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Stakeholder engagement to guide decision-relevant water data delivery

Water resources management and policy making require access to reliable scientific data. However, water managers may need to overcome various obstacles to accessing data. For example, insufficient technological infrastructures, low data literacy, and data format complexities often inhibit data user access. Thus, it is imperative to include stakeholders in the design of data delivery systems. The United States Geological Survey's Water Resources Mission Area is currently developing Integrated Water Availability Assessments (IWAAs) — multi-extent, stakeholder driven, near real-time water availability census and prediction for human and ecological uses. To provide appropriate user accessibility to data delivery systems developed for IWAAs, a user-centered design process including stakeholder focus groups was used to determine potential water data user needs and preferences. Focus groups identified five types of potential users: Public sector water resources managers, Public sector water resources manager data analysts, Industry and private companies, Tribal Nations, and Nonprofit organizations. Different water data user types depended on diverse spatial and temporal scale data. Public sector water resources managers benefitted most from data synthesized into user-friendly platforms and Public sector water resources data analysts preferred easy access to raw data. These findings can support the development of a water data delivery platform that meets a variety of user needs.

Journal of the American Water Resources Associatio↗

Whooping Cranes past and present

The Whooping Crane ( Grus americana ), endemic to North America, is the rarest of all crane species. It is believed that in the early 1800s, the Whooping Crane was widespread in North America, though it was never very abundant. Whooping Crane numbers decreased precipitously as westward migration of Euro-American settlers converted prairie to cropland and the birds were hunted. By the early 1940s the total population was as low as 21 individuals; the migratory Aransas-Wood Buffalo Population, from which all extant Whooping Cranes are descended, dwindled to 16 in 1941. The threat of extinction was very real. These dire circumstances excited the interest of ornithologists and conservationists in the United States and Canada, and much has been accomplished since to conserve the species. To describe the historical and ongoing conservation activities for Whooping Cranes, we distinguish two eras of Whooping Crane Conservation: before 1950 and after 1950. The first era was characterized by publicizing the plight of the Whooping Crane and halting hunting and habitat destruction. The second era, continuing to the present, has been characterized by development of information about cranes through scientific study, conservation efforts of governmental and nongovernmental organizations, protection of the species under the Endangered Species Act in the United States and the Species at Risk Act in Canada, habitat protection, and reintroduction of new populations of Whooping Cranes. Publication of the monograph, The Whooping Crane by Robert Porter Allen, in 1952 stimulated much of the work of the second era, and still stands as the definitive work on the biology of Whooping Cranes. The remnant Aransas Wood Buffalo Population, which is crucial to species recovery, has grown to over 430 birds as of winter 2016–17. Four reintroduced populations were started in the second era; two are currently active efforts (the Eastern Migratory population and the Louisiana Nonmigratory Population), although neither population is selfsustaining. This volume gathers together the current scientific information about Whooping Cranes and the experiences of various reintroduction and management operations, to provide a baseline from which a third era of Whooping Crane conservation may be launched.

Book chapter↗

Digital outcrop model of stratigraphy and breccias of the southern Franklin Mountains, El Paso, Texas

This chapter reviews and synthesizes the lithostratigraphy, biostratigraphy, chronostratigraphy, and breccia types of the southwestern part of the great American carbonate bank in the southern Franklin Mountains (SFM), El Paso, Texas. Primary stratigraphic units of focus are the Lower Ordovician El Paso and Upper Ordovician Montoya Groups. These groups preserve breccias formed by collapse of a paleocave system. Precambrian and Silurian units are discussed in the context of breccia clast composition and relative timing of breccia emplacement. Specific attention is paid to the juxtaposition of the top-Sauk second-order supersequence unconformity between the El Paso and Montoya Groups and its relationship to breccias above and below it. The unconformity represents a 10-m.y. exposure event that separates Upper and Lower Ordovician carbonates. The top-Sauk exposure has been previously documented as a significant karst horizon across much of North America. The breccias of the SFM were previously described as the result of collapsed paleocaves that formed during subaerial exposure related to the Sauk-Tippecanoe unconformity. A new approach in this work uses traditional field mapping combined with high-resolution ( 1-m [ 3.3-ft] point spacing) airborne light detection and ranging (LIDAR) data over 24 km 2 (9 mi 2 ) to map breccia and relevant stratal surfaces. Airborne LIDAR data were used to create a digital outcrop model of the SFM from which a detailed (1:2000 scale) geologic map was created. The geologic map includes formation, fault, and breccia contacts. The digital outcrop model was used to interpret three-dimensional spatial relationships of breccia bodies with respect to the current understanding of the tectonic and stratigraphic evolution of the SFM. The data presented here are used to discuss potential stratigraphic, temporal, and tectonic controls on the formation of caves within the study area that eventually collapsed to form the breccias currently exposed in outcrop.

