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At least 847 records · Page 47Linked to original sources

Comparing husbandry techniques for optimal head-starting of the Mojave desert tortoise (Gopherus agassizii)

Mojave Desert Tortoise ( Gopherus agassizii ) populations continue to decline throughout their range. Head-starting—the captive rearing of offspring to a size where they are presumably more likely to survive post-release—is being explored as a potential recovery tool. Previous Desert Tortoise head-starting programs have reared neonates exclusively outdoors. Here, we explore using a combination of indoor and outdoor captive rearing to maximize post-release success and rearing efficiency. We assigned 68 neonates (2016 cohort) to one of two treatments: Outdoor HS (n = 38), where neonates were reared exclusively in outdoor predator-proof enclosures, and Combo HS (n = 30), where neonates were reared indoors for 1 y followed by outdoor rearing for 1 y. After 2 y of captive rearing, we randomly selected 24 Outdoor HS and 24 Combo HS juveniles for release in the Mojave National Preserve, CA on 25 September 2018. We compare pre-release size, body condition, and shell hardness as well as first year post-release movement and survival between the treatment groups. Pre-release body condition was not significantly different between groups. Outdoor HS tortoises, however, were significantly smaller and had significantly softer shells than Combo HS tortoises. Excluding two missing animals, released head-starts experienced 78.2% survival through their first year after release. Combo HS tortoises on average dispersed significantly shorter distances after 1 y than Outdoor HS animals. Our findings that Combo HS animals were larger and had harder shells at release, and exhibited high survival but low dispersal following release, support the implementation of combination head-starting as part of the recovery effort for the Mojave Desert Tortoise.

California↗

Disinfection protocols for herpetofaunal pathogens

The spread of disease-causing pathogens is a major threat to amphibians and reptiles worldwide (Converse and Greene 2005; Picco et al. 2007; Picco and Collins 2008; St-Amour et al. 2008; O’Hanlon et al. 2018; Scheele et al. 2019). The World Organisation for Animal Health’s global list of notifiable animal diseases includes herpetofaunal diseases caused by infection with Ranavirus spp. (RV) and two chytrid fungi, Batrachochytrium dendrobatidis (Bd) and B. salamandrivorans (Bsal; WOAH 2023). Scientists began testing the efficacy of disinfection protocols even before human-assisted transmission of these pathogens was documented (Johnson et al. 2003; Johnson and Speare 2003; Brem et al. 2007; Bryan et al. 2009), and now guidance exists to determine the appropriate biosecurity measures as personal gear moves between habitats, construction equipment moves between project areas, and investigators handle multiple animals within a population (Phillot et al. 2010; Gray et al. 2017, 2018; Julian et al. 2020; Olson et al. 2021). People who are engaged in educational, recreational, commercial, or professional activities in wetlands and aquatic habitats play an important role in helping prevent the spread of pathogens and should know how and when to employ appropriate disinfecting procedures. In particular, working groups and regional chapters of Partners in Amphibian and Reptile Conservation (PARC) have developed a variety of educational materials on biosecurity and disinfection for a wide audience (e.g., PARC 2023). Herein, we provide the instructions for the disinfection of field equipment that were recently revised by the Emerging Disease Working Group of Northeast PARC (NEPARC 2022). The impetus for revision was to inform field personnel of the use of a stronger bleach concentration (ca. 10× stronger) that is needed for effectiveness against Bsal (Van Rooij et al. 2017). This is important for regions where Bsal is currently known to occur (e.g., central Europe) as well as regions where it is presumed absent but could arrive at any time (e.g., North America)

