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At least 721 records · Page 40Linked to original sources

Groundwater flow into Lake Michigan from Wisconsin

Detailed hydrogeological study has been done at six sites along the Lake Michigan shoreline in Wisconsin. At each site a flux of groundwater to the lake has been calculated for both natural conditions and the existing conditions created by pumping. The values from each site have then been extrapolated to the entire portion of the total shoreline having similar hydrogeology in order to calculate a total flow of groundwater to the lake. Sensitivity analysis with a digital model was used to define limits on the similarity of hydrogeologic conditions. The net flow calculated is 580–880 m 3 day −1 km −1 of shoreline, which falls within the previously published range of 110–8200 m 3 day −1 km −1 . Human activity may have reduced the natural flow as much as 15%. The estimated natural flow is between 7 and 11% of the surface water contribution to the lake from the study area.

Wisconsin↗

Exploratory and spatial data analysis (EDA-SDA) for determining regional background levels and anomalies of potentially toxic elements in soils from Catorce-Matehuala, Mexico

The threshold between geochemical background and anomalies can be influenced by the methodology selected for its estimation. Environmental evaluations, particularly those conducted in mineralized areas, must consider this when trying to determinate the natural geochemical status of a study area, quantifying human impacts, or establishing soil restoration values for contaminated sites. Some methods in environmental geochemistry incorporate the premise that anomalies (natural or anthropogenic) and background data are characterized by their own probabilistic distributions. One of these methods uses exploratory data analysis (EDA) on regional geochemical data sets coupled with a geographic information system (GIS) to spatially understand the processes that influence the geochemical landscape in a technique that can be called a spatial data analysis (SDA). This EDA-SDA methodology was used to establish the regional background range from the area of Catorce-Matehuala in north-central Mexico. Probability plots of the data, particularly for those areas affected by human activities, show that the regional geochemical background population is composed of smaller subpopulations associated with factors such as soil type and parent material. This paper demonstrates that the EDA-SDA method offers more certainty in defining thresholds between geochemical background and anomaly than a numeric technique, making it a useful tool for regional geochemical landscape analysis and environmental geochemistry studies.

Applied Geochemistry↗

Determining sources of water and contaminants to wells in a carbonate aquifer near Martinsburg, Blair County, Pennsylvania, by use of geochemical indicators, analysis of anthropogenic contaminants, and simulation of ground-water flow

Water supply for the Borough of Martinsburg, Pa., is from two well fields (Wineland and Hershberger) completed in carbonate-bedrock aquifers in the Morrison Cove Valley. Water supply is plentiful; however, waters with high concentrations of nitrate are a concern. This report describes the sources of water and contaminants to the supply wells. A review of previous investigations was used to establish the aquifer framework and estimate aquifer hydraulic properties. Aquifer framework and simulation of ground-water flow in a 25-square-mile area using the MODFLOW model helped to further constrain aquifer hydraulic properties and identify water-source areas in the zone of contribution of ground water to the well fields. Flow simulation identified potential contaminant-source areas. Data on contaminants and geochemical characteristics of ground water at the well fields were compared to the results of flow simulation. The Woodbury Anticline controls the aquifer framework near the well fields and four carbonate-bedrock formations contain the primary aquifers. Three carbonate-bedrock aquifers of Ordovician age overlie the Gatesburg aquifer of Cambrian age on the flanks of the anticline. Fracture, not conduit, permeability was determined to be the dominant water-bearing characteristic of the bedrock. The horizontal hydraulic conductivity of the Gatesburg aquifer is about 36 feet per day. The other carbonate aquifers (Nittany/Stonehenge, Bellefonte/Axemann, and Coburn through Loysburg aquifers) overlying and flanking the Gatesburg aquifer have horizontal hydraulic conductivities of about 1 foot per day. Regional directions of ground-water flow are toward the major streams with Clover Creek as the major discharge point for ground water in the east. Ground-water flow to the well fields is anisotropic with a 5:1 preferential horizontal direction along strike of the axial fold of the anticline. Thus, the zone of contribution of ground water to the well fields is elongate in a north-south direction along the anticline axis, with the majority of the flow to the well fields originating from the south. Human activity in the areal extent of the zone of contribution to the well fields was the source of contaminants. The areal extent of the zone of contribution included both urban areas in the Borough and a large amount of agricultural land. By relating results of flow simulation, natural geochemistry, and analyses of anthropogenic (human-made) contaminants, the source areas for water and contaminants were determined with more confidence than by using only flow simulation. Analysis of natural geochemistry identified water sources from both limestone and dolomite aquifers. Geochemistry results also indicated fractures, not conduits, were the dominant source of water from aquifers; however, quantitative source identification was not possible. Chemical ratios of chloride and bromide were useful to show that all samples of ground water had sources with chemical contributions from land surface. Nitrogen isotope ratio analysis indicated animal manure as the possible primary source of nitrate in most ground water. Some of the nitrate in ground water had chemical fertilizer as a source. At the Wineland well field, chemical fertilizer was likely the source of nitrate. The nitrate in water from the Hershberger well field was from a mixture of fertilizer and animal-manure sources. Human sewage was ruled out as a major source of nitrate in water from the municipal wells by results showing 1) wastewater compounds in sewage were rarely detected and 2) a mass-balance calculation indicating the small contribution of nitrogen that could be attributed to septic systems.