Texas↗

Book review: Proceedings of the First International Snakehead Symposium

Snakehead fishes (family Channidae) are among the most maligned aquatic invasive species in the USA and some other countries where they have been introduced outside of their native range in Asia and Africa. Nevertheless, snakeheads continue to be widely exploited in the live‐food trade in aquaculture and wild‐capture fisheries, are highly sought by anglers, and are also popular in the aquarium trade (Courtenay and Williams 2004). The Northern Snakehead Channa argus is the most widespread of the three channid species that are currently naturalized in the USA. This species has generated much concern and controversy, a situation that is partly fueled by sensational media coverage and B‐grade science fiction horror films, such as “Frankenfish,” “Snakehead Terror,” and “Snakehead Swamp.” Media reports of snakehead introductions are often replete with provocative terms, such as “vicious,” “villain,” “voracious,” “monster,” “diabolical,” and even “ecological Armageddon.” When snakeheads first appeared in natural waters of the USA, fisheries professionals became increasingly interested in their status. Established populations rapidly expanded in the mid‐Atlantic region and Arkansas, with scattered reports of introduced snakeheads from isolated locations in Hawaii, California, North Carolina, Florida, the Upper Midwest, and New England. In 2002, snakeheads were added to the list of injurious fishes under the Lacey Act, thereby prohibiting their importation or transport across state lines without a permit. This symposium was conceived by the editors and other concerned fisheries professionals of the Mississippi River Basin Panel on Aquatic Invasive Species. The mission of the symposium, held in Alexandria, Virginia, in July 2018, was to bring together experts on snakehead biology and ecology and to synthesize existing information into summary papers. In this book, 35 authors contributed to 15 peer‐reviewed articles that detail the current state of knowledge about snakehead introductions in the USA. Additionally, 16 abstracts are included from meeting presentations that were not accompanied by full‐length manuscripts. Also included is a summary of a facilitated symposium panel discussion featuring eight experts representing state and federal natural resource agencies and private fishing organizations. The book is organized into six sections. In the first section (Distribution), three papers provide an overview of the Channa species introduced into the USA and historical accounts of occurrence and dispersal of the Northern Snakehead in the mid‐Atlantic region and Arkansas. The second section (Biology/Ecology) consists of two articles that examine growth and energetics of Northern Snakehead populations and two papers that investigate diet, diel feeding activity, and movement of this species in the Potomac River drainage. The third section (Monitoring/Response) includes a paper that models range expansion of the Northern Snakehead in the southeastern USA based on occurrence data and environmental conditions. Also included in this section is a paper summarizing an environmental DNA study to assess the status and range of the Bullseye Snakehead C. marulius in southern Florida. The fourth section (Management/Control) is comprised of four papers that address harvest, age and growth, and development of a stock–recruitment model to inform management decisions regarding control and mitigation for Northern Snakehead populations in the greater Chesapeake Bay area. The fifth section (Perspectives) includes a paper on the history of snakehead introductions in Japan and a thought‐provoking social commentary on the human dimensions of Northern Snakehead management. Abstracts in the final section provide brief summaries of a diversity of snakehead studies, including aspects of distribution, ecology, behavior, control and monitoring efforts, public outreach, and pathology. The summary of the panel discussion is an engaging dialogue about the challenges of snakehead management in the context of conflicts regarding snakeheads as injurious versus their value as game and food species. Most of this book is focused on the Northern Snakehead. Much has been done to document snakehead distributions and certain aspects of snakehead biology, such as diets, age, and growth. Less research has been devoted to understanding the ecological impacts of snakeheads to native aquatic communities and ecosystems. This book would have benefited from a chapter summarizing the current systematics and diversity of the Channidae to inform fisheries biologists about the morphological characteristics of the family, approximate numbers of genera and species, and taxonomic instability. Exemplifying the latter, recent molecular and morphological evidence indicates uncertainty regarding identification of the feral snakehead population in Florida (Adamson and Britz 2019). Those authors suggest that this population may have originated from western Thailand, a possibility that could have implications for understanding historical pathways of snakehead introductions into the USA. In comparison with many published AFS symposia, this volume is relatively narrow in scope and lacks cohesive integration. It will primarily be of interest to those fisheries professionals engaged in the study of snakeheads as well as other nonnative species for which there are contrasting social values regarding their management: whether to monitor and attempt control or eradication efforts or to maintain populations for harvest as game or food species. The book should serve to identify information gaps and guide future research.

