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At least 721 records · Page 40Linked to original sources

The effects of land use on fluvial sediment chemistry for the conterminous U.S. - Results from the first cycle of the NAWQA Program: Trace and major elements, phosphorus, carbon, and sulfur

In 1991, the U.S. Geological Survey (USGS) began the first cycle of its National Water Quality Assessment (NAWQA) Program. The Program encompassed 51 river basins that collectively accounted for more than 70% of the total water use (excluding power generation), and 50% of the drinking water supply in the U.S. The basins represented a variety of hydrologic settings, rock types (geology), land-use categories, and population densities. One aspect of the first cycle included bed sediment sampling; sites were chosen to represent baseline and important land-use categories (e.g., agriculture, urban) in each basin. In total, over 1200 bed sediment samples were collected. All samples were size-limited (< 63????m) to facilitate spatial and/or temporal comparisons, and subsequently analyzed for a variety of chemical constituents including major (e.g., Fe, Al,) and trace elements (e.g., Cu, Zn, Cd), nutrients (e.g., P), and carbon. The analyses yielded total (??? 95% of the concentrations present), rather than total-recoverable chemical data. Land-use percentages, upstream underlying geology, and population density were determined for each site and evaluated to asses their relative influence on sediment chemistry. Baseline concentrations for the entire U.S. also were generated from a subset of all the samples, and are based on material collected from low population (??? 27??p km- 2) density, low percent urban (??? 5%), agricultural or undeveloped areas. The NAWQA baseline values are similar to those found in other national and global datasets. Further, it appears that upstream/underlying rock type has only a limited effect (mostly major elements) on sediment chemistry. The only land-use category that appears to substantially affect sediment chemistry is percent urban, and this result is mirrored by population density; in fact, the latter appears more consistent than the former.

Science of the Total Environment↗

East versus West: organic contaminant differences in brown pelican ( Pelecanus occidentalis ) eggs from South Carolina, USA and the Gulf of California, Mexico

Brown pelicans ( Pelecanus occidentalis ) were listed as endangered in the United States in 1970, largely due to reproductive failure and mortality caused by organochlorine contaminants, such as DDT. The southeast population, P.o. carolinensis , was delisted in 1985, while the west coast population, P.o. californicus , was not delisted until 2009. As fish-eating coastal seabirds, brown pelicans may serve as a biomonitors. Organic contaminants were examined in brown pelican eggs collected from the Gulf of California in 2004 and South Carolina in 2005 using gas chromatography/mass spectrometry (GC/MS). Contaminants were compared using all individual data as well as statistically pooled samples to provide similar sample sizes with little difference in results. Principal components analysis separated the Gulf of California brown pelican eggs from the South Carolina eggs based on contaminant patterns. The South Carolina population had significantly ( P < 0.05) higher levels of polychlorinated biphenyls (PCBs), chlordanes, dieldrin and mirex, while the Gulf of California eggs had higher levels of dichlorodiphenyltrichloroethanes (DDTs) and hexachlorocyclohexanes (HCHs). With the exception of dieldrin and brominated diphenyl ether (BDE) 47, this pattern was observed for mussel and oyster tissues from these regions, indicating the need for further study into the differences between east and west coast brown pelican populations and ecosystem contamination patterns.

South Carolina↗

Managing dams for energy and fish tradeoffs: What does a win-win solution take?

