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At least 829 records · Page 46Linked to original sources

Hippopotamus movements structure the spatiotemporal dynamics of an active anthrax outbreak

Globally, anthrax outbreaks pose a serious threat to people, livestock, and wildlife. Furthermore, environmental change can exacerbate these outbreak dynamics by altering the host–pathogen relationship. However, little is known about how the quantitative spatial dynamics of host movement and environmental change may affect the spread of Bacillus anthracis , the causative agent of anthrax. Here, we use real-time observations and high-resolution tracking data from a population of common hippopotamus ( Hippopotamus amphibius ) in Tanzania to explore the relationship between river hydrology, H. amphibius movement, and the spatiotemporal dynamics of an active anthrax outbreak. We found that extreme river drying, a consequence of anthropogenic disturbances to our study river, indirectly facilitated the spread of B. anthracis by modulating H. amphibius movements. Our findings reveal that anthrax spread upstream in the Great Ruaha River (~3.5 km over a 9-day period), which followed the movement patterns of infected H. amphibius , who moved upstream as the river dried in search of remaining aquatic refugia. These upstream movements can result in large aggregations of H. amphibius . However, despite these aggregations, the density of H. amphibius in river pools did not influence the number of B. anthracis -induced mortalities. Moreover, infection by B. anthracis did not appear to influence H. amphibius movement behaviors, which suggests that infected individuals can vector B. anthracis over large distances right up until their death. Finally, we show that contact rates between H. amphibius- and B. anthracis- infected river pools are highly variable and the frequency and duration of contacts could potentially increase the probability of mortality. While difficult to obtain, the quantitative insights that we gathered during a real-time anthrax outbreak are critical to better understand, predict, and manage future outbreaks.

Ruaha National Park↗

Effects of Mycoplasma ovipneumoniae, abundance, and environmental conditions on bighorn sheep lamb:ewe ratios and adult survival in New Mexico

Mycoplasma ovipneumoniae is a primary causative agent responsible for initiating polymicrobial pneumonia in bighorn sheep ( Ovis canadensis ). Infections of bighorn sheep populations are typically characterized by initial all-age epizootics followed by long-term periods of repressed juvenile (lamb) survival. Populations of bighorn sheep in New Mexico, USA, were thought to be free of this pathogen prior to 2017 but recent infection of multiple herds raised concerns regarding impacts on population size and juvenile:female ratios. Using aerial survey, survival, and disease sampling data in an exploratory framework, we (1) characterize age-related differences in M. ovipneumoniae prevalence and seroprevalence, (2) quantify differences in lamb:ewe ratios pre- and post- M. ovipneumoniae detection, and (3) investigate differences in survival between previously exposed and naïve individuals. From 2007 to 2022, we sampled 466 bighorn sheep across 19 populations in New Mexico for M. ovipneumoniae exposure. While the timing of initial herd infections varied across populations, one population sustained active infections for over 15 years. We found reduced juvenile:female ratios post M. ovipneumoniae exposure for both desert ( O. c. mexicana ) and Rocky Mountain ( O. c. canadensis ) bighorn sheep populations. Post-exposure ratio declines ranged from 20% to 69%. Evaluation of population size and environmental condition effects on juvenile:female ratios indicated varying impacts for each subspecies. Notably, population size was negatively related to Rocky Mountain juvenile:female ratios only after populations were exposed to M. ovipneumoniae . Additionally, climatic conditions in the previous lambing season and pre-parturition time frame were associated with juvenile:female ratios for Rocky Mountain populations, while juvenile:female ratios of desert bighorn appeared to only be affected by pre-parturition climatic conditions. Kaplan–Meier survival estimation of previously exposed, but putatively recovered, individuals ( n = 31) and naïve individuals ( n = 70) revealed lower (75%; 95% CI: 62%–93%) but not statistically significant ( p = 0.2) 1-year survival rates for individuals that were seropositive but not actively infected, when compared to seronegative individuals (88%; 95% CI: 81%–97%). These results collectively suggest that following M. ovipneumoniae introduction, bighorn sheep populations in New Mexico could be limited by lamb survival.