Herpetological Review↗

Attributes of Upper Mississippi River System contiguous forest areas

Floodplain forests are important features of river systems as they create habitat for a variety of wildlife species as well as influence water quality by sequestering nutrients. The ecological conditions found within forested areas can vary greatly from place to place, contributing to spatial variability in species diversity, animal use of the floodplain, and other ecological functions. For this reason, it is important for managers and researchers to identify and map existing forest conditions for use in restoration practices or research studies. A number of forest attributes have been identified as useful in predicting the local ecological conditions found within forested areas. For example, attributes related to the size, shape and configuration of forest patches have been linked to susceptibility to invasion by exotic species, animal and plant dispersal patterns, population distributions, and species diversity (Zuidema and others, 1996; Laurance and others, 2001; Weathers and others, 2001; Lindenmayer and Franklin 2002; Harper and others, 2005; Ramaharitra 2006). In floodplain forests, patterns of inundation have been shown to influence local soil conditions as well as plant species composition and diversity (De Jager and others, 2012). Knowing the land-use history of forest areas has also been shown to be important in understanding present day ecological conditions of forested areas (Turner and others, 2004). To support floodplain forest research and management actions on the Upper Mississippi River System (UMRS), we identified contiguous forested areas (i.e., areas of forest cover that were separated from each other by other land or water cover types) in the floodplain and calculated a wide range of attributes that define basic ecosystem conditions within such forested areas. The data allows users to query on a set of attributes (e.g., size, shape, inundation characteristics, etc.) to visualize the distribution of various ecological conditions. In addition, the data allows for future data analyses of relationships among different ecological conditions and other data, such as animal and plant population distributions.

Upper Mississippi River system↗

Sea otter ( Enhydra lutris ) perspective: Part A. Sea otter population status and the process of recovery from the 1989 Exxon Valdez oil spill

Sea otter ( Enhydra lutris ) populations were severely affected by the 1989 Exxon Valdez oil spill in western Prince William Sound, AK, and had not fully recovered by 2000. Here we present results of population surveys and incorporate findings from related studies to identify current population status and factors affecting recovery. Between 1993 and 2000, the number of sea otters in the spill-area of Prince William Sound increased by about 600 to nearly 2700. However, at Knight Island, where oil exposure and sea otter mortality in 1989 approached 0.90, no increase has been observed. Sea otter reproduction was not impaired and the age and sex structure of animals captured are consistent with both intrinsic reproduction and immigration contributing to recovery. However, low resighting rates of marked animals at Knight Island compared to an unoiled reference area, and a high proportion of young animals in beach cast carcasses through 1998, suggest that the lack of recovery was caused by relatively poor survival or emigration of potential recruits. Significantly higher levels of cytochrome P4501A (CYP1A), a biomarker of hydrocarbons, were found in sea otters at Knight Island in 1996-98 compared to unoiled Montague Island, implicating oil effects in the lack of recovery at Knight Island. Delayed recovery does not appear to be directly related to food limitation. Although food availability was relatively low at both oiled and unoiled areas, we detected significant increases in sea otter abundance only at Montague Island, a finding inconsistent with food as a principal limiting factor. Persistent oil in habitats and prey provides a source of continued oil exposure and, combined with relatively low prey densities, suggests a potential interaction between oil and food. However, sea otters foraged more successfully at Knight Island and young females were in better condition than those at Montague Island. We conclude that progress toward recovery of sea otters in Prince William Sound is evident, but that in areas where initial oil effects were greatest, recovery may be constrained by residual spill effects, resulting in elevated mortality and emigration. It is evident that internal reproduction and immigration of juveniles has been the primary means of population recovery, as opposed to broad scale redistribution of adults from outside affected areas. The result is a recovery period protracted by long-term spill effects on survival and emigration and intrinsic limits to population growth.