Management activities to restore endangered fish species, such as dam removals, fishway installations, and periodic turbine shutdowns, usually decrease hydropower generation capacities at dams. Quantitative analysis of the tradeoffs between energy production and fish population recovery related to dam decision-making is still lacking. In this study, an integrated hydropower generation and age-structured fish population model was developed using a system dynamics modeling method to assess basin-scale energy-fish tradeoffs under eight dam management scenarios. This model ran across 150 years on a daily time step, applied to five hydroelectric dams located in the main stem of the Penobscot River, Maine. We used alewife ( Alosa pseudoharengus ) to be representative of the local diadromous fish populations to link projected hydropower production with theoretical influences on migratory fish populations on the model river system. Our results show that while the five dams can produce around 427 GWh/year of energy, without fishway installations they would contribute to a 90% reduction in the alewife spawner abundance. The effectiveness of fishway installations is largely influenced by the size of reopened habitat areas and the actual passage rate of the fishways. Homing to natal habitat has an insignificant effect on the growth of the simulated spawner abundance. Operating turbine shutdowns during alewives' peak downstream migration periods, in addition to other dam management strategies, can effectively increase the spawner abundance by 480–550% while also preserving 65% of the hydropower generation capacity. These data demonstrate that in a river system where active hydropower dams operate, a combination of dam management strategies at the basin scale can best balance the tradeoff between energy production and the potential for migratory fish population recovery.

Maine↗

Water availability drives instream conditions and life-history of an imperiled desert fish: A case study to inform water management

In arid ecosystems, available water is a critical, yet limited resource for human consumption, agricultural use, and ecosystem processes—highlighting the importance of developing management strategies to meet the needs of multiple users. Here, we evaluated how water availability influences stream thermal regimes and life-history expressions of Lahontan cutthroat trout ( Oncorhynchus clarkii henshawi ) in the arid Truckee River basin in the western United States. We integrated air temperature and stream discharge data to quantify how water availability drives stream temperature during annual spawning and rearing of Lahontan cutthroat trout. We then determined how in situ stream discharge and temperature affected adult spawning migrations, juvenile growth opportunities, and duration of suitable thermal conditions. Air temperatures had significant, large effects (+) on stream temperature across months; the effects of discharge varied across months, with significant effects (−) during May through August, suggesting increased discharge can help mitigate temperatures during seasonally warm months. Two models explained adult Lahontan cutthroat trout migration, and both models indicated that adult Lahontan cutthroat trout avoid migration when temperatures are warmer (~ > 12 °C) and discharge is higher (~ > 50 m 3 *s −1 ). Juvenile size was best explained by a quadratic relationship with cumulative degree days (CDD; days>4 °C) as size increased with increasing CDDs but decreased at higher CDDs. We also found an interaction between CDDs and discharge explaining juvenile size: when CDDs were low, higher discharge was associated with larger size, but when CDDs were high, higher discharge was associated with smaller size. Stream temperatures also determined the duration of juvenile rearing, as all juvenile emigration ceased at temperatures >24.4 °C. Together, our results illustrated how stream discharge and temperature shape the life-history of Lahontan cutthroat trout at multiple stages and can inform management actions to offset warming temperatures and facilitate life-history diversity and population resilience.

California, Nevada↗

Presence of avian influenza viruses in waterfowl and wetlands during summer 2010 in California: Are resident birds a potential reservoir?

Although wild waterfowl are the main reservoir for low pathogenic avian influenza viruses (LPAIv), the environment plays a critical role for the circulation and persistence of AIv. LPAIv may persist for extended periods in cold environments, suggesting that waterfowl breeding areas in the northern hemisphere may be an important reservoir for AIv in contrast to the warmer southern wintering areas. We evaluated whether southern wetlands, with relatively small populations (thousands) of resident waterfowl, maintain AIv in the summer, prior to the arrival of millions of migratory birds. We collected water and fecal samples at ten wetlands in two regions (Yolo Bypass and Sacramento Valley) of the California Central Valley during three bi-weekly intervals beginning in late July, 2010. We detected AIv in 29/367 fecal samples (7.9%) and 12/597 water samples (2.0%) by matrix real time Reverse Transcription Polymerase Chain Reaction (rRT-PCR). We isolated two H3N8, two H2N3, and one H4N8 among rRT-PCR positive fecal samples but no live virus from water samples. Detection of AIv RNA in fecal samples was higher from wetlands in the Sacramento Valley (11.9%) than in the Yolo Bypass (0.0%), but no difference was found for water samples (2.7 vs. 1.7%, respectively). Our study showed that low densities of hosts and unfavorable environmental conditions did not prevent LPAIv circulation during summer in California wetlands. Our findings justify further investigations to understand AIv dynamics in resident waterfowl populations, compare AIv subtypes between migratory and resident waterfowl, and assess the importance of local AIv as a source of infection for migratory birds.

