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Quantification of the indirect use value of functional group diversity based on the ecological role of species in the ecosystem

An important issue in biodiversity valuation is gaining a better understanding of how biodiversity conservation affects economic activities and human welfare. Quantifying the economic benefits of biodiversity for human well-being is not straightforward. Here, we expand the ecosystem service cascade by (i) attributing a methodology to the different steps of the cascade to assess the effects of changes in functional group diversity on economic activities; (ii) including multiple attributes for defining functional diversity and (iii) integrating a dynamic ecological model simulating complex interactions and feedbacks between species with an economic model assessing the effects of changes in functional group diversity for gross revenues. The stepwise methodological framework integrates a production function approach with a market price-based approach in order to investigate the indirect use value of functional group diversity based on the ecological role of species in the ecosystem. The methodology is applied to estimate the relationship between the gross economic value of Chinook salmon (Pacific Northwest, United States) and the diversity of freshwater macroinvertebrates. The results of our analysis emphasize the importance of biological diversity for sustaining ecosystem goods and services. The analysis provides a tractable framework for quantitatively exploring the economic consequences of changes in functional group diversity.

Ecological Economics↗

Factors influencing nesting ecology of lesser prairie-chickens

Lesser prairie-chicken ( Tympanuchus pallidicinctus ) populations have declined since the 1980s. Understanding factors influencing nest-site selection and nest survival are important for conservation and management of lesser prairie-chicken populations. However, >75% of the extant population is in the northern extent of the range where data on breeding season ecology are lacking. We tested factors influencing fine-scale and regional nest-site selection and nest survival across the northern portion of the lesser prairie-chicken range. We trapped and affixed satellite global positioning system and very high frequency transmitters to female lesser prairie-chickens ( n = 307) in south-central and western Kansas and eastern Colorado, USA. We located and monitored 257 lesser prairie-chicken nests from 2013 to 2016. We evaluated nest-site selection and nest survival in comparison to vegetation composition and structure. Overall, nest-site selection in relation to vegetation characteristics was similar across our study area. Lesser prairie-chickens selected nest microsites with 75% visual obstruction 2.0–3.5 dm tall and 95.7% of all nests were in habitat with ≥1 dm and ≤4 dm visual obstruction. Nests were located in areas with 6–8% bare ground, on average, avoiding areas with greater percent cover of bare ground. The type of vegetation present was less important than cover of adequate height. Nest survival was maximized when 75% visual obstruction was 2.0–4.0 dm. Nest survival did not vary spatially or among years and generally increased as intensity of drought decreased throughout the study although not significantly. To provide nesting cover considering yearly variation in drought conditions, it is important to maintain residual cover by managing for structural heterogeneity of vegetation. Managing for structural heterogeneity could be accomplished by maintaining or strategically applying practices of the Conservation Reserve Program, using appropriate fire and grazing disturbances in native working grasslands, and establishing site-specific monitoring of vegetation composition and structure.