New Mexico↗

Unintended indirect effects limit elk productivity from supplemental feeding in the Greater Yellowstone Ecosystem

The widespread practice of supplemental feeding, a bottom-up forcing of resource availability, is intended to improve wildlife population health and survival. However, supplemental feeding could trigger indirect effects by altering predation rates and disease dynamics. We investigated the effects of feeding on three key elk ( Cervus canadensis ) population productivity metrics (calf:cow ratios, annual change in elk density, and harvestable surplus) across 13 regions in the Greater Yellowstone Ecosystem (GYE) over 26 years. Incorporating previous population size, climate, predator, and harvest data in a Bayesian regression framework revealed new insights about elk productivity metrics in the GYE. Supplemental feeding was associated with increased calf:cow ratios (4.9%) but was not substantially related to changes in elk density and harvestable surplus, which are both management targets. Notably, the feeding effect on calf:cow ratios appeared to be offset by increased wolf ( Canis lupus ) and grizzly bear ( Ursus arctos horribilis ) predation. We hypothesize that increased elk productivity resulting from supplemental feeding is primarily transferred to predator and pathogen trophic levels in this system with limited observed effects on elk abundance and harvestable surplus. Anthropogenic food resources may have unintended indirect consequences on other trophic levels that potentially limit the direct impacts of feeding.

Idaho, Montana, Wyoming↗

Using decision analysis to support proactive management of emerging infectious wildlife diseases

Despite calls for improved responses to emerging infectious diseases in wildlife, management is seldom considered until a disease has been detected in affected populations. Reactive approaches may limit the potential for control and increase total response costs. An alternative, proactive management framework can identify immediate actions that reduce future impacts even before a disease is detected, and plan subsequent actions that are conditional on disease emergence. We identify four main obstacles to developing proactive management strategies for the newly discovered salamander pathogen Batrachochytrium salamandrivorans ( Bsal ). Given that uncertainty is a hallmark of wildlife disease management and that associated decisions are often complicated by multiple competing objectives, we advocate using decision analysis to create and evaluate trade-offs between proactive (pre-emergence) and reactive (post-emergence) management options. Policy makers and natural resource agency personnel can apply principles from decision analysis to improve strategies for countering emerging infectious diseases.

Frontiers in Ecology and the Environment↗

Successful molecular detection studies require clear communication among diverse research partners

Molecular detection techniques are powerful tools used in ecological applications ranging from diet analyses to pathogen surveillance. Research partnerships that use these tools often involve collaboration among professionals with expertise in field biology, laboratory techniques, quantitative modeling, wildlife disease, and natural resource management. However, in many cases, each of these collaborators lacks specific knowledge about the approaches, decisions, methods, and terminology used by their research partners, which can impede effective communication and act as a barrier to the efficient use of molecular data for ecological inferences and subsequent conservation decision making. We outline a collaborative framework to assist colleagues with diverse types of expertise to effectively translate their scientific and management needs to research partners from other specialties. The molecular techniques used to detect organisms will continue to advance both in sophistication and in the breadth of ecological applications. Our objective is to enable ecologists to harness the full utility of these methods by developing effective collaborative partnerships.

Frontiers in Ecology and the Environment↗

Integrating climate change, biological invasions, and infectious wildlife diseases

Climate change is likely to affect infectious diseases that are facilitated by biological invasions, with repercussions for wildlife conservation and zoonotic risks. Current invasion management and policy are underprepared for the future risks associated with such invasion-related wildlife diseases. By considering evidence from bioclimatology, invasion biology, and disease research, we illustrate how climate change is anticipated to affect disease agents (parasites and pathogens), hosts, and vectors across the different stages of invasions. We highlight the opportunity to integrate these disciplines to identify the effects of climate change on invasion related wildlife diseases. In addition, shifting to a proactive stance in implementing management and policy, such as by incorporating climate-change effects either into preventative and mitigation measures for biosecurity or with rapid response protocols to limit disease spread and impacts, could help to combat future ecological, economic, and human health risks stemming from invasion-related wildlife diseases.

