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At least 721 records · Page 40Linked to original sources

From causes of conflict to solutions: Shifting the lens on human–carnivore coexistence research

Human-carnivore conflicts pose significant challenges in the management and conservation of carnivores across the globe. Abundant research has led to generalizable insights into the causes of such conflicts. For example, conflicts predictably occur when carnivores have access to human food resources, particularly when their natural foods are scarce. However, similar insights into the effectiveness of interventions aimed at coexistence remains comparatively scarce. We hypothesized that this disparity might be reflected in a bias toward research focused on causes of conflict rather than interventions to address it. To test our hypothesis, we evaluated the content of studies on human–carnivore conflicts and coexistence in Canada and the United States from 2010 to 2021. We found that studies disproportionately focused on causes of conflict, with that discrepancy increasing through our study period. We also found a disproportionate focus on black bears and wolves and western jurisdictions, and a disproportionate use of observational (vs. experimental) approaches. Studies on conflict interventions were primarily directed at the carnivores themselves (e.g., lethal approaches) versus human elements (e.g., attractant management, policies), despite evidence that the latter are more effective. We expect that a shift in focus toward solutions-oriented research, integrating insights across geographies, taxa, social contexts, and disciplines, would facilitate effective interventions and foster coexistence, improving outcomes for people and carnivores alike.

Conservation Science and Practice↗

Environmental and anthropogenic drivers of contaminants in agricultural watersheds with implications for land management

If not managed properly, modern agricultural practices can alter surface and groundwater quality and drinking water resources resulting in potential negative effects on aquatic and terrestrial ecosystems. Exposure to agriculturally derived contaminant mixtures has the potential to alter habitat quality and negatively affect fish and other aquatic organisms. Implementation of conservation practices focused on improving water quality continues to increase particularly in agricultural landscapes throughout the United States. The goal of this study was to determine the consequences of land management actions on the primary drivers of contaminant mixtures in five agricultural watersheds in the Chesapeake Bay, the largest watershed of the Atlantic Seaboard in North America where fish health issues have been documented for two decades. Surface water was collected and analyzed for 301 organic contaminants to determine the benefits of implemented best management practices (BMPs) designed to reduce nutrients and sediment to streams in also reducing contaminants in surface waters. Of the contaminants measured, herbicides (atrazine, metolachlor), phytoestrogens (formononetin, genistein, equol), cholesterol and total estrogenicity (indicator of estrogenic response) were detected frequently enough to statistically compare to seasonal flow effects, landscape variables and BMP intensity. Contaminant concentrations were often positively correlated with seasonal stream flow, although the magnitude of this effect varied by contaminant across seasons and sites. Land-use and other less utilized landscape variables including biosolids, manure and pesticide application and percent phytoestrogen producing crops were inversely related with site-average contaminant concentrations. Increased BMP intensity was negatively related to contaminant concentrations indicating potential co-benefits of BMPs for contaminant reduction in the studied watersheds. The information gained from this study will help prioritize ecologically relevant contaminant mixtures for monitoring and contributes to understanding the benefits of BMPs on improving surface water quality to better manage living resources in agricultural landscapes inside and outside the Chesapeake Bay watershed.

Delaware, Maryland, New Jersey, New York, Pennsylv↗

Wyoming Basin Rapid Ecoregional Assessment: Work Plan

The overall goal of the Rapid Ecoregional Assessments (REAs) being conducted for the Bureau of Land Management (BLM) is to provide information that supports regional planning and analysis for the management of ecological resources. The REA provides an assessment of baseline ecological conditions, an evaluation of current risks from drivers of ecosystem change, and a predictive capacity for evaluating future risks. The REA also may be used for identifying priority areas for conservation or restoration and for assessing the cumulative effects of a variety of land uses. There are several components of the REAs. Management Questions, developed by the BLM and partners for the ecoregion, identify the information needed for addressing land-management responsibilities. Conservation Elements represent regionally significant aquatic and terrestrial species and communities that are to be conserved and (or) restored. The REA also will evaluate major drivers of ecosystem change (Change Agents) currently affecting or likely to affect the status of Conservation Elements. We selected 8 major biomes and 19 species or species assemblages to be included as Conservation Elements. We will address the four primary Change Agents—development, fire, invasive species, and climate change—required for the REA. The purpose of the work plan for the Wyoming Basin REA is to document the selection process for, and final list of, Management Questions, Conservation Elements, and Change Agents. The work plan also presents the overall assessment framework that will be used to assess the status of Conservation Elements and answer Management Questions.