Scientific Investigations Report↗

Climate change and wildfire risk in an expanding wildland–urban interface: a case study from the Colorado Front Range Corridor

Context Wildfire is a particular concern in the wildland–urban interface (WUI) of the western United States where human development occurs close to flammable natural vegetation. Objectives (1) Assess the relative influences of WUI expansion versus climate-driven fire regime change on spatial and temporal patterns of burned WUI, and (2) determine whether WUI developed in the future will have higher or lower wildfire risk than existing WUI. Methods We projected the spatial pattern of the WUI and its associated wildfire risk from 2005 to 2050 at 90-m spatial resolution and 5-year intervals in Colorado Front Range using CHANGE, a landscape change model that simulates land cover and land use change, natural vegetation dynamics, and wildfire in a unified framework. A total of four scenarios from a factorial design with static versus changing WUI and static versus changing fire regimes were simulated to examine the effects of WUI expansion and climate-driven fire regime change on burned area in the WUI. Results Both WUI expansion and fire regime change contributed to the increase of burned WUI, but fire regime change had a stronger influence. The effects of WUI expansion and fire regime change had a combined influence greater than the sum of their individual effects. This interaction was a result of projected WUI expansion into regions of higher wildfire risk than existing WUI. Conclusions The human footprint will continue to expand into wildland areas and must be considered along with climate effects when assessing the impacts of changing fire regimes in future landscapes.

Landscape Ecology↗

Human activities cause distinct dissolved organic matter composition across freshwater ecosystems

Dissolved organic matter (DOM) composition in freshwater ecosystems is influenced by interactions between physical, chemical, and biological processes that are controlled, at one level, by watershed landscape, hydrology, and their connections. Against this environmental template, humans may strongly influence DOM composition. Yet, we lack a comprehensive understanding of DOM composition variation across freshwater ecosystems differentially affected by human activity. Using optical properties, we described DOM variation across five ecosystem groups of the Laurentian Great Lakes Region: large lakes, Kawartha Lakes, Experimental Lakes Area, urban stormwater ponds, and rivers (n = 184 sites). We determined how between ecosystem variation in DOM composition related to watershed size, land use and cover, water quality measures (conductivity, dissolved organic carbon (DOC), nutrient concentration, chlorophyll a ), and human population density. The five freshwater ecosystem groups had distinctive DOM composition from each other. These significant differences were not explained completely through differences in watershed size nor spatial autocorrelation. Instead, multivariate partial least squares regression showed that DOM composition was related to differences in human impact across freshwater ecosystems. In particular, urban/developed watersheds with higher human population densities had a unique DOM composition with a clear anthropogenic influence that was distinct from DOM composition in natural land cover and/or agricultural watersheds. This nonagricultural, human developed impact on aquatic DOM was most evident through increased levels of a microbial, humic-like parallel factor analysis component (C6). Lotic and lentic ecosystems with low human population densities had DOM compositions more typical of clear water to humic-rich freshwater ecosystems but C6 was only present at trace to background levels. Consequently, humans are strongly altering the quality of DOM in waters nearby or flowing through highly populated areas, which may alter carbon cycles in anthropogenically disturbed ecosystems at broad scales.