Frontiers in Ecology and the Environment↗

Environmental DNA as a tool for better understanding the distribution, abundance, and health of Atlantic and Pacific salmon

The development and application of approaches to detect and quantify environmental DNA (eDNA) have potential to improve our understanding of the distribution, abundance, and health of Atlantic Salmon Salmo salar and Pacific salmon Oncorhynchus spp. Here, we review 61 articles focusing on eDNA applications pertaining to salmon occupying natural habitat and aquaculture facilities in the context of advances, opportunities, and challenges. Given recent advances, eDNA now serves as a useful tool for detecting Atlantic Salmon and Pacific salmon and understanding threats to the health of fish and their habitats. Opportunities exist to apply sensitive and minimally invasive eDNA approaches to detect fish and assess fish habitat, assess range expansions of salmon and salmon pathogens, and detect invasive species that may threaten salmon health and abundance. Near real-time eDNA detection and quantification approaches to inform fisheries management may be on the horizon. Challenges limiting the widespread application of eDNA approaches for informing salmon management include accounting for the many factors affecting detection and quantification of eDNA, limits of data for deriving inference, and expense. Through continued development and refinement, eDNA approaches are anticipated to become increasingly available to, and utilized by, managers of Atlantic Salmon and Pacific salmon fisheries.

Fisheries Magazine↗

Behavioral connectivity among bighorn sheep suggests potential for disease spread

Connectivity is important for population persistence and can reduce the potential for inbreeding depression. Connectivity between populations can also facilitate disease transmission; respiratory diseases are one of the most important factors affecting populations of bighorn sheep ( Ovis canadensis ). The mechanisms of connectivity in populations of bighorn sheep likely have implications for spread of disease, but the behaviors leading to connectivity between bighorn sheep groups are not well understood. From 2007–2012, we radio-collared and monitored 56 bighorn sheep in the Salmon River canyon in central Idaho. We used cluster analysis to define social groups of bighorn sheep and then estimated connectivity between these groups using a multi-state mark-recapture model. Social groups of bighorn sheep were spatially segregated and linearly distributed along the Salmon River canyon. Monthly probabilities of movement between adjacent male and female groups ranged from 0.08 (±0.004 SE) to 0.76 (±0.068) for males and 0.05 (±0.132) to 0.24 (±0.034) for females. Movements of males were extensive and probabilities of movement were considerably higher during the rut. Probabilities of movement for females were typically smaller than those of males and did not change seasonally. Whereas adjacent groups of bighorn sheep along the Salmon River canyon were well connected, connectivity between groups north and south of the Salmon River was limited. The novel application of a multi-state model to a population of bighorn sheep allowed us to estimate the probability of movement between adjacent social groups and approximate the level of connectivity across the population. Our results suggest high movement rates of males during the rut are the most likely to result in transmission of pathogens among both male and female groups. Potential for disease spread among female groups was smaller but non-trivial. Land managers can plan grazing of domestic sheep for spring and summer months when males are relatively inactive. Removal or quarantine of social groups may reduce probability of disease transmission in populations of bighorn sheep consisting of linearly distributed social groups.