Transactions of the American Fisheries Society↗

Lithosphere-asthenosphere interaction beneath the western United States from the joint inversion of body-wave traveltimes and surface-wave phase velocities

The relation between the complex geological history of the western margin of the North American plate and the processes in the mantle is still not fully documented and understood. Several pre-USArray local seismic studies showed how the characteristics of key geological features such as the Colorado Plateau and the Yellowstone Snake River Plains are linked to their deep mantle structure. Recent body-wave models based on the deployment of the high density, large aperture USArray have provided far more details on the mantle structure while surface-wave tomography (ballistic waves and noise correlations) informs us on the shallow structure. Here we combine constraints from these two data sets to image and study the link between the geology of the western United States, the shallow structure of the Earth and the convective processes in mantle. Our multiphase DNA10-S model provides new constraints on the extent of the Archean lithosphere imaged as a large, deeply rooted fast body that encompasses the stable Great Plains and a large portion of the Northern and Central Rocky Mountains. Widespread slow anomalies are found in the lower crust and upper mantle, suggesting that low-density rocks isostatically sustain part of the high topography of the western United States. The Yellowstone anomaly is imaged as a large slow body rising from the lower mantle, intruding the overlying lithosphere and controlling locally the seismicity and the topography. The large E-W extent of the USArray used in this study allows imaging the 'slab graveyard', a sequence of Farallon fragments aligned with the currently subducting Juan de Fuca Slab, north of the Mendocino Triple Junction. The lithospheric root of the Colorado Plateau has apparently been weakened and partly removed through dripping. The distribution of the slower regions around the Colorado Plateau and other rigid blocks follows closely the trend of Cenozoic volcanic fields and ancient lithospheric sutures, suggesting that the later exert a control on the locus of magmato-tectonic activity today. The DNA velocity models are available for download and slicing at http://dna.berkeley.edu. ?? 2011 The Authors Geophysical Journal International ?? 2011 RAS.

Geophysical Journal International↗

The first 50 years of the North American Breeding Bird Survey

The vision of Chandler (Chan) S. Robbins for a continental-scale omnibus survey of breeding birds led to the development of the North American Breeding Bird Survey (BBS). Chan was uniquely suited to develop the BBS. His position as a government scientist had given him experience with designing and implementing continental-scale surveys, his research background made him an effective advocate of the need for a survey to monitor pesticide effects on birds, and his prominence in the birding community gave him connections to infrastructure—a network of qualified volunteer birders who could conduct roadside surveys with standardized point counts. Having started in the eastern United States and the Atlantic provinces of Canada in 1966, the BBS now provides population change information for ∼546 species in the continental United States and Canada, and recently initiated routes in Mexico promise to greatly expand the areas and species covered by the survey. Although survey protocols have remained unchanged for 50 years, the BBS remains relevant in a changing world. Several papers that follow in this Special Section of The Condor: Ornithological Advances review how the BBS has been applied to conservation assessments, especially in combination with other large-scale survey data. A critical feature of the BBS program is an active research program into field and analytical methods to enhance the quality of the count data and to control for factors that influence detectability. Papers in the Special Section also present advances in BBS analyses that improve the utility of this expanding and sometimes controversial survey. In this Perspective, we introduce the Special Section by reviewing the history of the BBS, describing current analyses, and providing summary trend results for all species, highlighting 3 groups of conservation concern: grassland-breeding birds, aridland-breeding birds, and aerial insectivorous birds.

The Condor↗

A review of factors affecting PIT tag detection using mobile arrays and use of mobile antennas to detect PIT-tagged suckers in a wadeable Ozark stream

Advantages of passive integrated transponder (PIT) tags are their small size, longevity, and low-cost compared to other tags. PIT tags are often used in fisheries to study movement patterns, survival, or estimate population size. However, PIT tags are limited by their short detection distance. Mobile PIT antennas may increase the utility of PIT tags in fisheries. In this study, we synthesize the current detection efficiency literature on mobile PIT antennas, determine factors influencing PIT-tag detection probability and efficiency for a raft-mounted mobile antenna, and summarize techniques used to increase observations of PIT-tagged fishes with raft-mounted mobile antennas in a wadable stream. Our literature review indicated tag size and orientation were the most-important factors affecting detection probabilities; however, our antenna was primarily influenced by water depth of the tag and distance from the antenna. Detection efficiency was influenced by discharge, turbidity, and sample date. Tracking methods that include targeting key habitats (e.g., rootwads) and using natural features to congregated tagged fishes (e.g., riffles or pinch points) may increase detection efficiency in wadable streams. This is the first formal review of factors affecting mobile PIT antenna detection efficiency. The published literature, combined with our study results, indicate several factors need to be considered prior to mobile PIT antenna tracking.