Global Change Biology↗

Interfacing models of wildlife habitat and human development to predict the future distribution of puma habitat

The impact of human land uses on ecological systems typically differ relative to how extensively natural conditions are modified. Exurban development is intermediate-intensity residential development that often occurs in natural landscapes. Most species-habitat models do not evaluate the effects of such intermediate levels of human development and even fewer predict how future development patterns might affect the amount and configuration of habitat. We addressed these deficiencies by interfacing a habitat model with a spatially-explicit housing-density model to study the effect of human land uses on the habitat of pumas ( Puma concolor ) in southern California. We studied the response of pumas to natural and anthropogenic features within their home ranges and how mortality risk varied across a gradient of human development. We also used our housing-density model to estimate past and future housing densities and model the distribution of puma habitat in 1970, 2000, and 2030. The natural landscape for pumas in our study area consisted of riparian areas, oak woodlands, and open, conifer forests embedded in a chaparral matrix. Pumas rarely incorporated suburban or urban development into their home ranges, which is consistent with the hypothesis that the behavioral decisions of individuals can be collectively manifested as population-limiting factors at broader spatial scales. Pumas incorporated rural and exurban development into their home ranges, apparently perceiving these areas as modified, rather than non-habitat. Overall, pumas used exurban areas less than expected and showed a neutral response to rural areas. However, individual pumas that selected for or showed a neutral response to exurban areas had a higher risk of mortality than pumas that selected against exurban habitat. Exurban areas are likely hotspots for puma-human conflict in southern California. Approximately 10% of our study area will transform from exurban, rural, or undeveloped areas to suburban or urban by 2030, and 35% of suitable puma habitat on private land in 1970 will have been lost by 2030. These land-use changes will further isolate puma populations in southern California, but the ability to visualize these changes had provided a new tool for developing proactive conservation solutions.

California↗

Response of deep groundwater to land use change in desert basins of the Trans-Pecos region, Texas, USA: Effects on infiltration, recharge, and nitrogen fluxes

Quantifying the effects of anthropogenic processes on groundwater in arid regions can be complicated by thick unsaturated zones with long transit times. Human activities can alter water and nutrient fluxes, but their impact on groundwater is not always clear. This study of basins in the Trans-Pecos region of Texas links anthropogenic land use and vegetation change with alterations to unsaturated zone fluxes and regional increases in basin groundwater NO 3 − concentrations. Median increases in groundwater NO 3 − (by 0.7–0.9 mg-N/l over periods ranging from 10 to 50+ years) occurred despite low precipitation (220–360 mm/year), high potential evapotranspiration (~1570 mm/year), and thick unsaturated zones (10–150+ m). Recent model simulations indicate net infiltration and groundwater recharge can occur beneath Trans-Pecos basin floors, and may have increased due to irrigation and vegetation change. These processes were investigated further with chemical and isotopic data from groundwater and unsaturated zone cores. Some unsaturated zone solute profiles indicate flushing of natural salt accumulations has occurred. Results are consistent with human-influenced flushing of naturally accumulated unsaturated zone nitrogen as an important source of NO 3 − to the groundwater. Regional mass balance calculations indicate the mass of natural unsaturated zone NO 3 − (122–910 kg-N/ha) was sufficient to cause the observed groundwater NO 3 − increases, especially if augmented locally with the addition of fertilizer N. Groundwater NO 3 − trends can be explained by small volumes of high NO 3 − modern recharge mixed with larger volumes of older groundwater in wells. This study illustrates the importance of combining long-term monitoring and targeted process studies to improve understanding of human impacts on recharge and nutrient cycling in arid regions, which are vulnerable to the effects of climate change and increasing human reliance on dryland ecosystems.