Wyoming↗

Using science to inform management and improve biological conservation in the Desert Renewable Energy Conservation Plan

The Mojave and Colorado deserts of southern California have been viewed as vast wilderness since early exploration and, until recently, were considered the most untrammeled among western landscapes in the contiguous lower 48 states (United States Department of Agriculture 1893; Leu et al. 2008). However, the factors that define desert wilderness—small human population, temperature differentials that create unrelenting winds, low rainfall, and cloudless skies—are attractive for renewable energy development. The demand for clean, renewable energy is a national and regional priority and has increased demand for large-scale solar and wind farms in the deserts, particularly in California. The need to balance these national and state energy priorities with existing natural resource and land conservation policies has emerged as a landscape-scale land-use planning initiative known as the Desert Renewable Energy Conservation Plan (DRECP). One of the primary goals for the DRECP was to establish Development Focus Areas (DFAs) where high-quality renewable energy potential of up to 20 gigawatts (GW) could be implemented by the year 2040. DFAs were designed to provide expedited project approvals in locations where environmental impacts could be managed and mitigated, and proximity to transmission corridors provides for the efficient dissemination of energy to users. The DRECP also aims to identify protections for natural resources, recreation, and cultural resources. This plan identifies 37 covered species that receive special consideration in the DRECP. Among the special considerations are climate adaptation requirements, such as the ability to maintain population connectivity through wildlife corridors, while protecting several special recreation areas and 32,000 known cultural sites that are dispersed throughout the region. We evaluated several particular aspects of the DRECP design and process. In particular, we examined land designations in relation to published studies on Mohave ground squirrel (Xerospermophilus mohavensis) habitat and genetic diversity patterns of a suite of broadly distributed desert animal species. The squirrel and its habitat are of particular interest because the entire range of the squirrel is encompassed by the DRECP. We describe the framework of the DRECP, provide a case study of how the DRECP accommodates the needs of the Mohave ground squirrel and its habitat, illustrate DFAs in relation to the genetic diversity of a broad range of terrestrial biota, and conclude with some observations on how land-use issues were resolved across the landscape under various scenarios.

Conference Paper↗

Management foundations for navigating ecological transformation by resisting, accepting, or directing social-ecological change

Despite striking global change, management to ensure healthy landscapes and sustained natural resources has tended to set objectives on the basis of the historical range of variability in stationary ecosystems. Many social–ecological systems are moving into novel conditions that can result in ecological transformation. We present four foundations to enable a transition to future-oriented conservation and management that increases capacity to manage change. The foundations are to identify plausible social–ecological trajectories, to apply upstream and deliberate engagement and decision-making with stakeholders, to formulate management pathways to desired futures, and to consider a portfolio approach to manage risk and account for multiple preferences across space and time. We use the Kenai National Wildlife Refuge in Alaska as a case study to illustrate how the four foundations address common land management challenges for navigating transformation and deciding when, where, and how to resist, accept, or direct social–ecological change.

Alaska↗

Importance of salmon to wildlife: Implications for integrated management

Salmon ( Oncorhynchuss pp.) are an important resource for terrestrial wildlife. However, the salmon requirements of wildlife populations and the role wildlife play in nutrient transport across ecosystems are largely ignored in salmon and habitat management. Any activity that reduces the availability of or access to salmon by wildlife may adversely affect wildlife populations and, potentially, ecosystem-level processes. Thus, when the conservation of specific wildlife populations or healthy ecosystems is the management objective, allocation of salmon to wildlife should be considered. We provide an example of how such allocations could be calculated for a hypothetical bear population. Ultimately, salmon allocation for wildlife calls for integrated management of natural resources across agencies, across species, and across ecosystems. We summarize the current state of knowledge relative to the interaction between Pacific salmon and the terrestrial ecosystem , with special emphasis on the import of salmon to terrestrial wildlife and the import of wildlife to terrestrial and aquatic ecosystems