Alaska↗

Common ravens in the southwestern United States, 1968-92

The common raven ( Corvus corax ) is a large black passerine bird found throughout the northern hemisphere including western and northern North America. Ravens are scavengers that frequently feed on road-killed animals, large dead mammals, and human refuse. They kill and eat prey including rodents, lambs (Larsen and Dietrich 1970), birds, frogs, scorpions, beetles, lizards, and snakes. They also feed on nuts, grains, fruits, and other plant matter (Knight and Call 1980; Heinrich 1989). Their recent population increase is of concern because ravens eat agricultural crops and animals whose populations may be depleted. Ravens are closely associated with human activities, frequently visiting solid-waste landfills and garbage containers at parks and food establishments, being pests of agricultural crops, and nesting on many human-made structures. In two recent surveys in the deserts of California (FaunaWest Wildlife Consultants 1989; Knight and Kawashima 1993), ravens were more numerous in areas with more human influences, and were often indicators of the degree to which humans affect an area. Annual Breeding Bird Surveys (BBS) conducted nationwide by the U.S. Fish and Wildlife Service (USFWS) indicated that raven populations in several parts of the country significantly increased during 1965-79 (Robbins et al. 1986). This increase concerns resource managers because ravens feed on agricultural crops and animal species of interest to humans. For instance, in the deserts of the southwestern United States, ravens prey on young desert tortoises ( Gopherus agassizii ; Berry 1985; Fig. 1), which in the Mojave and Colorado deserts are listed as a threatened species by the USFWS (Federal Register 1990). Because of high levels of raven predation on tortoises, the Bureau of Land Management has taken action to reduce this predation (BLM 1990, 1994). We report here on a 24-year trend in raven abundance along roadsides in the deserts of the southwestern United States and surrounding regions, where increasing raven populations interest resource management agencies (BLM 1990; USFWS 1994). Our analysis of BBS 1968-92 data focuses on arid lands and neighboring habitats in California, Nevada, Utah, and Arizona. We used data from 137 39.2-km (24.5-mi) routes within the following BBS strata: Great Basin Desert; mountain highlands of Arizona; Sonoran-Colorado Desert; Mojave Desert; basins and ranges, including portions of the northern Mojave and Great Basin deserts; Central Valley; and southern California grasslands, California foothills (southern California routes only), and Los Angeles ranges combined into one (coastal southern California).

Book chapter↗

Waterfowl botulism--a brief summary

Botulism is a food poisoning caused by the ingestion of the toxin produced by the bacterium Clostridium botulinum of any of six strains, designated A through F. The disease, as it occurs in epidemic proportion in wild birds, is most commonly of the C type, although outbreaks caused by type E botulism have been observed on the Great Lakes. C. botulinum is a widely distributed anaerobic bacterium which is capable of existence for many years in spore form. Its vegetative cells grow and synthesize toxin, whenever and wherever the proper conditions exist in their environment. Outbreaks of botulism occur when aquatic birds consume this toxin which has been preformed in their food. Botulism is, therefore, an intoxication rather than an infection and is not a contagious disease. Botulism can be diagnosed conclusively only by demonstration of the toxin in the blood or serum of live affected birds, and a diagnostic laboratory should be contacted to confirm field diagnoses. A conclusive diagnosis cannot be reached by demonstrating the toxin or the organism in dead animals. The 'microenvironment concept' assumes that C. botulinum produces toxin in small, discrete, particulate food items which provide the requirements for growth of the bacteria independent of the surrounding wetland environment and which protect the toxin from dilution or inactivation. Optimum conditions for C. botulinum growth and toxin production include the absence of oxygen, a temperature of 76 deg. to 98 deg. F and suitable organic media, especially those composed of animal protein. Such conditions may be met in decaying invertebrate carcasses even though external conditions are unfavorable for toxin production. Vertebrate carcasses also may provide suitable conditions for the production of toxin, and maggots collected from duck carcasses during botulism outbreaks frequently contain extremely high levels of toxin. In determining the specific source of toxin and recommending control measures in the dynamic, complex, and diverse conditions of specific wetland ecosystem where botulism occurs, one's conclusions must necessarily become more speculative. Possibilities for reducing waterfowl losses due to botulism--Complete elimination of the causative organism, C. botulinum , from the wetland ecosystem is neither practical nor possible. Control methods may sometimes be profitably directed at prevention of toxin production, and the quantity of suitable media can be influenced. Rising water levels may drown terrestrial invertebrates, or flood vegetation thereby releasing nutrients which stimulate the increase in aquatic invertebrate populations to unstable levels which collapse. In other situations decreasing water levels may increase the numbers of invertebrate carcasses by increasing water temperatures or salinity which had been marginal for survival of previously thriving invertebrate populations or by stranding invertebrates on mud flats subject to periodic wind flooding. Therefore, a basic and important step in controlling botulism is stabilization of the wetland ecosystem in order to avoid the accumulation of decaying animal protein, especially during periods when temperatures are favorable for toxin production in these media. This can sometimes be accomplished by water level manipulation. If toxin production cannot be controlled by reducing the quantity of suitable media, another step is to prevent the ingestion of the toxic food items. Birds may be chased or lured from areas of toxin source or areas can be made less attractive by rapid and complete drainage, or draw down to a stable shoreline, where wind flooding does not occur. Removal of vertebrate carcasses, especially those of birds dying during the outbreak, reduces the availability of toxic maggots but carcass removal must be carried out frequently and diligently.Prevention of the effects of the toxin can be accomplished in some instances. Some degree of active immunity can be produced by injections of specific toxoi