Colorado, Kansas↗

Assessment and management of dead-wood habitat

The Bureau of Land Management (BLM) is in the process of revising its resource management plans for six districts in western and southern Oregon as the result of the settlement of a lawsuit brought by the American Forest Resource Council. A range of management alternatives is being considered and evaluated including at least one that will minimize reserves on O&C lands. In order to develop the bases for evaluating management alternatives, the agency needs to derive a reasonable range of objectives for key issues and resources. Dead-wood habitat for wildlife has been identified as a key resource for which decision-making tools and techniques need to be refined and clarified. Under the Northwest Forest Plan, reserves were to play an important role in providing habitat for species associated with dead wood (U.S. Department of Agriculture Forest Service and U.S. Department of the Interior Bureau of Land Management, 1994). Thus, the BLM needs to: 1) address the question of how dead wood will be provided if reserves are not included as a management strategy in the revised Resource Management Plan, and 2) be able to evaluate the effects of alternative land management approaches. Dead wood has become an increasingly important conservation issue in managed forests, as awareness of its function in providing wildlife habitat and in basic ecological processes has dramatically increased over the last several decades (Laudenslayer et al., 2002). A major concern of forest managers is providing dead wood habitat for terrestrial wildlife. Wildlife in Pacific Northwest forests have evolved with disturbances that create large amounts of dead wood; so, it is not surprising that many species are closely associated with standing (snags) or down, dead wood. In general, the occurrence or abundance of one-quarter to one-third of forest-dwelling vertebrate wildlife species, is strongly associated with availability of suitable dead-wood habitat (Bunnell et al., 1999; Rose et al., 2001). In Oregon and Washington, approximately 150 species of wildlife are reported to use dead wood in forests (O’Neil et al., 2001). Forty-seven sensitive and special-status species are associated with dead wood (Appendix A). These are key species for management consideration because concern over small or declining populations is often related to loss of suitable dead-wood habitat (Marshall et al., 1996). Primary excavators (woodpeckers) also are often the focus of dead-wood management, because they perform keystone functions in forest ecosystems by creating cavities for secondary cavity-nesters (Martin and Eadie, 1999; Aubry and Raley, 2002). A diverse guild of secondary cavity-users (including swallows, bluebirds, several species of ducks and owls, ash-throated flycatcher, flying squirrel, bats, and many other species) is unable to excavate dead wood, and therefore relies on cavities created by woodpeckers for nesting sites. Suitable nest cavities are essential for reproduction, and their availability limits population size (Newton, 1994). Thus, populations of secondary cavity-nesters are tightly linked to the habitat requirements of primary excavators. Although managers often focus on decaying wood as habitat for wildlife, the integral role dead wood plays in ecological processes is an equally important consideration for management. Rose et al. (2001) provide a thorough review of the ecological functions of dead wood in Pacific Northwest forests, briefly summarized here. Decaying wood functions in: soil development and productivity, nutrient cycling, nitrogen fixation, and carbon storage. From ridge tops, to headwater streams, to estuaries and coastal marine ecosystems, decaying wood is fundamental to diverse terrestrial and aquatic food webs. Wildlife species that use dead wood for cover or feeding are linked to these ecosystem processes through a broad array of functional roles, including facilitation of decay and trophic interactions with other organisms (Marcot, 2002; Marcot, 2003). For example, by puncturing bark and fragmenting sapwood, woodpeckers create sites favorable for wood-decaying organisms (Farris et al., 2004), which in turn create habitat for other species and facilitate nutrient cycling. Small mammals that use down wood for cover function in the dispersal of plant seeds and fungal spores (Carey et al., 1999). Resident cavitynesting birds may regulate insect populations by preying on overwintering arthropods (Jackson, 1979; Kroll and Fleet, 1979). These examples illustrate how dead wood not only directly provides habitat for a large number of wildlife species, but also forms the foundation of functional webs that critically influence forest ecosystems (Marcot, 2002; Marcot, 2003). The important and far-reaching implications of management of decaying wood highlight the need for conservation of dead-wood resources in managed forests. Consideration of the key ecological functions of species associated with dead wood can help guide management of dead wood in a framework consistent with the paradigm of ecosystem management (Marcot and Vander Heyden, 2001; Marcot, 2002.) As more information is revealed about the ecological and habitat values of decaying wood, concern has increased over a reduction in the current amounts of dead wood relative to historic levels (Ohmann and Waddell, 2002). Past management practices have tended to severely reduce amounts of dead wood throughout all stages of forest development (Hansen et al., 1991). The large amounts of legacy wood that characterize young post-disturbance forests are not realized in managed stands, because most of the wood volume is removed at harvest for economic and safety reasons. Mid-rotation thinning is used to “salvage” some mortality that might otherwise occur due to suppression, so fewer snags are recruited in mid-seral stages. Harvest rotations of 80 years or less truncate tree size in managed stands, and thus limit the production of large-diameter wood. As a consequence of these practices, dead wood has been reduced by as much as 90% after two rotations of managed Douglas-fir (Rose et al., 2001). Large legacy deadwood is becoming a scarce, critical habitat that will take decades to centuries to replace. Furthermore, management continues to have important direct and indirect effects on the amount and distribution of dead wood in forests. Current guidelines for managing dead wood may be inadequate to maintain habitat for all associated species because they largely focus on a single use of dead wood (nesting habitat) by a small suite of species (cavity-nesting birds), and may under represent the sizes and amounts of dead wood used by many wildlife species (Rose et al., 2001, Wilhere, 2003).