Ursus↗

Mussel community assessment tool for the Upper Mississippi River system

Upper Mississippi River (UMR) resource managers need a quantitative means of evaluating the health of mussel assemblages to measure effects of management and regulatory actions, assess restoration techniques, and inform regulatory tasks. Our objective was to create a mussel community assessment tool (MCAT), consisting of a suite of metrics and scoring criteria, to consistently compare the relative health of UMR mussel assemblages. We developed an initial MCAT using quantitative data from 25 sites and 10 metrics. Metrics fell in five broad groups: conservation status and environmental sensitivity, taxonomic composition, population processes, abundance, and diversity. Metric scoring categories were based on quartile analysis: 25% scoring as good, 50% scoring as fair, and 25% scoring as poor. Scores were meant to facilitate establishing management priorities and mitigation options for the conservation of mussels. Scoring categories assumed that a healthy mussel assemblage consists of species with a variety of reproductive and life-history strategies, a low percentage of tolerant species, and a high percentage of sensitive species; shows evidence of adequate recruitment, a variety of age classes, and low mortality; and has high abundance, species richness, and species and tribe evenness. Metrics were validated using a modified Delphi technique. MCAT metrics generally reflected the professional opinions of UMR resource managers and provided a consistent evaluation technique with uniform definitions that managers could use to evaluate mussel assemblages. Additional data sets scored a priori by UMR resource managers were used to further validate metrics, resulting in data from 33 sites spanning over 980 km of the UMR. Initial and revised MCAT scores were similar, indicating that data represent the range of mussel assemblages in the UMR. Mussel assemblages could be evaluated using individual metrics or a composite score to suit management purposes. With additional data, metrics could be calibrated on a local scale or applied to other river systems.

Illinois, Iowa, Minnesota, Missouri, Wisconsin↗

Gulf Coast vulnerability assessment: Mangrove, tidal emergent marsh, barrier islands and oyster reef

Climate, sea level rise, and urbanization are undergoing unprecedented levels of combined change and are expected to have large effects on natural resources—particularly along the Gulf of Mexico coastline (Gulf Coast). Management decisions to address these effects (i.e., adaptation) require an understanding of the relative vulnerability of various resources to these stressors. To meet this need, the four Landscape Conservation Cooperatives along the Gulf partnered with the Gulf of Mexico Alliance to conduct this Gulf Coast Vulnerability Assessment (GCVA). Vulnerability in this context incorporates exposure and sensitivity to threats (potential impact), coupled with the adaptive capacity to mitigate those threats. Potential impact and adaptive capacity reflect natural history features of target species and ecosystems. The GCVA used an expert opinion approach to qualitatively assess the vulnerability of four ecosystems: mangrove, oyster reef, tidal emergent marsh, and barrier islands, and a suite of wildlife species that depend on them. More than 50 individuals participated in the completion of the GCVA, facilitated via Ecosystem and Species Expert Teams. Of the species assessed, Kemp’s ridley sea turtle was identified as the most vulnerable species across the Gulf Coast. Experts identified the main threats as loss of nesting habitat to sea level rise, erosion, and urbanization. Kemp’s ridley also had an overall low adaptive capacity score due to their low genetic diversity, and higher nest site fidelity as compared to other assessed species. Tidal emergent marsh was the most vulnerable ecosystem, due in part to sea level rise and erosion. In general, avian species were more vulnerable than fish because of nesting habitat loss to sea level rise, erosion, and potential increases in storm surge. Assessors commonly indicated a lack of information regarding impacts due to projected changes in the disturbance regime, biotic interactions, and synergistic effects in both the species and habitat assessments. Many of the assessors who focused on species also identified data gaps regarding genetic information, phenotypic plasticity, life history, and species responses to past climate change and sea level rise. Regardless of information gaps, the results from the GCVA can be used to inform Gulf-wide adaptation plans. Given the scale of climatic impacts, coordinated efforts to address Gulf-wide threats to species and ecosystems will enhance the effectiveness of management actions and also have the potential to maximize the efficacy of limited funding.