California↗

Pesticide residues in the ecosystem

Pesticide residues have become a component of nearly all living organisms. Nearly all California birds and fish collected in a 1963 pesticide survey contained residues. Discovery of DDT and metabolites in Antarctic animals in 1964 pushed the distribution of pesticides to the remotest portions of the globe. Exchange of pesticides in the aquatic world progresses rapidly, even in the quiet waters of a pond. Any segment of the ecosystem–marshland, pond, forest, or field–receives pesticides of varied amounts and kinds at irregular and unknown intervals. Phytoplankton communities are an important food base in aquatic environments whose productivity can be affected by rather small exposure to pesticides. Degradation and loss of chlorinated hydrocarbon pesticides from the ecosystem has been shown to proceed slowly. Pesticide-tolerant or resistant populations of fish and possibly other cold-blooded vertebrates have been shown to exist in areas of the south long subjected to pesticide treatments.

Book chapter↗

Insecticide contaminations in wetland habitats and their effects on fish- eating birds

An unusual mortality of fish-eating birds occurred at the Tule Lake National Wildlife Refuge in California between 1960 and 1962. Over 1100 dead birds of ten species were found during that period. Investigations of the mortality indicated that birds died as a result of their exposure to toxaphene, which was applied to adjoining agricultural areas, transported to the refuge in waste irrigation water, and accumulated in fish eaten by the birds. Toxaphene was used in agriculture for only 3 years, 1958-60, and by 1962 residues were no longer found in the marsh habitat. However, results also showed that a potentially hazardous contamination of DDT and its metabolites was present in the birds and the environment. Studies were, therefore, continued to determine the food-chain relationships of DDT in marsh ecosystems, and the effects of the insecticide on birds. Sampling for insecticide residues was undertaken at four waterfowl refuges, each representing a somewhat different set of environmental conditions. DDT residues in water at each refuge were found to be relatively low, but filtered samples showed that residues in suspended material were 10 000 to 20 000 times as great as those in the filtrate. Much of the suspended material was organic matter, which is an important source of energy for the ecosystems. In environments with invertebrates, DDT residues were relatively low in sediments and high in fish, while residues in vegetation were highest where invertebrates were absent. Results suggest that organic materials and invertebrates can be important factors in determining the fate and involvement of insecticides in aquatic environments. Studies of the movements, exposure to pesticides, productivity, and longevity of individuals in three nesting colonies of White Pelicans were begun in 1962 to depict the relationships of pesticides to a migratory population of birds dependent upon wetland habitats. To date there is no evidence that the exposure of pelicans to DDT is influencing the population dynamics of the birds.

California, Oregon↗

Interpolation of reconnaissance multibeam bathymetry from north-central Long Island Sound

Introduction The U.S. Geological Survey (USGS), in cooperation with the National Oceanic and Atmospheric Administration (NOAA) and the Connecticut Department of Environmental Protection (CT DEP), has produced detailed maps of the sea floor in Long Island Sound, a major East Coast estuary surrounded by the most densely populated region of the United States (fig. 1). The current phase of this cooperative research program is directed toward studies of sea-floor topography and its effect on the distributions of sedimentary environments and benthic communities. Because anthropogenic wastes, toxic chemicals, and changes in land-use patterns resulting from residential, commercial, and recreational development have stressed the environment of the Sound, causing degradation and potential loss of benthic habitats (Koppelman and others, 1976; Long Island Sound Study, 1994), detailed maps of the sea floor are needed to help evaluate the extent of adverse impacts and to help manage resources wisely in the future.