Report↗

GAP Analysis Bulletin Number 15

The Mission of the Gap Analysis Project (GAP) <http://gapanalysis.nbii.gov> is to promote conservation by providing broad geographic information on biological diversity to resource managers, planners, and policy makers who can use the information to make informed decisions. As part of the National Biological Information Infrastructure (NBII) <http://www.nbii.gov>?a collaborative program to provide increased access to data and information on the nation?s biological resources--GAP data and analytical tools have been used in hundreds of applications: from basic research to comprehensive state wildlife plans; from educational projects in schools to ecoregional assessments of biodiversity. The challenge: keeping common species common means protecting them BEFORE they become threatened. To do this on a state or regional basis requires key information such as land cover descriptions, predicted distribution maps for native animals, and an assessment of the level of protection currently given to those plants and animals. GAP works cooperatively with Federal, state, and local natural resource professionals and academics to provide this kind of information. GAP activities focus on the creation of state and regional databases and maps that depict patterns of land management, land cover, and biodiversity. These data can be used to identify ?gaps? in conservation--instances where an animal or plant community is not adequately represented on the existing network of conservation lands. GAP is administered through the U.S. Geological Survey. Through building partnerships among disparate groups, GAP hopes to foster the kind of collaboration that is needed to address conservation issues on a broad scale. For more information, contact: John Mosesso National GAP Director 703-648-4079 Kevin Gergely National GAP Operations Manager 208-885-3565

GAP Bulletin↗

Gap Analysis -A geographic approach to planning for biological diversity

The Mission of the Gap Analysis Project (GAP) is to promote conservation by providing broad geographic information on biological diversity to resource managers, planners, and policy makers who can use the information to make informed decisions. As part of the National Biological Information Infrastructure (NBII) —a collaborative program to provide increased access to data and information on the nation’s biological resources--GAP data and analytical tools have been used in hundreds of applications: from basic research to comprehensive state wildlife plans; from educational projects in schools to ecoregional assessments of biodiversity. The challenge: keeping common species common means protecting them BEFORE they become threatened. To do this on a state or regional basis requires key information such as land cover descriptions, predicted distribution maps for native animals, and an assessment of the level of protection currently given to those plants and animals. GAP works cooperatively with Federal, state, and local natural resource professionals and academics to provide this kind of information. GAP activities focus on the creation of state and regional databases and maps that depict patterns of land management, land cover, and biodiversity. These data can be used to identify “gaps” in conservation--instances where an animal or plant community is not adequately represented on the existing network of conservation lands. GAP is administered through the U.S. Geological Survey. Through building partnerships among disparate groups, GAP hopes to foster the kind of collaboration that is needed to address conservation issues on a broad scale.

GAP Bulletin↗

Use of mammal manure by nesting burrowing owls: a test of four functional hypotheses