Journal of Wildlife Management↗

Waif gopher tortoise survival and site fidelity following translocation

Gopher tortoises ( Gopherus polyphemus ) are among the most commonly translocated reptiles. Waif tortoises are animals frequently of unknown origin that have been displaced from the wild and often held in human possession for various reasons and durations. Although there are risks associated with any translocation, waif tortoises are generally excluded from translocation projects because of heightened concerns of introducing pathogens and uncertainty about the post-release survival of these individuals. If these risks could be managed, waif tortoises could have conservation value because they can provide the needed numbers to stabilize populations. In the early 1990s, the discovery of an isolated population of gopher tortoises (≤15 individuals) near Aiken, South Carolina, USA, prioritized establishment of the Aiken Gopher Tortoise Heritage Preserve (AGTHP). Because of the population's need for augmentation and the site's isolation from other tortoise populations, the AGTHP provided the opportunity to evaluate the post-release survival of translocated waif tortoises without compromising a viable population. Since 2006, >260 waif tortoises have been introduced to the preserve. Using a Cormack-Jolly-Seber modeling framework to analyze release records and capture histories from trapping efforts in 2017 and 2018, we estimated the long-term apparent survival and site fidelity of this population composed largely of waif tortoises. We estimated annual apparent survival probabilities to be high (≥0.90) for subadult, adult male, and adult female tortoises, and these rates were similar to those reported for wild-to-wild translocated gopher tortoises and those from unmanipulated populations. Of the tortoises recaptured within the boundaries of the preserve, 75% were located within 400 m of their release location. These results suggest that waif tortoises could be an important resource in reducing the extirpation risk of isolated populations. © 2021 The Wildlife Society.

South Carolina↗

Disease and secondary sexual traits: Effects of pneumonia on horn size of bighorn sheep

Secondary sexual traits (e.g., horns and antlers) have ecological and evolutionary importance and are of management interest for game species. Yet, how these traits respond to emerging threats like infectious disease remains underexplored. Infectious pneumonia threatens bighorn sheep ( Ovis canadensis ) populations across North America and we hypothesized it may also reduce horn growth in male sheep. We assess the effect of pneumonia on horn size in male bighorn sheep using 12 herd datasets from across the western United States that had horn growth and disease data. Disease resulted in 12–35% reduction in increment (yearly) length and 3–13% reduction in total horn length in exposed individuals. The disease effect was prolonged when pathogens continued to circulate in sheep populations. Further, disease likely delays the age at which horns reach ¾-curl and prevents achievement of full-curl. This is further evidenced with 6 of the 12 herds experiencing an increase in average age at harvest following die-off events.

Colorado, Idaho, Montana, Utah, Washington, Wyomin↗

Sampling for disease surveillance: Assessing effects on blue-winged teal survival and recovery

Outbreaks of highly pathogenic avian influenza virus in wild animals highlight the need for disease surveillance in wild birds to improve our understanding of their role as reservoirs and dispersers, and potential threats to domestic poultry and wild bird populations. Surveillance for avian influenza varies in its approach, objectives, and coordination with other monitoring efforts. For waterfowl, a common host to avian influenza viruses, banding represents a concerted effort of capturing and marking thousands of individuals annually to estimate survival and harvest rates, but users of these data have generally taken a conservative approach to remove any banded birds from analyses that had a sample taken for disease surveillance during capture. We tested for differences in survival and encounter probabilities of blue-winged teal ( Spatula discors ) marked ( n = 21,702 teal) and sampled for disease surveillance ( n = 4,216) during the nonbreeding season in Louisiana, USA, from 2016 to 2023. Although we found no consistent effect of collecting biological samples on survival probability, including an additional test showing no detectable effects of sampling for disease surveillance with oropharyngeal and cloacal swabs versus sampling with swabs and a syringe-drawn blood sample, wide 95% credible intervals on the posterior survival estimates (mean 0.36 difference between upper and lower values across all year-sex-sampling groups; 0.44 for sampling type groups) indicated low statistical power to detect an effect. Seber recovery probability during the first interval following sampling was lower among birds sampled using swabs only, but we assume this stems from low sample sizes rather than an effect of collecting biological samples. Because recovery probabilities can vary as a function of individual covariates, we also examined direct recovery probabilities and observed no meaningful effect of disease surveillance sampling type but strong effects of capture date, suggesting the effect on Seber recovery probability may have been due to heterogeneity in exposure to natural and harvest mortality risks. Although we suggest that aligning disease surveillance sample collection efforts with landscape-scale waterfowl banding efforts may have little effect on observed demographic rates, additional studies with larger sample sizes are likely needed to provide the statistical power necessary to formally conclude no effect of biological sampling on survival probabilities.