Open-File Report↗

Habitat suitability and ecological associations of two non-native ungulate species on the Hawaiian island of Lanai

The ability to effectively manage game species for specific conservation objectives is often limited by the scientific understanding of their distribution and abundance. This is especially true in Hawai‘i where introduced game mammals are poorly studied and have low value relative to native species in other states. We modeled the habitat suitability and ecological associations of European mouflon sheep (“mouflon”; Ovis musimon ) and axis deer ( Axis axis ) on the island of Lāna‘i using intensive aerial survey and environmental data that included climate, vegetation, and topographic variables. We conducted diagnostic tests on a suite of primarily categorical predictors and determined most were highly correlated. We therefore developed a suite of other spatial predictor layers with continuous variables. We tested several modeling approaches but settled on generalized linear models (GLM) and random GLMs because they could account for group size of animals and were based on curvilinear responses of each species to environmental variability. Both mammal species were habitat generalists showing little affinity to particular plant species or communities. Continuous predictors associated with plant productivity such as mean annual precipitation, normalized difference vegetation index (NDVI), and cloud cover were important explanatory factors in a GLM of axis deer and a random GLM of mouflon habitat suitability. The presence of axis deer was also an important explanatory predictor for mouflon distribution, but deer were not influenced by mouflon distribution, indicating asymmetrical competition. Consequently, mouflon were restricted to lower elevation arid and very dry slopes, whereas axis deer were more broadly distributed throughout other upland environments of the island, but avoided steep terrain. Findings indicate that removal of a substantial portion of the more abundant axis deer population may lead to an increase in abundance and distribution of mouflon without containment. Resulting spatial models of game mammal habitat suitability will be employed to inform land use prioritization analyses and to help resolve long-standing conflicts between native species conservation and sustained-yield hunting.

Hawai'i↗

The influence of forest management on headwater stream amphibians at multiple spatial scales

Understanding how habitat structure at multiple spatial scales influences vertebrates can facilitate development of effective conservation strategies, but until recently most studies have focused on habitat relationships only at fine or intermediate scales. In particular, patterns of amphibian occurrence across broad spatial scales are not well studied, despite recent concerns over regional and global declines. We examined habitat relationships of larval and neotenic Pacific giant salamanders (Dicamptodon tenebrosus), larval and adult Pacific tailed frogs (Ascaphus truei) (hereafter “tailed frogs”), and torrent salamanders (Rhyacotriton spp.) at three spatial scales (2-m sample unit, intermediate, and drainage). In 1998 and 1999, we captured 1568 amphibians in 702 sample units in 16 randomly chosen drainages in the Oregon Coast Range. We examined species–habitat associations at each spatial scale using an information-theoretic approach of analysis to rank sets of logistic regression models developed a priori. At the 2-m sample unit scale, all groups were negatively associated with proportion of small substrate and positively associated with stream width or elevation. At the intermediate scale, Pacific giant salamanders, adult tailed frogs, and torrent salamanders were positively associated with presence of a 46-m band of forested habitat on each side of the stream, and larval tailed frogs were positively associated with presence of forest >105 years old. Aspect was important for Pacific giant salamanders and larval tailed frogs at the intermediate scale. At the drainage scale, all groups except torrent salamanders were positively associated with proportion of stream length having forested bands >46 m in width, but further analysis suggests narrower bands may provide adequate protection for some groups. Population- and community-level responses at broad spatial scales may be reflected in species-level responses at fine spatial scales, and our results suggest that geophysical and ecological characteristics, as well as measures of instream habitat, can be used together to prioritize conservation emphasis areas for stream amphibians in managed landscapes.

Ecological Applications↗

Characterizing fragmentation of the collective forests in southern China from multitemporal Landsat imagery: A case study from Kecheng district of Zhejiang province