Animals have evolved an impressive array of behavioural traits to avoid depredation. Olfactory camouflage of conspicuous odours is a strategy to avoid depredation that has been implicated only in a few species of birds. Burrowing owls, Athene cunicularia, routinely collect dried manure from mammals and scatter it in their nest chamber, in the tunnel leading to their nest and at the entrance to their nesting burrow. This unusual behaviour was thought to reduce nest depredation by concealing the scent of adults and juveniles, but a recent study suggests that manure functions to attract arthropod prey. However, burrowing owls routinely scatter other materials in the same way that they scatter manure, and this fact seems to be at odds with both of these hypotheses. Thus, we examined the function of this behaviour by testing four alternative hypotheses. We found no support for the widely cited olfactory-camouflage hypothesis (manure did not lower the probability of depredation), or for the mate-attraction hypothesis (males collected manure after, not before, pair formation). Predictions of the burrow-occupied hypothesis (manure indicates occupancy to conspecifics and thereby reduces agonistic interactions) were supported, but results were not statistically significant. Our results also supported several predictions of the prey-attraction hypothesis. Pitfall traps at sampling sites with manure collected more arthropod biomass (of taxa common in the diet of burrowing owls) than pitfall traps at sampling sites without manure. Scattering behaviour of burrowing owls appears to function to attract arthropod prey, but may also signal occupancy of a burrow to conspecifics. ?? 2006 The Association for the Study of Animal Behaviour.

Animal Behaviour↗

Linking vocal behaviours to habitat structure to create behavioural landscapes

The recent development of animal-borne sensors coupled with location data can provide insights into how individuals modify their behaviour with respect to specific habitat features. Animals can express a diverse array of behaviours as they navigate heterogenous landscapes, yet few studies have specifically evaluated the interaction of behaviours with habitat characteristics. We used a novel broadcast acoustic transmitter to investigate the interaction between vocal behaviours of an endemic Hawaiian thrush, the ʻōmaʻo, Myadestes obscurus , and habitat features across a naturally fragmented forest landscape. Through the development of behavioural landscape models that link specific vocalizations with space use, we found that the use of different vocalization types (calls, songs, whisper songs) were highly variable across the landscape but were associated with distinct habitat features. The likelihood of calls increased in an open lava matrix between forest patches, while whisper songs were more strongly associated with the dense interior areas of forest fragments. In contrast, the rate of ʻōmaʻo vocalizations overall decreased in the open lava matrix, suggesting that ʻōmaʻo may shift behaviours from territory defence to foraging as they transition through different habitats. Our study revealed context-specific changes in behaviour across ʻōmaʻo home ranges, including courtship, aggression and social interactions between individuals. Combining the use of a novel acoustic tool with automated radiotelemetry allowed us to overcome challenges associated with detection and analysis of variation in behaviour and resource selection across a highly heterogeneous landscape that would have been otherwise difficult to impossible.

Hawaii↗

Behavior of feral horses in response to culling and GnRH immunocontraception

Wildlife management actions can alter fundamental behaviors of individuals and groups,which may directly impact their life history parameters in unforeseen ways. This is especially true for highly social animals because changes in one individual&rsquo;s behavior can cascade throughout its social network. When resources to support populations of social animals are limited and populations become locally overabundant, managers are faced with the daunting challenge of decreasing population size without disrupting core behavioral processes. Increasingly, managers are turning to fertility control technologies to supplement culling in efforts to suppress population growth, but little is quantitatively known about how either of these management tools affects behavior. Gonadotropin releasing hormone (GnRH) is a small neuropeptide that performs an obligatory role in mammalian reproduction and has been formulated into the immunocontraceptive GonaCon-BTM. We investigated the influences of this vaccine on behavior of feral horses ( Equus caballus ) at Theodore Roosevelt National Park, North Dakota, USA, for a year preceding and a year following nonlethal culling and GnRH-vaccine treatment. We observed horses during the breeding season and found only minimal differences in time budget behaviors of free-ranging female feral horses treated with GnRH and those treated with saline. The differences observed were consistent with the metabolic demands of pregnancy and lactation. We observed similar social behaviors between treatment groups, reflecting limited reproductive behavior among control females due to high rates of pregnancy and suppressed reproductive behavior among treated females due to GnRH-inhibited ovarian activity. In the treatment year, band stallion age was the only supported factor influencing herding behavior (P < 0.001), harem-tending behavior (P < 0.001), and agonistic behavior (P = 0.02). There was no difference between the mean body condition of control females (4.9 (95% CI = 4.7&ndash;5.1)) and treated females(4.8 (95% CI = 4.7&ndash;4.9)). Band fidelity among all females increased 25.7% in the year fol-lowing vaccination and culling, despite the social perturbation associated with removal of conspecifics. Herding behavior by stallions decreased 50.7% following treatment and culling (P < 0.001), while harem-tending behavior increased 195.0% (P < 0.001). The amount of available forage influenced harem-tending, reproductive, and agonistic behavior in the year following culling and treatment (P < 0.04). These changes reflected the expected nexus between a species with polygynous social structure and strong group fidelity and the large instantaneous change in population density and demography coincident with culling.Behavioral responses to such perturbation may be synergistic in reducing grazing pressure by decreasing energetically expensive competitive behaviors, but further investigation is needed to explicitly test this hypothesis.