Louisiana↗

Bait trapping of waterfowl increases the environmental contamination of avian influenza virus (AIV)

Highly pathogenic avian influenza virus (HPAIV) H5Nx clade 2.3.4.4b has circulated in North America since late 2021, resulting in higher rates of morbidity and mortality in wild birds than observed in this region before. The objective of this study was to determine whether baiting, which is widely conducted in Canada and the United States as part of waterfowl management practices (e.g., duck banding), influences the occurrence of avian influenza virus (AIV) in wetlands. We used a quasi-experimental design, collecting superficial sediment samples ( n = 336) and fecal samples ( n = 242) from paired baited (treatment) and non-baited (control) sites at 2 wetlands in Saskatchewan, Canada, between August and September 2022. We visited sampling sites 3 times during the sampling period: prior to the commencement of baiting activities ( t0 ), approximately 14 days after t0 ( t1 ), and 24 days after t0 ( t2 ). We screened samples for AIV using real-time reverse-transcriptase polymerase chain reaction (rRT-PCR) targeting the matrix gene and subjected the PCR-positive samples to next-generation sequencing. We used a mixed-effects logistic regression model to estimate the effect of baiting on the odds of AIV positivity in sediment samples, while controlling for clustering by wetland. At control sites, we did not detect evidence for a difference in the odds of AIV detection in sediment at t1 or t2 versus t0 ; however, at baited sites, the odds of AIV detection at t1 were 5.43 (95% CI = 1.99, 14.79) times the odds at t0 and at t2 the odds of AIV detection were 8.73 (95% CI = 3.29, 23.18) times the odds at t0 . We detected HPAIV clade 2.3.4.4b H5N1 in sediment at 1 treatment site following baiting. There was also a trend towards increased fecal AIV positivity and increased fecal and sediment AIV diversity in baited versus non-baited sites; however, there was insufficient power to determine if these findings were statistically significant. Overall, our results indicate that baiting is associated with localized increases in AIV environmental contamination, with baiting potentially creating concentrated areas of AIV accumulation. As such, wetland baiting activities may pose a risk to wildlife population health through the propagation of AIV in wetlands and the waterfowl using those environments and efforts to replace, refine, or reduce this activity may be warranted depending on local ecosystem contexts and cost-benefit analyses.

Saskatchewan↗

Spread of plague among black-tailed prairie dogs is associated with colony spatial characteristics

Sylvatic plague ( Yersinia pestis ) is an exotic pathogen that is highly virulent in black‐tailed prairie dogs ( Cynomys ludovicianus ) and causes widespread colony losses and individual mortality rates >95%. We investigated colony spatial characteristics that may influence inter‐colony transmission of plague at 3 prairie dog colony complexes in the Great Plains. The 4 spatial characteristics we considered include: colony size, Euclidean distance to nearest neighboring colony, colony proximity index, and distance to nearest drainage (dispersal) corridor. We used multi‐state mark–recapture models to determine the relationship between these colony characteristics and probability of plague transmission among prairie dog colonies. Annual mapping of colonies and mark–recapture analyses of disease dynamics in natural colonies led to 4 main results: 1) plague outbreaks exhibited high spatial and temporal variation, 2) the site of initiation of epizootic plague may have substantially influenced the subsequent inter‐colony spread of plague, 3) the long‐term effect of plague on individual colonies differed among sites because of how individuals and colonies were distributed, and 4) colony spatial characteristics were related to the probability of infection at all sites although the relative importance and direction of relationships varied among sites. Our findings suggest that conventional prairie dog conservation management strategies, including promoting large, highly connected colonies, may need to be altered in the presence of plague.