Texas↗

Possibility for reverse zoonotic transmission of SARS-CoV-2 to free-ranging wildlife: A case study of bats

The COVID-19 pandemic highlights the substantial public health, economic, and societal consequences of virus spillover from a wildlife reservoir. Widespread human transmission of severe acute respiratory syndrome coronavirus 2 (SARS-CoV-2) also presents a new set of challenges when considering viral spillover from people to naïve wildlife and other animal populations. The establishment of new wildlife reservoirs for SARS-CoV-2 would further complicate public health control measures and could lead to wildlife health and conservation impacts. Given the likely bat origin of SARS-CoV-2 and related beta-coronaviruses (β-CoVs), free-ranging bats are a key group of concern for spillover from humans back to wildlife. Here, we review the diversity and natural host range of β-CoVs in bats and examine the risk of humans inadvertently infecting free-ranging bats with SARS-CoV-2. Our review of the global distribution and host range of β-CoV evolutionary lineages suggests that 40+ species of temperate-zone North American bats could be immunologically naïve and susceptible to infection by SARS-CoV-2. We highlight an urgent need to proactively connect the wellbeing of human and wildlife health during the current pandemic and to implement new tools to continue wildlife research while avoiding potentially severe health and conservation impacts of SARS-CoV-2 "spilling back" into free-ranging bat populations.

PLoS Pathogens↗

Amphibians and reptiles

Amphibians and reptiles are a diverse group of ectothermic vertebrates that occupy a variety of habitats in rangelands of North America, from wetlands to the driest deserts. These two classes of vertebrates are often referred to as herpetofauna and are studied under the field of herpetology. In U.S. rangelands, there are approximately 66 species of frogs and toads, 58 salamanders, 98 lizards, 111 snakes, and 27 turtles and tortoises. Herpetofauna tend to be poorly studied compared with other vertebrates, which creates a challenge for biologists and landowners who are trying to manage rangeland activities for this diverse group of animals and their habitats. Degradation of habitats from human land use and alteration of natural processes, like wildfire, are primary threats to herpetofauna populations. Disease, non-native predators, collection for the pet trade, and persecution are also conservation concerns for some species. Properly managed livestock grazing is generally compatible with herpetofauna conservation, and private and public rangelands provide crucial habitat for many species. Climate change also poses a threat to herpetofauna, but we have an incomplete understanding of the potential effects on species. Dispersal and adaptation could provide some capacity for species to persist on rangelands as climates, disturbance regimes, and habitats change. However, inadequate information and considerable uncertainty will make climate mitigation planning difficult for the foreseeable future. Planning for and mitigating effects of climate change, and interactions with other stressors, is an urgent area for research. Maintaining large, heterogeneous land areas as rangelands will certainly be an important part of the conservation strategy for herpetofauna in North America.

Book chapter↗

Implications of rapid environmental change for polar bear behavior and sociality

Historically, the Arctic sea ice has functioned as a structural barrier that has limited the nature and extent of interactions between humans and polar bears ( Ursus maritimus ). However, declining sea ice extent, brought about by global climate change, is increasing the potential for human-polar bear interactions. Loss of sea ice habitat is driving changes to both human and polar bear behavior—it is facilitating increases in human activities (e.g., offshore oil and gas exploration and extraction, trans-Arctic shipping, recreation), while also causing the displacement of bears from preferred foraging habitat (i.e., sea ice over biologically productive shallow) to land in some portions of their range. The end result of these changes is that polar bears are spending greater amounts of time in close proximity to people. Coexistence between humans and polar bears will require imposing mechanisms to manage further development, as well as mitigation strategies that reduce the burden to local communities.