Alabama, Florida, Louisiana, Mississippi, Texas↗

The Gulf Coast Vulnerability Assessment: Mangrove, Tidal Emergent Marsh, Barrier Islands, and Oyster Reef

Climate, sea level rise, and urbanization are undergoing unprecedented levels of combined change and are expected to have large effects on natural resources—particularly along the Gulf of Mexico coastline (Gulf Coast). Management decisions to address these effects (i.e., adaptation) require an understanding of the relative vulnerability of various resources to these stressors. To meet this need, the four Landscape Conservation Cooperatives along the Gulf partnered with the Gulf of Mexico Alliance to conduct this Gulf Coast Vulnerability Assessment (GCVA). Vulnerability in this context incorporates the aspects of exposure and sensitivity to threats, coupled with the adaptive capacity to mitigate those threats. Potential impact and adaptive capacity reflect natural history features of target species and ecosystems. The GCVA used an expert opinion approach to qualitatively assess the vulnerability of four ecosystems: mangrove, oyster reef, tidal emergent marsh, and barrier islands, and a suite of wildlife species that depend on them. More than 50 individuals participated in the completion of the GCVA, facilitated via Ecosystem and Species Expert Teams. Of the species assessed, Kemp’s ridley sea turtle was identified as the most vulnerable species across the Gulf Coast. Experts identified the main threats as loss of nesting habitat to sea level rise, erosion, and urbanization. Kemp’s ridley also had an overall low adaptive capacity score due to their low genetic diversity, and higher nest site fidelity as compared to other assessed species. Tidal emergent marsh was the most vulnerable ecosystem, due in part to sea level rise and erosion. In general, avian species were more vulnerable than fish because of nesting habitat loss to sea level rise, erosion, and potential increases in storm surge. Assessors commonly indicated a lack of information regarding impacts due to projected changes in the disturbance regime, biotic interactions, and synergistic effects in both the species and habitat assessments. Many of the assessors who focused on species also identified data gaps regarding genetic information, phenotypic plasticity, life history, and species responses to past climate change and sea level rise. Regardless of information gaps, the results from the GCVA can be used to inform Gulf-wide adaptation plans. Given the scale of climatic impacts, coordinated efforts to address Gulf-wide threats to species and ecosystems will enhance the effectiveness of management actions and also have the potential to maximize the efficacy of limited funding.

Report↗

Host-pathogen metapopulation dynamics suggest high elevation refugia for boreal toads

Emerging infectious diseases are an increasingly common threat to wildlife. Chytridiomycosis, caused by the fungal pathogen Batrachochytrium dendrobatidis ( Bd ), is an emerging infectious disease that has been linked to amphibian declines around the world. Few studies exist that explore amphibian- Bd dynamics at the landscape scale, limiting our ability to identify which factors are associated with variation in population susceptibility and to develop effective in situ disease management. Declines of boreal toads ( Anaxyrus boreas boreas ) in the Southern Rocky Mountains are largely attributed to chytridiomycosis but variation exists in local extinction of boreal toads across this metapopulation. Using a large-scale historic dataset, we explored several potential factors influencing disease dynamics in the boreal toad- Bd system: geographic isolation of populations, amphibian community richness, elevational differences, and habitat permanence. We found evidence that boreal toad extinction risk was lowest at high elevations where temperatures may be sub-optimal for Bd growth and where small boreal toad populations may be below the threshold needed for efficient pathogen transmission. In addition, boreal toads were more likely to recolonize high elevation sites after local extinction, again suggesting that high elevations may provide refuge from disease for boreal toads. We illustrate a modeling framework that will be useful to natural resource managers striving to make decisions in amphibian- Bd systems. Our data suggest that in the southern Rocky Mountains high elevation sites should be prioritized for conservation initiatives like reintroductions.