Applied Animal Behaviour Science↗

Location-only and use-availability data: analysis methods converge

This Special Feature arose from a session on a topic of the same name that took place during The Wildlife Society meeting in Kona, Hawaii, from 5 to 10 November, 2011. The purpose of that session and this Special Feature is to compare methods for predictive modelling of species geographical distributions and the modelling of habitat (resource) selection by animals. The predictive modelling of species geographical distributions and the modelling of habitat selection based on the environmental conditions at sites where animals are known to occur are essentially the same problem. Presence-only and used-available data both consist of a sample of locations with known presence of a species or an individual. A separate sample of locations from a study area, with unknown presence (pseudo-absence), is also assumed to exist. The probability or relative probability of presence of a species or individual is modelled and estimated across a certain time implicitly defined by the sampling mechanism, for example, by the time period during which museum specimens or radiotelemetry data were collected. A number of modelling methods have appeared in the literature over the last couple of decades. Many of these methods were made feasible by the availability of geographical information systems (GIS), global positioning system (GPS) radiotelemetry and public online data access initiatives (e.g. global biodiversity information facility). The papers in this Special Feature are intended to present the state of the methodological art in their subject area, with particular attention paid to contrasting the advantages and disadvantages of alternative methods of analysis for data.

Journal of Animal Ecology↗

Divergent migration within lake sturgeon (Acipenser fulvescens) populations: Multiple distinct patterns exist across an unrestricted migration corridor

Population structure, distribution, abundance, and dispersal arguably underpin the entire field of animal ecology, with consequences for regional species persistence, and provision of ecosystem services. Divergent migration behaviours among individuals or among populations is an important aspect of the ecology of highly-mobile animals, allowing populations to exploit spatially- or temporally-distributed food and space resources. This study investigated the spatial ecology of lake sturgeon ( Acipenser fulvescens ) within the barrier free Huron-Erie Corridor (HEC), which connects Lake Huron and Lake Erie of the North American Laurentian Great Lakes. Over six years (2011 – 2016), movements of 268 lake sturgeon in the HEC were continuously monitored across the Great Lakes using acoustic telemetry (10 yr battery life acoustic transmitters). Five distinct migration behaviours were identified with hierarchical cluster analysis, based on the phenology and duration of river and lake use. Lake sturgeon in the HEC were found to contain a high level of intraspecific divergent migration, including partial migration with the existence of residents. Specific behaviours included year-round river residency and multiple lake-migrant behaviours that involved movements between lakes and rivers. Over 85% of individuals were assign to migration behaviours as movements were consistently repeated over the study, which suggested migration behaviours were consistent and persistent in lake sturgeon. Differential use of specific rivers or lakes by acoustic-tagged lake sturgeon further subdivided individuals into 14 “contingents” (spatiotemporally segregated subgroups). Contingents associated with one river (Detroit or St. Clair) were rarely detected in the other river, which confirmed that lake sturgeon in the Detroit and St. Clair represent two semi-independent populations that could require separate management consideration for their conservation. The distribution of migration behaviours did not vary between populations, sexes, body size, or among release locations, which indicated that intrapopulation variability in migratory behaviour is a general feature of the spatial ecology of lake sturgeon in un-fragmented landscapes.