Book chapter↗

Advancing mangrove macroecology

Mangrove forests provide a wide range of ecosystem services to society, yet they are among the most anthropogenically impacted coastal ecosystems in the world. In this chapter, we discuss and provide examples for how macroecology can advance our understanding of mangrove ecosystems. Macroecology is broadly defined as a discipline that uses statistical analyses to investigate large-scale, universal patterns in the distribution, abundance, diversity, and organization of species and ecosystems, including the scaling of ecological processes and structural and functional relationships. Macroecological methods can be used to advance our understanding of how non-linear responses in natural systems can be triggered by human impacts at local, regional, and global scales. Although macroecology has the potential to gain knowledge on universal patterns and processes that govern mangrove ecosystems, the application of macroecological methods to mangroves has historically been limited by constraints in data quality and availability. Here we provide examples that include evaluations of the variation in mangrove forest ecosystem structure and function in relation to macroclimatic drivers (e.g., temperature and rainfall regimes) and climate change. Additional examples include work focused upon the continental distribution of aboveground net primary productivity and carbon storage, which are rapidly advancing research areas. These examples demonstrate the value of a macroecological perspective for the understanding of global- and regional-scale effects of both changing environmental conditions and management actions on ecosystem structure, function, and the supply of goods and services. We also present current trends in mangrove modeling approaches and their potential utility to test hypotheses about mangrove structural and functional properties. Given the gap in relevant experimental work at the regional scale, we also discuss the potential use of mangrove restoration and rehabilitation projects as macroecological studies that advance the critical selection and conservation of ecosystem services when managing mangrove resources. Future work to further incorporate macroecology into mangrove research will require a concerted effort by research groups and institutions to launch research initiatives and synthesize data collected across broad biogeographic regions.

Book chapter↗

Scientific and public responses to the ongoing volcanic crisis at Popocatépetl Volcano, Mexico: Importance of an effective hazards-warning system

Volcanic eruptions and other potentially hazardous natural phenomena occur independently of any human actions. However, such phenomena can cause disasters when a society fails to foresee the hazardous manifestations and adopt adequate measures to reduce its vulnerability. One of the causes of such a failure is the lack of a consistent perception of the changing hazards posed by an ongoing eruption, i.e., with members of the scientific community, the Civil Protection authorities and the general public having diverging notions about what is occurring and what may happen. The problem of attaining a perception of risk as uniform as possible in a population measured in millions during an evolving eruption requires searching for communication tools that can describe—as simply as possible—the relations between the level of threat posed by the volcano, and the level of response of the authorities and the public. The hazards-warning system adopted at Popocatépetl Volcano, called the Volcanic Traffic Light Alert System (VTLAS), is a basic communications protocol that translates volcano threat into seven levels of preparedness for the emergency-management authorities, but only three levels of alert for the public (color coded green–yellow–red). The changing status of the volcano threat is represented as the most likely scenarios according to the opinions of an official scientific committee analyzing all available data. The implementation of the VTLAS was intended to reduce the possibility of ambiguous interpretations of intermediate levels by the endangered population. Although the VTLAS is imperfect and has not solved all problems involved in mass communication and decision-making during a volcanic crisis, it marks a significant advance in the management of volcanic crises in Mexico.