Ecological Applications↗

Targeting aggregations of telemetered Lake Trout to increase gillnetting suppression efficacy

Conserving Yellowstone Cutthroat Trout Oncorhynchus clarkii bouvieri by suppressing invasive Lake Trout Salvelinus namaycush in Yellowstone Lake is a high priority for Yellowstone National Park resource managers. Here, we tested whether targeting telemetered Lake Trout could increase the efficacy of Lake Trout suppression by gill netting. Mobile acoustic tracking surveys were performed to identify aggregations of tagged Lake Trout in summer (June–August) 2017. Lake Trout aggregations were relayed daily to suppression crews by phone, radio, or text and a printed map. Suppression crews set 30 large-mesh gill nets targeting telemetered Lake Trout aggregations (target treatment) and 124 large-mesh gill nets not targeting telemetered aggregations (nontarget treatment). Mean log e (CPUE) was higher for the target treatment (0.37; 95% credible interval [CRI] = 0.08–0.65) than for the nontarget treatment (−0.37; 95% CRI = −0.51 to −0.21). Mean of the target treatment was higher than the mean of the nontarget treatment for over 99% of the 1,000 draws from the joint posterior distribution. Because of telemetry costs, mean CPUE per US$10,000 spent was similar between the target treatment (0.20; 95% CRI = 0.15–0.26) and the nontarget treatment (0.15; 95% CRI = 0.13–0.17). Telemetry is an effective strategy for improving Lake Trout CPUE, which corresponds to an increased efficiency in the Lake Trout suppression program.

Wyoming↗

Development and characterization of microsatellite markers for the Hawaiian coot, Fulica alai , and Hawaiian gallinule, Gallinula galeata sandvicensis , through next-generation sequencing

We used next generation shotgun sequencing to develop novel microsatellite markers for two endangered waterbirds; the Hawaiian coot ( Fulica alai ) and Hawaiian gallinule ( Gallinula galeata sandvicensis ). The 20 loci polymorphic in the Hawaiian coot displayed moderate allelic diversity (average 3.8 alleles/locus) and heterozygosity (average 59.5 %). The 12 loci variable for the Hawaiian gallinule exhibited lower levels of allelic diversity (average 2.4 alleles/locus) and heterozygosity (average 47.5 %). Loci were in linkage equilibrium and only one locus deviated from Hardy–Weinberg equilibrium. These loci are sufficiently variable to assess levels of genetic diversity and will be useful for conservation genetic studies to aid in the management of these endangered waterbirds.

Conservation Genetics Resources↗

Base of principal aquifer for parts of the North Platte, South Platte, and Twin Platte Natural Resources Districts, western Nebraska

Water resources in the North and South Platte River valleys of Nebraska, including the valley of Lodgepole Creek, are critical to the social and economic health of the area, and for the recovery of threatened and endangered species in the Platte River Basin. Groundwater and surface water are heavily used resources, and uses are regulated in the study area. Irrigation is the dominant water use and, in most instances, is supplied by both groundwater and surface-water sources. The U.S. Geological Survey and its partners have collaborated to use airborne geophysical surveys for areas of the North and South Platte River valleys including the valley of Lodgepole Creek in western Nebraska. The objective of the surveys was to map the aquifers and underlying bedrock topography of selected areas to help improve the understanding of groundwater–surface-water relations to guide water-management decisions. This project was a cooperative study involving the North Platte Natural Resources District, the South Platte Natural Resources District, the Twin Platte Natural Resources District, the Conservation and Survey Division of the University of Nebraska-Lincoln, and the Nebraska Environmental Trust. This report presents the interpreted base-of-aquifer surface for part of the area consisting of the North Platte Natural Resources District, the South Platte Natural Resources District, and the Twin Platte Natural Resources District. The interpretations presented herein build on work done by previous researchers from 2008 to 2009 by incorporating additional airborne electromagnetic survey data collected in 2010 and additional test holes from separate, related studies. To make the airborne electromagnetic data useful, numerical inversion was used to convert the measured data into a depth-dependent subsurface resistivity model. An interpretation of the elevation and configuration of the base of aquifer was completed in a geographic information system that provided x, y, and z coordinates. The process of interpretation involved manually picking locations (base-of-aquifer elevations) on the displayed airborne electromagnetic-derived resistivity profile by the project geophysicist, hydrologist, and geologist. These locations, or picks, of the base-of-aquifer elevation (typically the top of the Brule Formation of the White River Group) were then stored in a georeferenced database. The pick was made by comparing the inverted airborne electromagnetic-derived resistivity profile to the lithologic descriptions and borehole geophysical logs from nearby test holes. The database of interpretive picks of the base-of-aquifer elevation was used to create primary input for interpolating the new base-of-aquifer contours. The automatically generated contours were manually adjusted based on the interpreted location of paleovalleys eroded into the base-of-aquifer surface and associated bedrock highs, many of which were unmapped before this study. When contours are overlain by the water-table surface, the saturated thickness of the aquifer can be computed, which allows an estimate of total water in storage. The contours of the base-of-aquifer surface presented in this report may be used as the lower boundary layer in existing and future groundwater-flow models. The integration of geophysical data into the contouring process facilitated a more continuous and spatially comprehensive view of the hydrogeologic framework.