Connecticut, New York↗

Reconnaissance engineering geology of the Haines area, Alaska, with emphasis on evaluation of earthquake and other geologic hazards

The Alaska earthquake of March 27, 1964, brought into sharp focus the need for engineering geologic studies in urban areas. Study of the Haines area constitutes an integral part of an overall program to evaluate earthquake and other geologic hazards in most of the larger Alaska coastal communities. The evaluations of geologic hazards that follow, although based only upon reconnaissance studies and, therefore, subject to revision, will provide broad guidelines useful in city and land-use planning. It is hoped that the knowledge gained will result in new facilities being built in the best possible geologic environments and being designed so as to minimize future loss of life and property damage. Haines, which is in the northern part of southeastern Alaska approximately 75 miles northwest of Juneau, had a population, of about 700 people in 1970. It is built at the northern end of the Chilkat Peninsula and lies within the Coast Mountains of the Pacific Mountain system. The climate is predominantly marine and is characterized by mild winters and cool summers. The mapped area described in this report comprises about 17 square miles of land; deep fiords constitute most of the remaining mapped area that is evaluated in this study. The Haines area was covered by glacier ice at least once and probably several times during the Pleistocene Epoch. The presence of emergent marine deposits, several hundred feet above sea level, demonstrates that the land has been uplifted relative to sea level since the last major deglaciation of the region about 10,000 years ago. The rate of relative uplift of the land at Haines during the past 39 years is 2.26 cm per year. Most or all of this uplift appears to be due to rebound as a result of deglaciation. Both bedrock and surficial deposits are present in the area. Metamorphic and igneous rocks constitute the exposed bedrock. The metamorphic rocks consist of metabasalt of Mesozoic age and pyroxenite of probable early middle Cretaceous age. The igneous rocks consist of diorite and quartz diorite (tonalite) of Cretaceous age. Sedimentary rocks of Tertiary age may be present in the mapped area but are not exposed. The surficial deposits of Quaternary age,-have been divided into the following map units on the basis of time Of deposition, mode of origin, and grain size: (1) undifferentiated drift deposits, (2) outwash and Ice-contact deposits; (3) elevated fine-grained marine deposits, (4) elevated shore and delta deposits, (5) alluvial fan deposits, (6) colluvial deposits, (7) modern beach deposits, (8) Chilkat River flood-plain and delta deposits, and (9) manmade fill. Offshore deposits are described but are not mapped. Southeastern Alaska lies within the tectonically active belt that rims the northern Pacific Basin and has been active since at least early Paleozoic time. The outcrop pattern is the result of late Mesozoic and Tertiary deformational, metamorphic, and intrusive events. Large-scale faulting has been common. The two most prominent inferred fault systems in southeastern Alaska and surrounding regions are: (1) The Denali fault system and (2) the Fairweather-Queen Charlotte Islands fault system. In the general area of Haines, rocks of Mesozoic age northeast of Chilkat River have a simple monoclinal structure. Paleozoic-Mesozoic rocks southwest of Chilkat River are gently to rather complexly folded. Several major and numerous minor faults probably transect the general area of Haines but their exact location and character can only be inferred because their traces are coincident to the long axes of fiords and river valleys, where they are concealed by water or by valley-floor deposits. Inferred faults in or near the Haines mapped area are: (1) Chilkat River fault, (2) Chilkoot fault, (3) Takhin fault, and (4) faults in the saddle area at Haines. Southeastern Alaska lies in one of the two most seismically active zones in Alaska, a State where 6 percent of the world's shallow earthqua

Open-File Report↗

Chemical and biotic characteristics of prairie lakes and large wetlands in south-central North Dakota—Effects of a changing climate

