistent with the spPCR analysis. There was no tissue specificity observed by spPCR or dpPCR analysis of this marker. A rapid DNA extraction method and dpPCR analysis were used to nonlethally determine sex ratios in wild spring chinook salmon adults, withheld for genetic and behavioral studies, prior to their development of gross sexual differences in their external morphology.

Canadian Journal of Fisheries and Aquatic Sciences

Chemical analyses of surface waters in Oklahoma, September - December, 1944

A preliminary survey of the industrial quality of surface waters in Oklahoma was started in August, 1944, by the U.S. Geological Survey in cooperation with the Oklahoma Resources and Planning Board, with the Oklahoma A. & M. College, Engineering Experiment Station and Department of Chemistry. From September to December, 1944, three hundred and fifteen samples were obtained at eighty-four points where gages are maintained for measurement of discharge. Daily samples were collected at six stations, namely: Illinois River near Gore, Oklahoma Cimarron River near Oilton, Oklahoma Canadian River near Whitefield, Oklahoma Washita River near Durwood, Oklahoma Red River near Gainesville, Texas Red River at Denison Dam, Texas Sport samples were collected at the remainder of the stations. The analyses of the spot samples were made largely in a laboratory provided by the Oklahoma A. & M. College, under the supervision of Dr. O.M. Smith, Head, Department of Chemistry; Dr. S.R. Wood, Associate Professor of Chemistry; and W.W. Hastings, U.S. Geological Survey. The daily samples were analyzed in the water resources laboratory of the Geological Survey at Austin, Texas. These data have been summarized in a report to the Oklahoma Planning and Resources Board prepared by the U.S. Geological Survey, March 1, 1945. The streams of Oklahoma are classified into two major drainage basins: the Arkansas River and the Red River and their tributaries. The attached analyses are arranged in geographical order for their respective drainage basins, with records listed in downstream order for stations on the main stem first, followed by the analyses for the tributaries. When available, the mean daily discharge is given for the analyses.

Oklahoma;Texas

Population genetic studies of the polar bear ( Ursus maritimus ): A summary of available data and interpretation of results

A summary of existing population genetics literature is presented for polar bears ( Ursus maritimus ) and interpreted in the context of the species' life-history characteristics and regional heterogeneity in environmental regimes and movement patterns. Several nongenetic data sets including morphology, contaminant levels, geographic variation in reproductive characteristics, and the location and distribution of open-water foraging habitat suggest some degree of spatial structuring. Eleven populations are recognized by the IUCN Polar Bear Specialist Group. Few genetics studies exist for polar bears. Interpretation and generalizations of regional variation in intra- and interpopulation levels of genetic variability are confounded by the paucity of data from many regions and by the fact that no single informative genetic marker has been employed in multiple regions. Early allozyme studies revealed comparatively low levels of genetic variability and no compelling evidence of spatial structuring. Studies employing mitochondrial DNA (mtDNA) also found low levels of genetic variation, a lack of phylogenetic structure, and no significant evidence for spatial variation in haplotype frequency. In contrast, microsatellite variable number of tandem repeat (VNTR) loci have revealed significant heterogeneity in allele frequency among populations in the Canadian Arctic. These regions are characterized by archipelgic patterns of sea-ice movements. Further studies using highly polymorphic loci are needed in regions characterized by greater polar bear dependency on pelagic sea-ice movements and in regions for which no data currently exist (i.e., Laptev and Novaya Zemlya/Franz Josef).

Book chapter

Genetic population structure of muskellunge in the Great Lakes

We quantified genetic relationships among Muskellunge Esox masquinongy from 15 locations in the Great Lakes to determine the extent and distribution of measurable population structure and to identify appropriate spatial scales for fishery management and genetic conservation. We hypothesized that Muskellunge from each area represented genetically distinct populations, which would be evident from analyses of genotype data. A total of 691 Muskellunge were sampled ( n = 10&ndash;127/site) and genetic data were collected at 13 microsatellite loci. Results from a suite of analyses (including pairwise genetic differentiation, Bayesian admixture prediction, analysis of molecular variance, and tests of isolation by distance) indicated the presence of nine distinct genetic groups, including two that were approximately 50 km apart. Geographic proximity and low habitat complexity seemed to facilitate genetic similarity among areas, whereas Muskellunge from areas of greater habitat heterogeneity exhibited high differentiation. Muskellunge from most areas contained private alleles, and mean within-area genetic variation was similar to that reported for other freshwater fishes. Management programs aimed at conserving the broader diversity and long-term sustainability of Muskellunge could benefit by considering the genetically distinct groups as independent fisheries, and individual spawning and nursery habitats could subsequently be protected to conserve the evolutionary potential of Muskellunge.