Arkansas, Oklahomas↗

Status of the Topeka shiner in Iowa

The Topeka shiner Notropis topeka is native to Iowa, Kansas, Minnesota, Missouri, Nebraska, and South Dakota and has been federally listed as endangered since 1998. Our goals were to determine the present distribution and qualitative status of Topeka shiners throughout its current range in Iowa and characterize the extent of decline in relation to its historic distribution. We compared the current (2016–2017) distribution to distributions portrayed in three earlier time periods. In 2016–2017 Topeka shiners were found in 12 of 20 HUC10 watersheds where they occurred historically. Their status was classified as stable in 21% of the HUC10 watersheds, possibly stable in 25%, possibly recovering in 8%, at risk in 33%, and possibly extirpated in 13% of the watersheds. The increasing trend in percent decline evident in earlier time periods reversed, going from 68% in 2010–11 to 40% in the most recent surveys. Following decades of decline, the status of Topeka shiners in Iowa appears to be improving. One potential reason for the reversal in the distributional decline of Topeka shiners in Iowa is the increasing number of oxbow restorations. Until a standardized monitoring program is established for Iowa, periodic status assessments such as this will be necessary to chronicle progress toward conserving this endangered fish species.

Iowa↗

Demographic monitoring and population viability analysis of two rare beardtongues from the Uinta Basin

Energy development, in combination with other environmental stressors, poses a persistent threat to rare species endemic to energy-producing regions of the western United States. Demographic analyses of monitored populations can provide key information on the natural dynamics of threatened plant and animal populations and how these dynamics might be affected by present and future development. In the Uinta Basin in Utah and Colorado, Graham's beardtongue ( Penstemon grahamii ) and White River beardtongue ( Penstemon scariosus var. albifluvis ) are 2 rare endemic wildflowers that persist on oil shale habitats that are heavily impacted by current energy exploration and development and are slated for expanded traditional drilling and oil shale development. We described demographic characteristics and population viability for 2 populations of each species that have been monitored since 2004. First, we measured population size, survival rates, transitions between life stages, and recruitment by using individually marked plants at the 4 study areas. We then used matrix population models to determine stochastic population growth rates (λ) and the probability that each population would persist 50 years into the future, given current conditions. The 2 P. grahamii study plots had small populations, averaging 70 adult plants, and relatively constant and high survival in both vegetative and flowering plants. The 2 P. scariosus var. albifluvis study plots had populations that averaged 120 adult plants, with high and stable survival in flowering plants and variable survival in vegetative plants. Recruitment of new seedlings into all populations was low and variable, with most recruitment occurring in one or 2 years. Both P. grahamii populations had λ near 1.0 (stable). One P. scariosus var. albifluvis population appeared to be declining (λ = 0.97), whereas the other was increasing (λ = 1.16). Our analyses reveal populations that appear relatively stable, but that are susceptible to declines now and into the future. Increases in environmental variability, deterministic changes in habitat conditions or stressors, or a single catastrophic event could all have immediately deleterious impacts on the long-term growth trajectory of these populations.

Utah↗

Lead exposure in waterfowl before contoxic shot requirements: A nationwide study, 1983−1986

Before implementing nontoxic shot requirements for hunting waterfowl and American coots Fulica americana in the United States in 1991, the U.S. Fish and Wildlife Service monitored lead poisoning in waterfowl on federal and state wildlife hunting areas during 1983-1986. Federal and state collaborators collected gizzards and livers from 9,029 hunter-killed waterfowl (10 species of dabbling ducks Anatinae , 9 diving ducks Aythyinae , 5 geese Anserinae , and tundra swans Cygnus columbianus ) across the four flyways. At the U.S. Fish and Wildlife Service National Wildlife Health Center, Madison, Wisconsin, waterfowl gizzards were examined for ingested lead and nontoxic shot and livers were analyzed for lead concentrations. Diving ducks had the greatest frequency (8.7%) of one or more ingested lead shot, followed by dabbling ducks (5.5%) and geese (1.3%). No ingested shot were found in tundra swans. The frequency of elevated (≥ 2.0 mg/kg wet weight) liver lead concentrations was also greatest in diving ducks, followed by dabbling ducks and geese. Within each species group, the frequency of elevated liver lead concentrations was greater than ingested lead shot, an indication that lead shot ingestion alone underrepresents lead exposure. Thus, lead in the liver may remain elevated after the erosion and excretion of lead pellets from the gizzard. Our results provide historical baseline data and summarize a nationwide study of lead exposure, using both ingested lead shot and liver lead concentrations, in waterfowl in the United States before the implementation of nontoxic shot regulations in 1991. These data can be compared with previous studies of lead exposure in waterfowl, as well as current and future assessments to evaluate the success of nontoxic shot regulations nationwide and specifically within previously sampled waterfowl management areas.