Colorado, Oklahoma, Texas, Kansas, New Mexico↗

Social composition of soft‐release groups is correlated with survival of translocated gopher tortoises

The social structure of translocated animal populations can have important effects on the survival and reproduction of translocated individuals for both solitary and social species. The gopher tortoise ( Gopherus polyphemus ) is a reptile of conservation concern that is currently experiencing high levels of mitigation translocation in Florida, USA. Individuals live in aggregations of burrows with frequent agonistic, courtship, and burrow-sharing interactions between residents. Given that exposure to many unfamiliar individuals may increase the frequency of aggressive interactions and social stress following translocation, we predicted that tortoises with greater numbers of familiar individuals co-translocated from the same origin site would have higher survival after translocation. To test this, we updated a recently published survival analysis of 2,822 translocated tortoises and 502 identified carcasses from a translocation site in the western Florida panhandle from 2006–2022. After controlling for simultaneous effects of soft-release enclosure identity, release season, release density, region of origin, sex, and size, adding the number of potentially familiar individuals improved model fit and showed increasing the number of familiars reduced the probability of being found dead. This effect was modulated by release density, being apparent only when density was high, suggesting a role for social interactions. This effect was also present only in the first few years after release, prior to the removal of soft-release enclosures preventing dispersal, and was similar in magnitude to previously identified effects of density, release season, and region of origin. We suggest that this effect may result from reduced aggressive interactions or social stress for tortoises with a greater number of familiar individuals in their release enclosures but cannot rule out the possibility of reduced novel pathogen exposure for individuals released with a greater number of individuals from the same source site or other factors that may be confounded with the size of translocated groups. Designing and implementing mitigation translocations to account for social composition of gopher tortoise groups could improve survival in release enclosures.

Florida↗

Modeling risk of pneumonia epizootics in bighorn sheep

Pneumonia epizootics are a major challenge for management of bighorn sheep ( Ovis canadensis ) affecting persistence of herds, satisfaction of stakeholders, and allocations of resources by management agencies. Risk factors associated with the disease are poorly understood, making pneumonia epizootics hard to predict; such epizootics are thus managed reactively rather than proactively. We developed a model for herds in Montana that identifies risk factors and addresses biological questions about risk. Using Bayesian logistic regression with repeated measures, we found that private land, weed control using domestic sheep or goats, pneumonia history, and herd density were positively associated with risk of pneumonia epizootics in 43 herds that experienced 22 epizootics out of 637 herd-years from 1979–2013. We defined an area of high risk for pathogen exposure as the area of each herd distribution plus a 14.5-km buffer from that boundary. Within this area, the odds of a pneumonia epizootic increased by >1.5 times per additional unit of private land (unit is the standardized % of private land where global  = 25.58% and SD = 14.53%). Odds were >3.3 times greater if domestic sheep or goats were used for weed control in a herd's area of high risk. If a herd or its neighbors within the area of high risk had a history of a pneumonia epizootic, odds of a subsequent pneumonia epizootic were >10 times greater. Risk greatly increased when herds were at high density, with nearly 15 times greater odds of a pneumonia epizootic compared to when herds were at low density. Odds of a pneumonia epizootic also appeared to decrease following increased spring precipitation (odds = 0.41 per unit increase, global  = 100.18% and SD = 26.97%). Risk was not associated with number of federal sheep and goat allotments, proximity to nearest herds of bighorn sheep, ratio of rams to ewes, percentage of average winter precipitation, or whether herds were of native versus mixed or reintroduced origin. We conclude that factors associated with risk of pneumonia epizootics are complex and may not always be from the most obvious sources. The ability to identify high-risk herds will help biologists and managers determine where to focus management efforts and the risk factors that most affect each herd, facilitating more effective, proactive management.

Journal of Wildlife Management↗

Estimating the phenology of elk brucellosis transmission with hierarchical models of cause-specific and baseline hazards