Nebraska↗

Mineral resource assessment of selected areas in Clark and Nye Counties, Nevada

During 2004-2006, the U.S. Geological Survey conducted a mineral resource assessment of selected areas administered by the Bureau of Land Management in Clark and Nye Counties, Nevada. The purpose of this study is to provide the BLM with information for land planning and management and, specifically, to determine mineral resource potential in accordance with regulations in 43 CFR 2310, which governs the withdrawal of public lands. The Clark County Conservation of Public Land and Natural Resources Act of 2002 (Public Law 107-282) temporarily withdraws a group of areas designated as Areas of Critical Environmental Concern (ACECs) from mineral entry, pending final approval of an application for permanent withdrawal by the BLM. This study provides information about mineral resource potential of the ACECs. Existing information was compiled about the ACECs, including geology, geophysics, geochemistry, and mineral-deposit information. Field examinations of selected areas and mineral occurrences were conducted to determine their geologic setting and mineral potential.

Nevada↗

Tracking status and trends in seven key indicators of river and stream condition in the Chesapeake Bay watershed

Freshwater streams and rivers are recognized as vital habitats within the Chesapeake Bay watershed, which has been undergoing extensive restoration efforts for more than 30 years. Resource managers need to understand stream and river condition and how these conditions are changing over time to determine whether regional long-term restoration and conservation goals are being met. The objective of this report was to document the spatial and temporal variability of conditions for seven indicators of river and stream health across the nontidal Chesapeake Bay watershed. The framework for the U.S. Geological Survey’s Nontidal Network (NTN), a network of more than 100 nutrient and suspended sediment monitoring locations, was extended to assess conditions for six additional indicators of stream health: temperature, salinity, toxic contaminants, streamflow, hydromorphology, and biological aquatic communities. For each indicator, the latest available data from multiple sources were compiled and harmonized, and key metrics were identified to describe indicator conditions across space and time. A status condition was defined for each indicator to describe overall spatial variability in recent condition, and trend analyses were used to describe changes in each indicator metric over time. The analysis revealed clear differences in spatial and temporal data coverage across the seven indicators, so individual indicator trend analyses were not constrained to a common time interval. However, a status snapshot was conducted across all indicators for the 2015–17 period to simultaneously explore spatial variability across all indicators. The status snapshot highlighted general degraded conditions across multiple indicators in large metropolitan regions, such as the Baltimore–Washington, D.C., metropolitan area. Regression analysis between indicator status metrics and major land cover for the sites suggest urbanization as a potential driver of degraded conditions for many of the indicator metrics, including total phosphorus, salinity, temperature, high-flow frequency, and metrics of habitat and biological assemblage quality. A final analysis exploring the spatial representation of each indicator network showed that some indicator monitoring networks did not cover certain settings, such as small watersheds. These results provided an initial assessment of stream health status and trends and will continue to be leveraged to describe conditions across the Chesapeake Bay watershed to help inform local and regional management decisions. These results also highlighted the need for improved coordination among monitoring organizations to support long-term multi-indicator monitoring and assessment.