Michigan, Ontario↗

Behavioural plasticity modulates temperature-related constraints on foraging time for a montane mammal

Contemporary climate change is altering temperature profiles across the globe. Increasing temperatures can reduce the amount of time during which conditions are suitable for animals to engage in essential activities, such as securing food. Behavioural plasticity, the ability to alter behaviour in response to the environment, may provide animals with a tool to adjust to changes in the availability of suitable thermal conditions. The extent to which individuals can alter fitness‐enhancing behaviours, such as food collection, to proximately buffer variation in temperature, however, remains unclear. Even less well understood are the potential performance advantages of flexible strategies among endotherms. We examined the degree to which individuals altered rates of food collection in response to temperature, and two potential benefits, using the American pika ( Ochotona princeps ), a temperature‐sensitive, food‐hoarding mammal, as a model. From July–September 2013–2015, we used motion‐activated cameras and in situ temperature loggers to examine pika food‐caching activity for 72 individuals across 10 sites in the central Rocky Mountains, USA. We quantified % nitrogen by cache volume as a metric of cache quality, and the number of events during which pikas were active in temperatures ≥25°C as a measure of potential thermoregulatory stress. We found a strong negative effect of temperature on the rate at which pikas cached food. Individual responses to temperature varied substantially in both the level of food‐collecting activity and in the degree to which individuals shifted activity with warming temperature. After accounting for available foraging time, individuals that exhibited greater plasticity collected a comparable amount of nitrogen, while simultaneously experiencing fewer occasions in which temperatures eclipsed estimated thermal tolerances. By varying food‐collection norms of reaction, individuals were able to plastically respond to temperature‐driven reductions in foraging time. Through this increased flexibility, individuals amassed food caches of comparable quality, while minimizing exposure to potentially stressful thermal conditions. Our results suggest that, given sufficient resource quality and availability, plasticity in foraging activity may help temperature‐limited endotherms adjust to climate‐related constraints on foraging time.

Wyoming↗

Seasonal body mass dynamics mediate life-history trade-offs in a hibernating mammal

1. Energetic acquisition and growth are key traits that affect demography and life-history strategies. Many animals that live in seasonal environments in which food availability fluctuates store energy endogenously as fat in anticipation of food shortage. Fat-storing mammalian hibernators are an extreme example of this strategy where the optimal resolution of resource allocation trade-offs is essential to survival. Hence, these species provide an opportunity to test potential causes and consequences of seasonal body mass dynamics. 2. We used a 12-year dataset with 8753 body mass records from 3351 individually marked northern Idaho ground squirrels ( Urocitellus brunneus ) – a federally threatened hibernator – to meet three objectives: (1) document seasonal body mass changes by sex, age, and reproductive status, (2) test ecological hypotheses to explain spatiotemporal variation in body mass, and (3) document fitness consequences of pre-hibernation body condition via condition-dependent overwinter survival. 3. Squirrels varied substantially in seasonal body mass dynamics. The magnitude (36-155%) and onset (late May to early July) of rapid active-season mass gain varied among demographic groups. Reproductive females acquired the necessary fat stores to survive hibernation later in the active season than did males and non-reproductive females. Moreover, squirrels with better pre-hibernation body condition were more likely to survive to the subsequent year, potentially because they allocated excess energetic reserves to prolonging hibernation via early immergence and thereby reduced predation risk. These results suggest a direct trade-off between current and future reproduction mediated by resource acquisition and allocation, as predicted by life-history theory. 4. Colder active-season temperatures and lower conspecific densities negatively influenced squirrel body condition, possibly via reductions in foraging activity associated with those conditions. These ecological effects on body condition constrain resource allocation and demographic outcomes. As such, our results can help guide research and conservation strategies to benefit hibernating animals.

Idaho↗

Predicting disease spread from host movement data: Chronic wasting disease in North America as a case study