Journal of Fish and Wildlife Management↗

Southern Rockies Landscape Conservation Cooperative unit watershed erosion potential prioritization for check-dam installation

Changes in land-use practices and the extirpation (local extinction) of beaver populations in the early 20th century during European settlement are believed to have resulted in many changes in how streams in the Western United States function. Some of the negative changes that have resulted include stream channelization, soil erosion, changing vegetation, water turbidity, and a loss of overland flow. Efforts to restore streams and reduce soil erosion by water have included reintroductions of beaver, incorporating Native American traditional knowledge of dry-land farming techniques, and the installation of rigid check-dams. Many of these efforts have been successful in improving both intermittent and perennial stream function. Therefore, stakeholders in the Southern Rockies Landscape Conservation Cooperative (SRLCC) have identified a need to prioritize streams within their region of interest for the installation of check-dams to continue restoration and conservation efforts and to improve sediment catchment. Using Natural Resource Conservation Service soil databases, topographic features derived from digital elevation models, stream networks, and regional climatic patterns, I developed a ranking system for watershed potential erosion rates and suitability for check-dam placement across the SRLCC. This ranking system serves as a first step for land managers to prioritize areas for check-dam installation based on relatively static factors (soil properties, topography, and hydrology) that can contribute to rates of soil erosion by water and the stability of check-dams. Many other relatively dynamic factors over time can contribute to rates of soil erosion by water, such as recent wildfire events, changes in weather patterns and extreme climate events, and changing land-use such as grazing, logging, mining, development, and cultivation. These factors that influence vegetative and biological soil crusts cover are also important elements to the potential erosion of soil by water. Because of this, SRLCC stakeholders might consider further evaluation of the watersheds identified here as high ranking. Final watershed prioritization among the high-ranking watersheds identified here should include current knowledge of land-use and land-cover estimates to identify areas at risk for soil erosion or degree of existing erosion problems.

Open-File Report↗

White-Nose Syndrome Diagnostic Laboratory Network handbook

When responding to a wildlife disease outbreak, managers depend on consistent and clear data to make decisions. However, diagnostic methods for detecting pathogens of wildlife often lack the level of procedural and interpretational standardization that occurs in the investigation of human and domestic animal diseases. This lack of standardization can hamper diagnostic reliability in two ways. First is the inappropriate application of tests to new species or in situations that are outside of the original (in other words, validated) purpose. Second is the use of laboratory-specific modifications or analytical parameters without thorough investigation of how those changes affect result comparisons across institutions or the ability to make broader conclusions about pathogen or disease. White-nose syndrome (WNS) is a disease caused by the fungal pathogen Pseudogymnoascus destructans ( Pd ), which has spread rapidly and is causing population-level declines in some species of North American bats. During the last decade, quantitative polymerase chain reaction (qPCR) has become the most common method of testing for Pd because of qPCR’s speed, accuracy, and simplicity across a wide range of invasive and noninvasive sample types. Its widespread use by many State, Federal, Provincial, and academic institutions has inevitably led to variations in methodology and interpretation among laboratories. The progressive geographic spread of fungus and disease has also led to sampling contexts and strategies that differ from those for which the qPCR assay was originally developed and validated. These factors have resulted in inconsistencies among results tested in different laboratories and, subsequently, confusion for managers and decision makers. To address these challenges, the WNS National Response Team Diagnostic Working Group launched a project congruent with increased calls for the harmonization of wildlife disease diagnostic results, and reporting standards across disparate methodologies and laboratories. Beginning in 2019, interlaboratory testing was done to better understand how variations to Pd qPCR methodology affect diagnostic consistency and to reassess the assay’s fit for purpose in new testing contexts. This information led to expanded conversations within the Diagnostic Working Group related to best practices in Pd qPCR diagnostic testing, the development of common interpretation language for classifying test results, and the incorporation of that language into an updated WNS case definition. This handbook is the resulting product and is intended to help further harmonize Pd qPCR diagnostic testing by establishing recommendations related to voluntary participation in a WNS Diagnostic Laboratory Network, documenting the currently (2022) practiced Pd qPCR methodologies, discussing general best practices for molecular diagnostics and laboratory networks, and elaborating on the epidemiologic and diagnostic basis of the agreed-upon classification language for Pd qPCR results. Through this voluntary, consensus-based approach to diagnostic harmonization, this work aims to improve the confidence of management agencies in reported Pd qPCR results and can serve as an example of national diagnostic coordination for other unregulated wildlife diseases.