Great Lakes

The 1992 epizootic of Newcastle disease in double-crested cormorants in North America

In the summer of 1992, morbidity and mortality in juvenile double-crested cormorants (Phalacrocorax auritus; DCC) attributable to Newcastle disease virus (NDV) was observed for the first time in seven northern USA states and one Canadian province, and recurred in three western Canadian provinces. Based on clinical signs and laboratory diagnostic findings, DCC mortality from NDV occurred in 59 of the 63 nesting colonies and two of three non-colony sites investigated. An estimate of in excess of 20,000 DCC died, with mortality rates ranging from < 1 to 37% in Great Lakes colonies to 20 to 92% in Minnesota (USA) and North and South Dakota (USA) colonies. Sick juvenile white pelicans (Pelecanus erythrorhynchos) exhibiting signs similar to sick cormorants, and dead pelicans were observed in Minnesota and North Dakota. Mortality rates in pelican colonies were as high as in the adjacent cormorant colonies, but no cause for the mortality of an estimated 5,000 pelicans was determined. No evidence of NDV was found in other species nesting in proximity to affected cormorants. Although the source of the NDV infection is unknown in cormorants, the simultaneous onset of the epizootics in juvenile birds over a wide geographic area implies that the virus was acquired by adults prior to migration and was carried back to nest sites, exposing susceptible nestlings. The possible transmission of this virus from free-ranging wild birds to domestic poultry is a concern. Based on repeated epizootics in cormorants since 1990, NDV seems to be established in DCC.

Journal of Wildlife Diseases

Recovery and decline of lake whitefish in U.S. waters of eastern Lake Ontario, 1980-2001

The lake whitefish (Coregonus clupeaformis) was an important member of the native fish community and a valued commercial species in Lake Ontario. Lake whitefish were common in U.S. waters of the lake until 1965 and very abundant in Canadian waters through the early 1970s, although their numbers declined shortly thereafter. During 1975-1985, lake whitefish stocks remained depressed throughout the lake as a result of the combined effects of degraded water quality, overfishing, and predation. Rainbow smelt (Osmerus mordax) probably preyed on whitefish fry, and sea lamprey (Petromyzon marinus) preyed on adults. During 1985-1987, lake whitefish stocks began to recover in eastern Lake Ontario, and their buildup continued into the mid-1990s. Reasons for the recovery likely included control of the sea lamprey population and a reduction in the number of piscivorous rainbow smelt. By 1997, lake whitefish abundance had declined severely again; some fish appeared to have dispersed from the northeastern to the southeastern regions of the lake, and the depth of capture increased. We believe that the collapse of Diporeia spp. populations during 1992-1999 was responsible for the decline in the lake whitefish populations and the shifts in geographic and bathymetric distribution because lake whitefish fed primarily on Diporeia spp. After the collapse of Diporeia spp. populations, lake whitefish in southeastern Lake Ontario fed on Mysis relicta and quagga mussels (Dreissena bugensis). Changing from a diet of high-lipid Diporeia spp to low-lipid dreissenids and foraging on Mysis relicta at lower temperatures are apparently hampering the rebuilding of lake whitefish stocks.

Technical Report

Remote sensing education and Internet/World Wide Web technology

Remote sensing education is increasingly in demand across academic and professional disciplines. Meanwhile, Internet technology and the World Wide Web (WWW) are being more frequently employed as teaching tools in remote sensing and other disciplines. The current wealth of information on the Internet and World Wide Web must be distilled, nonetheless, to be useful in remote sensing education. An extensive literature base is developing on the WWW as a tool in education and in teaching remote sensing. This literature reveals benefits and limitations of the WWW, and can guide its implementation. Among the most beneficial aspects of the Web are increased access to remote sensing expertise regardless of geographic location, increased access to current material, and access to extensive archives of satellite imagery and aerial photography. As with other teaching innovations, using the WWW/Internet may well mean more work, not less, for teachers, at least at the stage of early adoption. Also, information posted on Web sites is not always accurate. Development stages of this technology range from on-line posting of syllabi and lecture notes to on-line laboratory exercises and animated landscape flyovers and on-line image processing. The advantages of WWW/Internet technology may likely outweigh the costs of implementing it as a teaching tool.

Canadian Journal of Remote Sensing