1. Rare long-distance movements can increase the spatial spread of invasive species and shifts in species ranges. However, in the context of wildlife disease spread, seasonal migrations only matter if they lead to transmission beyond an individual’s initial set of contacts, and the importance of juvenile dispersal depends on whether those juveniles become infected before they disperse. 2. High resolution animal movement data are increasing, but it is unclear how to leverage these data to improve predictions future disease spread particularly in regions without pre-existing movement data. 3. We predicted the speed of chronic wasting disease (CWD) spread based on movement metrics of mule deer ( Odocoileus hemionus ) and white-tailed deer ( Odocoileus virginianus ) and compared our predictions to observed spreading rates in North America from 2005 to 2022. We hypothesized that CWD should spread faster in regions with long-distance migratory mule deer, but this hypothesis was only partially supported. 4. Observed rates of CWD spread were faster in western epicenters with more mobile mule deer than in epicenters with only white-tailed deer (14-18 km/yr compared to 5-7 km/yr, respectively). However, the observed speed of CWD spread did not align well with migration distances. Deer movements in the Canadian Prairie Provinces (CPP) were far shorter than those in Colorado and Wyoming, yet had faster CWD spread much of which was open prairies where deer movements tend to be along riverine corridors rather than the longer elevational migrations in more montane regions. 5. Generally, our predicted rates of CWD spread from three different models were far slower than the observed rates regardless of whether the model included dispersal or migration. Understanding of these discrepancies is needed before high-resolution animal movement data can be used to predict broad-scale patterns of disease invasion. 6. Anthropogenic movements likely explain longer-distance movements of CWD across North America, but it remains unclear whether human-mediated movements or alternative analytical methods and deer movement metrics can explain the faster than predicted local CWD spread.

Journal of Animal Ecology↗

Genetic variation in domestic reindeer and wild caribou in Alaska

Reindeer were introduced into Alaska 100 years ago and have been maintained as semidomestic livestock. They have had contact with wild caribou herds, including deliberate cross-breeding and mixing in the wild. Reindeer have considerable potential as a domestic animal for meat or velvet antler production, and wild caribou are important to subsistence and sport hunters. Our objective was to quantify the genetic relationships of reindeer and caribou in Alaska. We identified allelic variation among five herds of wild caribou and three herds of reindeer with DNA sequencing and restriction enzymes for three loci: a DQA locus of the major histocompatibility complex (Rata-DQA1), k-casein and the D-loop of mitochondrial DNA. These loci are of interest because of their potential influence on domestic animal performance and the fitness of wild populations. There is considerable genetic variation in reindeer and caribou for all three loci, including five, three and six alleles for DQA, k-casein and D-loop respectively. Most alleles occur in both reindeer and caribou, which may be the result of recent common ancestry or genetic introgression in either direction. However, allele frequencies differ considerably between reindeer and caribou, which suggests that gene flow has been limited.

Alaska↗

Climatic variation and the distribution of an amphibian polyploid complex

1. The establishment of polyploid populations involves the persistence and growth of the polyploid in the presence of the progenitor species. Although there have been a number of animal polyploid species documented, relatively few inquiries have been made into the large-scale mechanisms of polyploid establishment in animal groups. Herein we investigate the influence of regional climatic conditions on the distributional patterns of a diploid-tetraploid species pair of gray treefrogs, Hyla chrysoscelis and H. versicolor (Anura: Hylidae) in the mid-Atlantic region of eastern North America. 2. Calling surveys at breeding sites were used to document the distribution of each species. Twelve climatic models and one elevation model were generated to predict climatic and elevation values for gray treefrog breeding sites. A canonical analysis of discriminants was used to describe relationships between climatic variables, elevation and the distribution of H. chrysoscelis and H. versicolor . 3. There was a strong correlation between several climatic variables, elevation and the distribution of the gray treefrog complex. Specifically, the tetraploid species almost exclusively occupied areas of higher elevation, where climatic conditions were relatively severe (colder, drier, greater annual variation). In contrast, the diploid species was restricted to lower elevations, where climatic conditions were warmer, wetter and exhibited less annual variation. 4. Clusters of syntopic sites were associated with areas of high variation in annual temperature and precipitation during the breeding season. 5. Our data suggest that large-scale climatic conditions have played a role in the establishment of the polyploid H. versicolor in at least some portions of its range. The occurrence of the polyploid and absence of the progenitor in colder, drier and more varied environments suggests the polyploid may posses a tolerance of severe environmental conditions that is not possessed by the diploid progenitor. 6. Our findings support the hypothesis that increased tolerance to severe environmental conditions is a plausible mechanism of polyploid establishment.

Maryland, Virginia↗