Techniques and Methods↗

The effects of management practices on grassland birds — An introduction to North American grasslands and the practices used to manage grasslands and grassland birds

The Great Plains of North America is defined as the land mass that encompasses the entire central portion of the North American continent that, at the time of European settlement, was an unbroken expanse of primarily herbaceous vegetation. The Great Plains extend from central Saskatchewan and Alberta to central Mexico and from Indiana to the Rocky Mountains. The expanses of herbaceous vegetation are often referred to as native prairie or native grasslands. Native grasslands share the characteristics of a general uniformity in vegetation structure, dominance by grasses and forbs, a near absence of trees and shrubs, annual precipitation ranging from 25 to 100 centimeters, extreme intra-annual fluctuations in temperature and precipitation, and a flat to rolling topography over which fires can spread. To the west of the Great Plains lie the sagebrush communities of the Great Basin, which extend from British Columbia and Saskatchewan to northern Arizona and New Mexico and from the eastern slopes of the Sierra Nevada and Cascade mountain ranges to western South Dakota. Sagebrush communities share similar characteristics to native grasslands, but their location east of the Rocky Mountains creates a more moderating influence from prevailing westerly winds that affect timing of peak precipitation and growth form of dominant vegetation. Native grasslands and sagebrush communities harbor a diverse array of grassland, wetland, and woodland plant and animal communities that are uniquely adapted to the natural forces of the Great Plains and Great Basin, namely the interactive forces of climate, fire, and grazing. The arrival of European settlers to North America brought profound change to native grassland and sagebrush communities, including the establishment of permanent towns and cities, the proliferation of cropland-based agricultural systems, and the suppression of wildfires. The near extirpation of bison by the 1860s paved the way for dramatic changes in the dominant grazers and a shift in the disturbance patterns that historically influenced vegetation structure. The greatest threat to native grasslands and sagebrush communities in modern times is their loss due to conversion to rowcrop agriculture and to urbanization. Concomitant with habitat loss is a precipitous decline in populations of bird species that evolved with, and are uniquely adapted to, the native grassland and sagebrush habitats. Avian population trends are linked strongly to agricultural land use. Besides outright loss of suitable breeding habitat, agricultural practices affect birds through factors such as pesticide exposure, habitat fragmentation, shifts in predator community composition, and occurrence of brood parasites. Bird populations face other stressors, such as loss of habitat to and behavioral avoidance of urbanized areas, roads, and infrastructure associated with energy production. Despite the many anthropogenic changes to North American grassland and sagebrush communities, some bird species are adaptable and opportunistic in their habitat selection and now utilize one or more human-created habitats. Human-created habitats include pastures, hayfields, agricultural terraces, crop buffer strips, field borders, grassed waterways, fencerows, road rights-of-way, airports, reclaimed coal mines, and planted wildlife cover. Fields of seeded grasslands enrolled in Federal long-term set-aside programs, such as the Conservation Reserve Program in the United States and the Permanent Cover Program in Canada, provide important nesting habitat for grassland bird species. The array of habitats used by birds makes habitat and avian management a complex undertaking, and the scale (for example, local, regional, international) at which management actions can be implemented are such that a universal approach to managing grasslands for the conservation of the entire suite of bird species does not exist. Experienced land managers recognize that it is impossible to manage for all bird species simultaneously, and thus, prioritization is necessary towards those habitats or bird species that the manager or management agency ranks highest for a specific region or management unit. The primary tools available for management are burning, grazing, mowing, herbicide application, and idling, but before choosing a particular practice, a manager will want to consider issues of seasonality, intensity, and frequency. Despite the thousands of studies that are cited in this compendium, much remains unknown about the effects of management practices on bird species. The series of species accounts in this compendium review the current state of knowledge regarding management of grassland and sagebrush bird species and summarize information on the effects of management practices on individual species. The accounts do not give definitive statements on the effects of management practices for any particular species, primarily because there are very few replicated studies in which identical management practices have been applied in the same geographical area with consistent results, which are elements necessary to provide concrete recommendations for the management of a particular species in a particular area. Documentation of the effects of management treatments on individual species through statistically sound methods that incorporate multiple years and locations will further scientists’ and land managers’ knowledge far more than 1–2-year studies that are limited in scope as well as time, but studies of that scope and breadth are rare.