Understanding the seasonal timing of disease transmission can lead to more effective control strategies, but the seasonality of transmission is often unknown for pathogens transmitted directly. We inserted vaginal implant transmitters (VITs) in 575 elk ( Cervus elaphus canadensis ) from 2006 to 2014 to assess when reproductive failures (i.e., abortions or still births) occur, which is the primary transmission route of Brucella abortus , the causative agent of brucellosis in the Greater Yellowstone Ecosystem. Using a survival analysis framework, we developed a Bayesian hierarchical model that simultaneously estimated the total baseline hazard of a reproductive event as well as its 2 mutually exclusive parts (abortions or live births). Approximately, 16% (95% CI = 0.10, 0.23) of the pregnant seropositive elk had reproductive failures, whereas 2% (95% CI = 0.01, 0.04) of the seronegative elk had probable abortions. Reproductive failures could have occurred as early as 13 February and as late as 10 July, peaking from March through May. Model results suggest that less than 5% of likely abortions occurred after 6 June each year and abortions were approximately 5 times more likely in March, April, or May compared to February or June. In western Wyoming, supplemental feeding of elk begins in December and ends during the peak of elk abortions and brucellosis transmission (i.e., Mar and Apr). Years with more snow may enhance elk-to-elk transmission on supplemental feeding areas because elk are artificially aggregated for the majority of the transmission season. Elk-to-cattle transmission will depend on the transmission period relative to the end of the supplemental feeding season, elk seroprevalence, population size, and the amount of commingling. Our statistical approach allowed us to estimate the probability density function of different event types over time, which may be applicable to other cause-specific survival analyses. It is often challenging to assess the cause of death, or in this case whether the reproductive event was an abortion or live birth. Accounting for uncertainty in the event type is an important future addition to our methodological approach.

Wyoming↗

Light exposure along particle flowpaths in large rivers

Sunlight is a critical resource in aquatic systems driving photosynthesis, photodegradation of organic matter and contaminants, animal behavior, and the activity of human pathogens. In rivers, solutes, materials, and organisms are turbulently mixed across the water column during downstream transport and exposed to highly variable sunlight. However, there are no measurements of suspended particles' sunlight exposure during downstream transport to characterize this variability, and it is unclear if current measurement approaches and optical theory capture the light exposure of suspended particles. We deployed neutrally buoyant drifters and stationary buoys in the Upper Mississippi (WI, U.S.A.) and Neuse Rivers (NC, U.S.A.) to measure underwater sunlight from the perspective of suspended particles. In our study sites, underwater sunlight varied more along flowpaths measured by drifters than over time measured by fixed‐site buoys; sunlight exposure along flowpaths was dominated by bursts of light (sunflecks) that accounted for 62–99% of the cumulative sunlight exposure; and modeled sunlight exposure using optical theory was consistently 56–1700% higher than measured sunlight exposure along flowpaths. Our results suggested that suspended particles in the study reaches experienced darker conditions than predicted and have important implications for how to quantify underwater sunlight in rivers.

North Carolina, Wisconsin↗

Patterns of live baitfish use and release among recreational anglers in a regulated landscape

The release of live baitfish by anglers has been identified as a high-risk pathway for the introduction of aquatic invasive species due to the potential for invasive fish, invertebrates, or pathogens to be released simultaneously with the baitfish. Consequently, the release of live baitfish is illegal in many jurisdictions, but little is known about compliance rates or angler motivations for illegal release. To assess the incidence of live baitfish release in Minnesota, USA, a state with significant live baitfish use and substantial recreational fisheries, we administered a mail survey to a random sample of 4,000 anglers who held a 2018-2019 annual fishing license and received 671 completed responses. To mitigate potential recall bias, we also administered 345 intercept surveys at waterbody access sites around the state to ask anglers about their current day’s behaviors. A total of 481 (72%) of the mail survey respondents reported that they used live baitfish and of those, 99 (20%) reported that they release their leftover live baitfish into the water at least some of the time. Of the anglers surveyed at waterbody access sites, 59 (19%) were using live baitfish on the day they were surveyed and of those, 11 (18%) released their leftover baitfish into the water. The reasons anglers provided for releasing their baitfish included convenience and their mistaken understanding that released baitfish benefit the recipient ecosystem. The potential for invasive species introductions through baitfish releases is high given the reported rate of baitfish releases. However, there is also significant opportunity for management interventions aimed at changing perceptions and providing convenient disposal alternatives to illegal release to reduce the risk presented by this pathway.

Minnesota↗