Chesapeake Bay watershed↗

Dietary composition and diversity in an endemic island bat, the Hawaiian hoary bat (Lasiurus semotus)

Due to the importance of sufficient diets, conservation practices for endangered bats often involve protection and restoration of foraging resources. For insectivorous (or arthropodivorous) bats, detailed knowledge of prey consumption can inform effective management. In this study, we used metabarcoding techniques to investigate the diet of Lasiurus semotus , a primarily insectivorous, solitary foliage-roosting endangered bat endemic to the Hawaiian Islands. To determine diet composition and how it relates to sex, reproductive condition, and habitat, we analyzed 141 guano samples collected from across the Hawaiian archipelago between 2010–2021. We detected 424 arthropod prey items, with Lepidoptera — the most common order (found in 100% of all samples), followed by Blattodea (85%), Coleoptera (42%), Orthoptera (47%), Diptera (33%), and Hemiptera (25%). Coleoptera were more frequent in guano collected from females. Prey richness and evenness at the family-level were similar across sex, reproductive condition, elevation, and land cover type. High variability among samples, and the dominance of Lepidoptera and Kalotermitidae (Blattodea), indicates that local prey abundance may influence L. semotus diet more strongly than prey richness and evenness. Lasiurus semotus consumed both native and non-native arthropods, including several invasive agricultural pests. Our study demonstrates that hoary bats in the Hawaiian Islands consume a wide variety of prey types, likely sought over an extensive range of habitats.

Hawaii↗

Predicting the persistence of salamanders: consequences of phenological shifts for species of management concern on DoD lands

As climate change effects intensify, key life history events may become decoupled from necessary biotic and abiotic resources. For species of management concern on Department of Defense (DoD) lands, these shifts in phenology may prove difficult to address without a mechanistic understanding of the drivers of such changes. We sought to determine the causes and effects of phenological shifts on species of management concern by using observational and experimental data to develop and test population viability models. Our objectives were to (i) identify the patterns and drivers of adult breeding and juvenile emigration phenology for four pond-breeding salamanders (three of management concern), (ii) determine how shifts in phenology and abiotic resources affect the strength of species interactions, community structure, and population viability, and (iii) provide management options to mitigate shifts in phenology that may impact ongoing conservation and recovery efforts.

Report↗

Boundary spanning increases knowledge and action on invasive species in a changing climate

Challenges associated with global change stressors on ecosystems have prompted calls to improve actionable science, including through boundary-spanning activities, which aim to build connections and communication between researchers and natural resource practitioners. By synthesizing and translating research and practitioner knowledge, boundary-spanning activities could support proactive, research-informed conservation practice, but the success of these efforts is rarely evaluated. Using repeat survey data from the Northeast Regional Invasive Species and Climate Change (NE RISCC) Management Network, a boundary-spanning organization, we evaluate whether participating in NE RISCC affected practitioners' knowledge, actions and priorities related to invasive species management under a changing climate. Our survey results suggest that practitioners who participate in NE RISCC have greater knowledge about invasive species and climate change and are incorporating climate change in more ways into their invasive species management. We also found NE RISCC membership affected the perceived usefulness of informational resources, with NE RISCC members more frequently identifying research syntheses and targeted workshops (both are common products used by NE RISCC to translate science into practice and share manager knowledge) as useful compared to non-members. Practitioners who participate in NE RISCC also identified somewhat different research priorities, with non-members and short-term members more frequently identifying range-shifting neonative species and their impacts on native communities as higher priorities compared to long-term NE RISCC members. NE RISCC research activities and outreach materials have consistently framed range-shifting neonative species as comparatively low risk, suggesting that this information has influenced practitioner's perception of risk. Practical implication : Although real-world impacts of applied ecology are notoriously difficult to quantify, this analysis illustrates that if research results are actively translated, they can affect the knowledge and actions of natural resource practitioners. These impacts illustrate the potential for boundary-spanning efforts to address other global change challenges to conservation.

Ecological Solutions and Evidence↗