Popocatepetl Volcano↗

Historical evolution of the Columbia River littoral cell

This paper details the historical coastal evolution of the Columbia River littoral cell in the Pacific Northwest of the United States. Geological data from A.D. 1700 and records leading up to the late 1800s provide insights to the natural system dynamics prior to significant human intervention, most notably jetty construction between 1885 and 1917. All reliable surveys, charts, and aerial photos are used to quantify decadal-scale changes at the three estuary entrances and four sub-cells of the littoral cell. Shoreline, bathymetric, and topographic change over three historical intervals—1870s–1920s, 1920s–1950s, and 1950s–1990s—are integrated to provide an understanding of sediment-sharing relationships among the littoral cell components. Regional morphological change data are developed for alongshore segments of approximately 5 km, enabling comparisons of shoreline change to upper-shoreface and barrier volume change within common compartments. The construction of entrance jetties at the Columbia River (1885–1917) and Grays Harbor (1898–1916) has profoundly affected the evolution of the littoral cell, and has accentuated the morphological coupling between the inlets, ebb-tidal deltas, shorefaces, and barriers. The jetties induced erosion of the inlets and offshore migration of ebb-tidal deltas. The change in boundary conditions at the entrances enabled waves to rework the flanks of ebb-tidal deltas and supply enormous quantities of sand to the adjacent coasts. Over several decades the initial sand pulses have been dispersed alongshore up to tens of kilometers from the estuary entrances. Winter waves and coastal currents produce net northward sediment transport across the shoreface while summer conditions tend to induce onshore sediment transport and accumulation of the upper shoreface and barriers at relatively high rates. Historical shoreline progradation rates since jetty construction are approximately double the late prehistoric rates between 1700 and the 1870s. Erosion rates of the mid- to lower shoreface to the south of the jettied estuary entrances have typically been greater than the accumulation rates of the upper shoreface and barrier, suggesting that the lower shoreface has been an important source of littoral sediments over decadal and longer time scales. Until recent decades, sediment supply from the ebb-tidal delta flanks and lower shoreface has largely masked the decline in Columbia River sediment supply resulting from flow regulation and dredging disposal practices. With the contemporary onset and expansion of coastal erosion adjacent to the jettied estuary entrances, proper management of dredged sediment is imperative to mitigate the effects of a declining sediment budget.

Oregon, Washington↗

How do humans affect wildlife nematodes?

Human actions can affect wildlife and their nematode parasites. Species introductions and human-facilitated range expansions can create new host–parasite interactions. Novel hosts can introduce parasites and have the potential to both amplify and dilute nematode transmission. Furthermore, humans can alter existing nematode dynamics by changing host densities and the abiotic conditions that affect larval parasite survival. Human impacts on wildlife might impair parasites by reducing the abundance of their hosts; however, domestic animal production and complex life cycles can maintain transmission even when wildlife becomes rare. Although wildlife nematodes have many possible responses to human actions, understanding host and parasite natural history, and the mechanisms behind the changing disease dynamics might improve disease control in the few cases where nematode parasitism impacts wildlife.

Trends in Parasitology↗

Coastal-zone hazard maps and recommendations: Eastern Puerto Rico

A series of coastal zone hazard maps cover the area impacted by Hurricane Hugo (1989) in eastern Puerto Rico. The mapping strategy was to develop a tool for quick visualization of multiple hazards for use by coastal planners, managers, property owners, and potential property owners. The Puerto Rico shoreline is heavily developed in places and also highly compartmentalized in terms of shoreline types, geology, and adjacent shelf conditions. Hazards such as coastal erosion, storm surge, riverine flooding, landsliding, and seismic impact also may be compartmentalized. From a management perspective, resources therefore can be allocated on a compartment-by-compartment basis. Six types of hazards were considered in this investigation: (1) shoreline-setting hazards (long-term coastal problems), (2) marine hazards (short-term impacts of coastal storms), (3) earthquake and slope hazards (ground shaking, landslides, and liquefaction), (4) riverine hazards (historical floods), (5) development hazards (high-density development at risk or lowdensity development in extreme-hazard settings), and (6) engineering hazards (special cases in which shoreline engineering projects such as breakwaters or sand mining have significant detrimental effects on portions of the shoreline). Shoreline segments were ranked as being at extreme, high, moderate, or low risk, depending on the number of hazards present within that segment. These rankings are likely to change, gradually over decades with natural coastal evolution, more rapidly as human development infringes on the coastal zone, or in an instant during a severe storm. The hazard maps provide a basis for hazard mitigation and management recommendations.