Tropical and subtropical forests provide important ecosystem goods and services including carbon sequestration and biodiversity conservation. These forests are facing increasing socioeconomic pressures and are rapidly being degraded and fragmented. This analysis focuses on the rate of change and patterns of fragmentation in a collective forest area in Zhejiang province, China, during the time period 1988–2005. The research consisted of two parts. The first was the development of general land cover maps and the identification of land cover changes by interpreting Landsat Thematic Mapper (TM) and Enhanced Thematic Mapper Plus (ETM+) time series imagery. The second part involved the computation and analysis of forest fragmentation metrics. For this portion of the study, fragmentation statistics were analyzed, and images were developed to depict forest fragmentation patterns and trends. Results revealed that there was a net loss of 7.8% in forest coverage, dropping from 66.8% in 1988 to 59.0% in 2005, primarily caused by agricultural expansion and poor forest management practices. An acceleration of forest fragmentation was also witnessed during the time intervals, which was evidenced by a decreasing trend in interior forest (57.2% in 1988, 55.0% in 1996 and 54.8% in 2005 respectively) coupled with the scales of the selected geospatial metrics. Continued forest loss and fragmentation are closely correlated with the existing political, educational, institutional and economic processes of contemporary China. To unlock the developmental potentials of the collective forests and to effectively mitigate the rate of forest loss and fragmentation, reforms of forest tenure and ecological immigration practices are recognized as a prospective alternative. The produced fragmentation maps further illustrates the importance of assessing landscape change history, especially the spatiotemporal patterns of forest fragments, when developing landscape level plans for biodiversity conservation, land use management and ecologically sustainable forestry.

Applied Geography↗

Freshwater to seawater transitions in migratory fishes

The transition from freshwater to seawater is integral to the life history of many fishes. Diverse migratory fishes express anadromous, catadromous, and amphidromous life histories, while others make incomplete transits between freshwater and seawater. The physiological mechanisms of osmoregulation are widely conserved among phylogenetically diverse species. Diadromous fishes moving between freshwater and seawater develop osmoregulatory mechanisms for different environmental salinities. Freshwater to seawater transition involves hormonally mediated changes in gill ionocytes and the transport proteins associated with hypoosmoregulation, increased seawater ingestion and water absorption in the intestine, and reduced urinary water losses. Fishes attain salinity tolerance through early development, gradual acclimation, or environmentally or developmentally cued adaptations. This chapter describes adaptations in diverse taxa and the effects of salinity on growth. Identifying common strategies in diadromous fishes moving between freshwater and seawater will reveal the ecological and physiological basis for maintaining homeostasis in different salinities, and inform efforts to conserve and manage migratory euryhaline fishes.

Book chapter↗

Assessing uncertainty in ecological systems using global sensitivity analyses: A case example of simulated wolf reintroduction effects on elk

Often landmark conservation decisions are made despite an incomplete knowledge of system behavior and inexact predictions of how complex ecosystems will respond to management actions. For example, predicting the feasibility and likely effects of restoring top-level carnivores such as the gray wolf ( Canis lupus ) to North American wilderness areas is hampered by incomplete knowledge of the predator-prey system processes and properties. In such cases, global sensitivity measures, such as Sobol’ indices, allow one to quantify the effect of these uncertainties on model predictions. Sobol’ indices are calculated by decomposing the variance in model predictions (due to parameter uncertainty) into main effects of model parameters and their higher order interactions. Model parameters with large sensitivity indices can then be identified for further study in order to improve predictive capabilities. Here, we illustrate the use of Sobol’ sensitivity indices to examine the effect of parameter uncertainty on the predicted decline of elk ( Cervus elaphus ) population sizes following a hypothetical reintroduction of wolves to Olympic National Park, Washington, USA. The strength of density dependence acting on survival of adult elk and magnitude of predation were the most influential factors controlling elk population size following a simulated wolf reintroduction. In particular, the form of density dependence in natural survival rates and the per-capita predation rate together accounted for over 90% of variation in simulated elk population trends. Additional research on wolf predation rates on elk and natural compensations in prey populations is needed to reliably predict the outcome of predator–prey system behavior following wolf reintroductions.

Ecological Modelling↗

Assessing the potential of translocating vulnerable forest birds by searching for novel and enduring climatic ranges