The climate of the prairie pothole region of North America is known for variability that results in significant interannual changes in water depths and volumes of prairie lakes and wetlands; however, beginning in July 1993, the climate of the region shifted to an extended period of increased precipitation that has likely been unequaled in the preceding 500 years. Associated changing water volumes also affect water chemical characteristics, with potential effects on fish and wildlife populations. To explore the effect of changing climate patterns, in 2012 and 2013, the U.S. Geological Survey revisited 167 of 178 prairie lakes and large wetlands of south-central North Dakota that were originally sampled in the mid-1960s to mid-1970s. During the earlier sampling period, these lakes and wetlands displayed a great range of chemical characteristics (for example, specific conductance ranged from 365 microsiemens per centimeter at 25 degrees Celsius to 70,300 microsiemens per centimeter at 25 degrees Celsius); however, increased water volumes have resulted in greatly reduced variation among lakes and wetlands and a more homogeneous set of chemical conditions defined by pH, specific conductance, and concentrations of major cations and anions. High concentrations of dissolved solids previously limited fish occurrence in many of the lakes and wetlands sampled; however, freshening of these lakes and large wetlands has allowed fish to populate and flourish where they were previously absent. Conversely, the freshening of previously saline lakes and wetlands has resulted in concurrent shifts away from invertebrate species adapted to live in these highly saline environments. A shift in the regional climate has changed a highly diverse landscape of wetlands (fresh to highly saline) to a markedly more homogeneous landscape that has reshaped the fish and wildlife communities of this ecologically and economically important region.

North Dakota↗

The diamondback terrapin: The biology, ecology, cultural history, and conservation status of an obligate estuarine turtle

Ranging from Cape Cod to nearly the Texas-Mexico border, the diamondback terrapin (Malaclemys terrapin) is the only species of North American turtle restricted to estuarine systems. Despite this extensive distribution, its zone of occurrence is very linear, and in places fragmented, resulting in a relatively small total area of occupancy. On a global scale, excluding marine species, few turtles even venture into brackish water on a regular basis, and only two Asian species approach the North American terrapin's dependency on estuarine habitats. Here we describe some of the biological and behavioral adaptations of terrapins that allow them to live in the rather harsh estuarine environment. In this chapter we review the natural and cultural history of this turtle, discuss conservation issues, and provide information on the types of research needed to make sound management decisions for terrapin populations in peril.

Studies in Avian Biology↗

Lake Clark sockeye salmon population assessment

Radio telemetry was used to identify and map sockeye salmon spawning habitats in glacially influenced Lake Clark, Kvichak River watershed, Alaska. Two hundred eighty-two adult sockeye salmon were radio tagged and tracked to spawning grounds. Thirty-five spawning areas were identified, including 18 previously unidentified. Comparison of radio telemetry data with past aerial population surveys indicate sockeye salmon spawning habitat use and distribution in Lake Clark was underestimated, likely due to poor visibility associated with glacial habitats. Although glacially turbid waters are not considered suitable incubation environments because fine sediments can suffocate embryos, more than 60% of radio tagged fish spawned in such waters. Over 50% of identified spawning areas are along the shores of Lake Clark and Little Lake Clark and about 75% of spawning areas are adjacent to private land. Proposed development on these lands could negatively impact critical spawning habitats if protective measures are not in place.

Report↗

Timing of seasonal migration in mule deer: effects of climate, plant phenology, and life-history characteristics

Phenological events of plants and animals are sensitive to climatic processes. Migration is a life-history event exhibited by most large herbivores living in seasonal environments, and is thought to occur in response to dynamics of forage and weather. Decisions regarding when to migrate, however, may be affected by differences in life-history characteristics of individuals. Long-term and intensive study of a population of mule deer ( Odocoileus hemionus ) in the Sierra Nevada, California, USA, allowed us to document patterns of migration during 11 years that encompassed a wide array of environmental conditions. We used two new techniques to properly account for interval-censored data and disentangle effects of broad-scale climate, local weather patterns, and plant phenology on seasonal patterns of migration, while incorporating effects of individual life-history characteristics. Timing of autumn migration varied substantially among individual deer, but was associated with the severity of winter weather, and in particular, snow depth and cold temperatures. Migratory responses to winter weather, however, were affected by age, nutritional condition, and summer residency of individual females. Old females and those in good nutritional condition risked encountering severe weather by delaying autumn migration, and were thus risk-prone with respect to the potential loss of foraging opportunities in deep snow compared with young females and those in poor nutritional condition. Females that summered on the west side of the crest of the Sierra Nevada delayed autumn migration relative to east-side females, which supports the influence of the local environment on timing of migration. In contrast, timing of spring migration was unrelated to individual life-history characteristics, was nearly twice as synchronous as autumn migration, differed among years, was related to the southern oscillation index, and was influenced by absolute snow depth and advancing phenology of plants. Plasticity in timing of migration in response to climatic conditions and plant phenology may be an adaptive behavioral strategy, which should reduce the detrimental effects of trophic mismatches between resources and other life-history events of large herbivores. Failure to consider effects of nutrition and other life-history traits may cloud interpretation of phenological patterns of mammals and conceal relationships associated with climate change.