Puerto Rico↗

Effect of river confinement on depth and spatial extent of bed disturbance affecting salmon redds

Human impacts on rivers threaten the natural function of riverine ecosystems. This paper assesses how channel confinement affects the scour depth and spatial extent of bed disturbance and discusses the implications of these results for salmon-redd disturbance in gravel-bedded rivers. Two-dimensional hydrodynamic models of relatively confined and unconfined reaches of the Cedar River in Washington State, USA, were constructed with surveyed bathymetry and available airborne lidar data then calibrated and verified with field observations of water-surface elevation and streamflow velocity. Simulations showed greater water depths and velocities in the confined reach and greater areas of low-velocity inundation in the unconfined reach at high flows. Data on previously published scour depth of bed disturbance during high flows were compared to simulated bed shear stress to construct a probabilistic logistic-regression model of bed disturbance, which was applied to spatial patterns of simulated bed shear stress to quantify the extent of likely bed disturbance to the burial depth of sockeye and Chinook salmon redds. The disturbance depth was not observed to differ between confined and unconfined reaches; however, results indicated the spatial extent of disturbance to a given depth in the confined reach was roughly twice as large as in the unconfined reach.

Washington↗

The natural wood regime in rivers

The natural wood regime forms the third leg of a tripod of physical processes that supports river science and management, along with the natural flow and sediment regimes. The wood regime consists of wood recruitment, transport, and storage in river corridors. Each of these components can be characterized in terms of magnitude, frequency, rate, timing, duration, and mode. We distinguish the natural wood regime, which occurs where human activities do not significantly alter the wood regime, and a target wood regime, in which management emphasizes wood recruitment, transport, and storage that balance desired geomorphic and ecological characteristics with mitigation of wood-related hazards. Wood regimes vary across space and through time but can be inferred and quantified via direct measurements, reference sites, historical information, and numerical modeling. Classifying wood regimes with respect to wood process domains and quantifying the wood budget are valuable tools for assessing and managing rivers.

BioScience↗

Spatial, road geometric, and biotic factors associated with Barn Owl mortality along an interstate highway

Highway programs typically focus on reducing vehicle collisions with large mammals because of economic or safety reasons while overlooking the millions of birds that die annually from traffic. We studied wildlife‐vehicle collisions along an interstate highway in southern Idaho, USA, with among the highest reported rates of American Barn Owl Tyto furcata road mortality. Carcass data from systematic and ad hoc surveys conducted in 2004–2006 and 2013–2015 were used to explore the extent to which spatial, road geometric, and biotic factors explained Barn Owl‐vehicle collisions. Barn Owls outnumbered all other identified vertebrate species of roadkill and represented > 25% of individuals and 73.6% of road‐killed birds. At a 1‐km highway segment scale, the number of dead Barn Owls decreased with increasing numbers of human structures, cumulative length of secondary roads near the highway, and width of the highway median. Number of dead Barn Owls increased with higher commercial average annual daily traffic (CAADT), small mammal abundance index, and with grass rather than shrubs in the roadside verge. The small mammal abundance index was also greater in roadsides with grass versus mixed shrubs, suggesting that Barn Owls may be attracted to grassy portions of the highway with more abundant small mammals for hunting prey. When assessed at a 3‐km highway segment scale, the number of dead Barn Owls again increased with higher CAADT as well as with greater numbers of dairy farms. At a 5‐km scale, number of dead Barn Owls increased with greater percentage of cropland near the highway. While human conversion of the environment from natural shrub‐steppe to irrigated agriculture in this region of Idaho has likely enhanced habitat for Barns Owls, it simultaneously has increased risk for owl‐vehicle collisions where an interstate highway traverses the altered landscape. We review some approaches for highway mitigation and suggest that reducing wildlife‐vehicle collisions involving Barn Owls may contribute to the persistence of this species.

Idaho↗