Hawaiian forest birds are imperiled, with fewer than half the original >40 species remaining extant. Recent studies document ongoing rapid population decline and pro- ject complete climate-based range losses for the critically endangered Kaua’i endemics ‘akeke’e (Loxops caeruleirostris) and ‘akikiki (Oreomystis bairdi) by end-of-century due to projected warming. Climate change facilitates the upward expansion of avian malaria into native high elevation forests where disease was historically absent. While intensi- fied conservation efforts attempt to safeguard these species and their habitats, the magnitude of potential loss and the urgency of this situation require all conservation options to be seriously considered. One option for Kaua’i endemics is translocation to islands with higher elevation habitats. We explored the feasibility of interisland translocation by projecting baseline and future climate-based ranges of ‘akeke’e and ‘akikiki across the Hawaiian archipelago. For islands where compatible climates for these spe- cies were projected to endure through end-of-century, an additional climatic niche overlap analysis compares the spatial overlap between Kaua’i endemics and current native species on prospective destination islands. Suitable climate-based ranges exist on Maui and Hawai’i for these Kaua’i endemics that offer climatically distinct areas compared to niche distributions of destination island endemics. While we recognize that any decision to translocate birds will include assessing numerous additional social, political, and biological factors, our focus on locations of enduring and ecologically compatible climate-based ranges represents the first step to evaluate this potential conservation option. Our approach considering baseline and future distributions of species with climatic niche overlap metrics to identify undesirable range overlap provides a method that can be utilized for other climate-vulnerable species with disjointed compatible environments beyond their native range.

Hawaii↗

Beyond exposure, sensitivity and adaptive capacity: A response based ecological framework to assess species climate change vulnerability

As the impacts of global climate change on species are increasingly evident, there is a clear need to adapt conservation efforts worldwide. Species vulnerability assessments (VAs) are increasingly used to summarize all relevant information to determine a species’ potential vulnerability to climate change and are frequently the first step in informing climate adaptation efforts. VAs commonly integrate multiple sources of information by utilizing a framework that distinguishes factors relevant to species exposure, sensitivity, and adaptive capacity. However, this framework was originally developed for human systems, and its use to evaluate species vulnerability has serious practical and theoretical limitations. By instead defining vulnerability as the degree to which a species is unable to exhibit any of the responses necessary for persistence under climate change (i.e., toleration of projected changes, migration to new climate-compatible areas, enduring in microrefugia, and evolutionary adaptation), we can bring VAs into the realm of ecological science without applying borrowed abstract concepts that have consistently challenged species-centric research and management. This response-based framework to assess species vulnerability to climate change allows better integration of relevant ecological data and past research, yielding results with much clearer implications for conservation and research prioritization.

Climate Change Responses↗

Planning for population viability on Northern Great Plains national grasslands

Broad-scale information in concert with conservation of individual species must be used to develop conservation priorities and a more integrated ecosystem protection strategy. In 1999 the United States Forest Service initiated an approach for the 1.2× 10 6 ha of national grasslands in the Northern Great Plains to fulfill the requirement to maintain viable populations of all native and desirable introduced vertebrate and plant species. The challenge was threefold: 1) develop basic building blocks in the conservation planning approach, 2) apply the approach to national grasslands, and 3) overcome differences that may exist in agency-specific legal and policy requirements. Key assessment components in the approach included a bioregional assessment, coarse-filter analysis, and fine-filter analysis aimed at species considered at-risk. A science team of agency, conservation organization, and university personnel was established to develop the guidelines and standards and other formal procedures for implementation of conservation strategies. Conservation strategies included coarse-filter recommendations to restore the tallgrass, mixed, and shortgrass prairies to conditions that approximate historical ecological processes and landscape patterns, and fine-filter recommendations to address viability needs of individual and multiple species of native animals and plants. Results include a cost-effective approach to conservation planning and recommendations for addressing population viability and biodiversity concerns on national grasslands in the Northern Great Plains.

Wildlife Society Bulletin↗

Application of ecological criteria in selecting marine reserves and developing reserve networks

Marine reserves are being established worldwide in response to a growing recognition of the conservation crisis that is building in the oceans. However, designation of reserves has been largely opportunistic, or protective measures have been implemented (often overlapping and sometimes in conflict) by different entities seeking to achieve different ends. This has created confusion among both users and enforcers, and the proliferation of different measures provides a false sense of protection where little is offered. This paper sets out a procedure grounded in current understanding of ecological processes, that allows the evaluation and selection of reserve sites in order to develop functional, interconnected networks of fully protected reserves that will fulfill multiple objectives. By fully protected we mean permanently closed to fishing and other resource extraction. We provide a framework that unifies the central aims of conservation and fishery management, while also meeting other human needs such as the provision of ecosystem services (e.g., maintenance of coastal water quality, shoreline protection, and recreational opportunities). In our scheme, candidate sites for reserves are evaluated against 12 criteria focused toward sustaining the biological integrity and productivity of marine systems at both local and regional scales. While a limited number of sites will be indispensable in a network, many will be of similar value as reserves, allowing the design of numerous alternative, biologically adequate networks. Devising multiple network designs will help ensure that ecological functionality is preserved throughout the socioeconomic evaluation process. Too often, socioeconomic criteria have dominated the process of reserve selection, potentially undermining their efficacy. We argue that application of biological criteria must precede and inform socioeconomic evaluation, since maintenance of ecosystem functioning is essential for meeting all of the goals for reserves. It is critical that stakeholders are fully involved throughout this process. Application of the proposed criteria will lead to networks whose multifunctionality will help unite the objectives of different management entities, so accelerating progress toward improved stewardship of the oceans.