Professional Paper↗

Arctic and boreal ecosystems of western North America as components of the climate system

Synthesis of results from several Arctic and boreal research programmes provides evidence for the strong role of high-latitude ecosystems in the climate system. Average surface air temperature has increased 0.3??C per decade during the twentieth century in the western North American Arctic and boreal forest zones. Precipitation has also increased, but changes in soil moisture are uncertain. Disturbance rates have increased in the boreal forest; for example, there has been a doubling of the area burned in North America in the past 20 years. The disturbance regime in tundra may not have changed. Tundra has a 3-6-fold higher winter albedo than boreal forest, but summer albedo and energy partitioning differ more strongly among ecosystems within either tundra or boreal forest than between these two biomes. This indicates a need to improve our understanding of vegetation dynamics within, as well as between, biomes. If regional surface warming were to continue, changes in albedo and energy absorption would likely act as a positive feedback to regional warming due to earlier melting of snow and, over the long term, the northward movement of treeline. Surface drying and a change in dominance from mosses to vascular plants would also enhance sensible heat flux and regional warming in tundra. In the boreal forest of western North America, deciduous forests have twice the albedo of conifer forests in both winter and summer, 50-80% higher evapotranspiration, and therefore only 30-50% of the sensible heat flux of conifers in summer. Therefore, a warming-induced increase in fire frequency that increased the proportion of deciduous forests in the landscape, would act as a negative feedback to regional warming. Changes in thermokarst and the aerial extent of wetlands, lakes, and ponds would alter high-latitude methane flux. There is currently a wide discrepancy among estimates of the size and direction of CO2 flux between high-latitude ecosystems and the atmosphere. These discrepancies relate more strongly to the approach and assumptions for extrapolation than to inconsistencies in the underlying data. Inverse modelling from atmospheric CO2 concentrations suggests that high latitudes are neutral or net sinks for atmospheric CO2, whereas field measurements suggest that high latitudes are neutral or a net CO2 source. Both approaches rely on assumptions that are difficult to verify. The most parsimonious explanation of the available data is that drying in tundra and disturbance in boreal forest enhance CO2 efflux. Nevertheless, many areas of both tundra and boreal forests remain net sinks due to regional variation in climate and local variation in topographically determined soil moisture. Improved understanding of the role of high-latitude ecosystems in the climate system requires a concerted research effort that focuses on geographical variation in the processes controlling land-atmosphere exchange, species composition, and ecosystem structure. Future studies must be conducted over a long enough time-period to detect and quantify ecosystem feedbacks.

Global Change Biology↗

Millennial precipitation reconstruction for the Jemez Mountains, New Mexico, reveals changing drought signal

Drought is a recurring phenomenon in the American Southwest. Since the frequency and severity of hydrologic droughts and other hydroclimatic events are of critical importance to the ecology and rapidly growing human population of this region, knowledge of long-term natural hydroclimatic variability is valuable for resource managers and policy-makers. An October–June precipitation reconstruction for the period AD 824–2007 was developed from multi-century tree-ring records of Pseudotsuga menziesii (Douglas-fir), Pinus strobiformis (Southwestern white pine) and Pinus ponderosa (Ponderosa pine) for the Jemez Mountains in Northern New Mexico. Calibration and verification statistics for the period 1896–2007 show a high level of skill, and account for a significant portion of the observed variance (>50%) irrespective of which period is used to develop or verify the regression model. Split-sample validation supports our use of a reconstruction model based on the full period of reliable observational data (1896–2007). A recent segment of the reconstruction (2000–2006) emerges as the driest 7-year period sensed by the trees in the entire record. That this period was only moderately dry in precipitation anomaly likely indicates accentuated stress from other factors, such as warmer temperatures. Correlation field maps of actual and reconstructed October–June total precipitation, sea surface temperatures and 500-mb geopotential heights show characteristics that are similar to those indicative of El Niño–Southern Oscillation patterns, particularly with regard to ocean and atmospheric conditions in the equatorial and north Pacific. Our 1184-year reconstruction of hydroclimatic variability provides long-term perspective on current and 20th century wet and dry events in Northern New Mexico, is useful to guide expectations of future variability, aids sustainable water management, provides scenarios for drought planning and as inputs for hydrologic models under a broader range of conditions than those provided by historical climate records.