California↗

Spatial personalities: A meta-analysis of consistent individual differences in spatial behavior

Individual variation in behavior, particularly consistent among-individual differences (i.e., personality), has important ecological and evolutionary implications for population and community dynamics, trait divergence, and patterns of speciation. Nevertheless, individual variation in spatial behaviors, such as home range behavior, movement characteristics, or habitat use has yet to be incorporated into the concepts or methodologies of ecology and evolutionary biology. To evaluate evidence for the existence of consistent among-individual differences in spatial behavior – which we refer to as “spatial personality” – we performed a meta-analysis of 200 repeatability estimates of home range size, movement metrics, and habitat use. We found that the existence of spatial personality is a general phenomenon, with consistently high repeatability (r) across classes of spatial behavior (r = 0.67–0.82), taxa (r = 0.31–0.79), and time between repeated measurements (r = 0.54–0.74). These results suggest: 1) repeatable spatial behavior may either be a cause or consequence of the environment experienced and lead to spatial personalities that may limit the ability of individuals to behaviorally adapt to changing landscapes; 2) interactions between spatial phenotypes and environmental conditions could result in differential reproduction, survival, and dispersal, suggesting that among-individual variation may facilitate population-level adaptation; 3) spatial patterns of species' distributions and spatial population dynamics may be better understood by shifting from a mean field analytical approach towards methods that account for spatial personalities and their associated fitness and ecological dynamics.

Behavioral Ecology↗

Emerging viral diseases of fish and shrimp

The rise of aquaculture has been one of the most profound changes in global food production of the past 100 years. Driven by population growth, rising demand for seafood and a levelling of production from capture fisheries, the practice of farming aquatic animals has expanded rapidly to become a major global industry. Aquaculture is now integral to the economies of many countries. It has provided employment and been a major driver of socio-economic development in poor rural and coastal communities, particularly in Asia, and has relieved pressure on the sustainability of the natural harvest from our rivers, lakes and oceans. However, the rapid growth of aquaculture has also been the source of anthropogenic change on a massive scale. Aquatic animals have been displaced from their natural environment, cultured in high density, exposed to environmental stress, provided artificial or unnatural feeds, and a prolific global trade has developed in both live aquatic animals and their products. At the same time, over-exploitation of fisheries and anthropogenic stress on aquatic ecosystems has placed pressure on wild fish populations. Not surprisingly, the consequence has been the emergence and spread of an increasing array of new diseases. This review examines the rise and characteristics of aquaculture, the major viral pathogens of fish and shrimp and their impacts, and the particular characteristics of disease emergence in an aquatic, rather than terrestrial, context. It also considers the potential for future disease emergence in aquatic animals as aquaculture continues to expand and faces the challenges presented by climate change.