New Mexico↗

Comparison of a prepositioned areal electrofishing device and fixed underwater videography for sampling riverine fishes

Prepositioned areal electrofishing devices (PAEDs) are used to evaluate microhabitat use by fishes because they minimize fright biases associated with traditional electrofishing techniques (e.g., boat electrofishing). Similarly, fixed underwater videography (FUV) is commonly used to minimize the effect of observers on fish behavior. The specific objectives of this research were to evaluate estimates of taxonomic occurrence and diversity between PAEDs and FUV and determine an appropriate time interval between positioning and electrifying of a PAED to reduce effects of PAED positioning on fish occurrence. Video cameras were positioned instream at 28 locations on the Kootenai River, Idaho, prior to PAED deployment such that the entire immobilization zone of the PAED was captured on camera. Following a 4-min acclimation period, cameras recorded fish behavior approximately 15 min prior to and 20 min following PAED deployment. Electrical current was applied to the PAEDs for 20 s immediately following the FUV procedure, and immobilized fishes were collected and processed. Video footage was subsampled in the laboratory, and fishes in the video were identified and enumerated in 5-s or 20-s intervals. Fixed underwater videography sampled more taxa than PAEDs at any given site. However, fishes sampled with FUV were difficult to identify, and most individuals were classified as “unidentifiable.” Consequently, direct comparisons between FUV and PAEDs are limited. Our results indicate that PAEDs should remain undisturbed for a minimum of 12 min before the equipment is electrified. Both PAEDs and FUV provide an estimate of taxonomic occurrence, but logistical and financial constraints along with project objectives must be considered when selecting between these 2 gear types. Results from this study provide information on the effectiveness of each gear type as it relates to the characterization of riverine fish assemblages at a small spatial scale.

Western North American Naturalist↗

Taxonomic and compositional differences of ground-dwelling arthropods in riparian habitats in Glen Canyon, Arizona, USA

The disturbance history, plant species composition, productivity, and structural complexity of a site can exert bottom-up controls on arthropod diversity, abundance, and trophic structure. Regulation alters the hydrology and disturbance regimes of rivers and affects riparian habitats by changing plant quality parameters. Fifty years of regulation along the Colorado River downstream of Glen Canyon Dam has created a no-analog, postdam “lower” riparian zone close to the water's edge that includes tamarisk ( Tamarix sp.), a nonnative riparian shrub. At the same time, the predam “upper” facultative riparian zone has persisted several meters above the current flood stage. In summer 2009, we used pitfall traps within these 2 riparian zones that differ in plant composition, productivity, and disturbance frequency to test for differences in arthropod community (Hymenoptera, Arachnida, and Coleoptera) structure. Arthropod community structure differed substantially between the 2 zones. Arthropod abundance and species richness was highest in the predam upper riparian zone, even though there was a greater amount of standing plant biomass in the postdam lower riparian zone. Omnivore abundance was proportionately greater in the upper riparian zone and was associated with lower estimated productivity values. Predators and detritivores were proportionately greater in the postdam lower riparian zone. In this case, river regulation may create habitats that support species of spiders and carabid beetles, but few other species that are exclusive to this zone. The combined richness found in both zones suggests a small increase in total richness and functional diversity for the Glen Canyon reach of the Colorado River.

Arizona↗

Regeneration and expansion of Quercus tomentella (island oak) groves on Santa Rosa Island

Quercus tomentella (island oak) is an endemic species that plays a key functional role in Channel Island ecosystems. Growing in groves on highland ridges, Q. tomentella captures fog and increases water inputs, stabilizes soils, and provides habitat for flora and fauna. This cloud forest system has been impacted by a long history of ranching, and restoration efforts are underway that include erosion control, leaf litter capture, fog capture, and reforestation. To inform retoration efforts, we explored tree regeneration and the potential for Q. tomentella grove expansion on Santa Rosa Island. We delineated current and historic groves at Black Mountain by comparing stand maps from 1989 and aerial photographs from 1994 and 2015. We evaluated regeneration in the outlying areas by recording the location, diameter at breast height, number of trunks, height class, percent crown mortality, nurse plant species (if present), and reproductive status for all 4355 outlying seedlings, saplings, and mature trees. We defined outliers as individuals that were 15 m outside of the canopy of island oak groves. There are 14 groves at Black Mountain, and grove size expanded by an average of 36.9% (SD 18.5%) between 1994 and 2015. Nurse plants correlated positively with outlier tree height and reduced percent crown mortality. This effect is potentially due to increased fog drip from nurse plant species such as Quercus pacifica (island scrub oak), Heteromeles arbutifolia (toyon), and Baccharis pilularis (coyote brush). These results indicate that Q. tomentella is regenerating and that nurse plants can serve as catalysts for ecosystem restoration.

California↗