Veterinary Research↗

Influence of Pb on microbial activity in Pb-contaminated soils

Investigations of the influence of Pb on soil microbial communities have focused on Pb concentrations of 1 g kg-’ or less (Barkay et al., 1985; Capone et al., 1983; Chang and Broadbent, 1981; Doelman and Haanstra, 1979; Trevors et al., 1985). However, a number of environments exist in which Pb concentrations exceed 1 g kg-’ dry soil (Davenport and Peryea, 1991; Davis et al., 1992; Bisessar, 1982). Bisessar (1982) reported an inverse correlation between Pb concentration and the bacterial population size in soil near a secondary lead smelter. However, similar trends in the concentrations of Pb, As, Cd, and Cu at the site make it difficult to attribute the reductions in population size to Pb alone. Although the effects on microbial carbon mineralization of Pb concentrations as high as 20,000 g kg-’ dry soil were investigated by Debosz et a/. (1985), differences in pH between Pb treatments and the lack of controls for abiotic CO, evolution make the results of the study equivocal. Our purpose was to examine the effects of g kg-’ Pb concentrations on the growth and productivity of soil microbial communities.

Soil Biology and Biochemistry↗

Main stem and off-channel habitat use by juvenile Chinook salmon in a sub-Arctic riverscape

Poor growth and survival in freshwater and marine environments have been implicated as responsible for Chinook salmon ( Oncorhynchus tshawytscha ) declines across Alaska. Lateral connectivity of river main stems with off-channel habitats may play an integral role in sustaining Alaskan salmonid populations because off-channel habitats commonly provide greater growth opportunities than main stem habitats through greater macroinvertebrate productivity and warmer water temperatures. However, off-channel habitats may impose greater mortality risks to juvenile salmonids, as these habitats are typically more susceptible to drying and are often occupied by potential predators. We used a hierarchical Bayesian count model to describe juvenile Chinook salmon distributions throughout the Chena River, Alaska in main stem and off-channel habitats and employed diet, prey availability, and bioenergetic analyses to explain these habitat selection decisions from data collected in the summer of 2015. We found salmon to be most abundant in off-channel habitats as summer temperature increased, which suggested that salmon dispersed to off-channel habitats to take advantage of energetically favourable growth conditions as indicated by the higher prey biomass in benthic and diet samples collected within off-channel habitats. Our results could have significant implications for juvenile salmon under a warming Alaskan climate as access to productive off-channel habitats may be important to offset increased energetic costs as temperature warms.

Alaska↗

Ecological associations of non-native ungulates on the Hawaiian Island of Lāna‘i

Sustained-yield hunting of introduced ungulates in the Hawaiian Islands often conflicts with the conservation of native species, but there is little reliable data to guide effective management. European mouflon sheep ( Ovis musimon ; mouflon) and axis deer ( Axis axis ; deer) were introduced on the island of Lāna‘i to provide additional hunting opportunities. Managers will require better information regarding the ecological associations of introduced ungulate species, relative to the habitats occupied, to resolve longstanding conflicts between native species conservation and sustained-yield hunting on islands. To address this information need, we modeled sheep and deer ecological associations, habitat-use, and suitability using data obtained from an intensive aerial survey completed in 2013 and temporally matching environmental data. In habitat suitability models evaluated by Receiver Operating Characteristic (ROC) metrics, predictor importance in a generalized linear model (GLM) of deer decreased in the following order: afternoon cloud cover, topographic slope, mean annual precipitation (MAP), elevation, normalized difference vegetation index (NDVI), and bare soil index. In a random GLM model of mouflon, predictor importance decreased in the following order: afternoon cloud cover, deer habitat suitability, NDVI, bare soil index, topographic slope, elevation, and MAP. Mouflon were restricted to lower elevation arid slopes, whereas deer were more broadly distributed throughout upland environments of the island. The presence of deer was also an important predictor for mouflon distribution, although mouflon was not an important predictor of deer, suggesting asymmetrical competition. Removal of the more abundant deer population may lead to an increase in abundance and distribution of mouflon without containment. This work represents the first habitat suitability analysis for all nonnative ungulates on any entire Hawaiian island. Our results are applicable to other islands where conflicts may arise with introduced ungulates, sustained-yield hunting, and native species conservation.

Hawaii↗