Ecological Applications↗

Perceptions of conservation introduction to inform decision support among U.S. Fish and Wildlife Service employees

Executive Summary Around the globe, fish and wildlife managers are facing increasingly complex management issues because of multiscale ecological effects like climate change, species invasion, and land-use change. Managers seeking to prevent extinctions or preserve ecosystems are increasingly considering more interventionist techniques to overcome the resulting changes. Among those techniques, translocation methods that intentionally move species into new, less impacted habitats are being considered. These types of translocations are known by a range of terms, including “managed relocation” and “assisted migration,” but the International Union for the Conservation of Nature’s Species Survival Commission (IUCN SSC, 2013) has proposed “conservation introduction” (CI) as a standard term. As defined by the IUCN SSC, CI is the intentional movement of a species or population outside its indigenous range for conservation purposes. CI can be divided into two forms: assisted colonization and ecological replacement. Assisted colonization is moving species outside its indigenous range to prevent extinction or extirpation of a population. Ecological replacement is moving species to fulfill an important niche that is necessary within an ecosystem. Proponents suggest these methods are necessary to address the ecological challenges managers are trying to overcome. Opponents point out the potential for species to become invasive, introduce disease or parasites, and cause other cascading impacts throughout the ecosystem. The result is controversy and disagreement. As such, it will be imperative to develop clear guidelines and best practices to be followed within wildlife management agencies to prevent potential To this end, the U.S. Fish and Wildlife Service (USFWS) partnered with the U.S. Geological Survey (USGS) to develop the current project. The intent was to describe the perceptions of USFWS personnel across many aspects of CI so that the USFWS could use this information in the planning and development of their own internal decision-support framework for CI. This report is presented in five sections. Section 1 introduces the project and provides an in-depth overview of background literature related to CI. Section 2 describes the study design, methods, and study participant characteristics. Section 3 describes key results and recommendations related to the development of a USFWS decision framework. Section 4 investigates a range of perceptions held by participants and establishes baseline information for how USFWS personnel may view CI and its application. Types of viewpoints surveyed include preferred terms and definitions, perceived barriers, perceived risks and tradeoffs, and aspects of success. Perceived barriers refers to factors that may prevent successful implementation of CI and perceived risks refers to potential negative outcomes that may occur as a result of implementing CI. Section 5 provides an overview of our conclusions for this project. Overall, we found that CI is likely to be viewed positively within the USFWS, but employees offered cautions and caveats. Most participants we interviewed feel that it is a necessary tool that will be indispensable in certain situations but also feel that there is more risk associated than with more traditional methods. For this reason, many participants are concerned about the assessment and planning that should be conducted prior to any CI effort. Our results indicate that many USFWS personnel will be open to CI being adopted more regularly but will be looking for clear guidance on how it should be implemented.

Scientific Investigations Report↗

Landscape capability models as a tool to predict fine-scale forest bird occupancy and abundance

Context Species-specific models of landscape capability (LC) can inform landscape conservation design. Landscape capability is “the ability of the landscape to provide the environment […] and the local resources […] needed for survival and reproduction […] in sufficient quantity, quality and accessibility to meet the life history requirements of individuals and local populations.” Landscape capability incorporates species’ life histories, ecologies, and distributions to model habitat for current and future landscapes and climates as a proactive strategy for conservation planning. Objectives We tested the ability of a set of LC models to explain variation in point occupancy and abundance for seven bird species representative of spruce-fir, mixed conifer-hardwood, and riparian and wooded wetland macrohabitats. Methods We compiled point count data sets used for biological inventory, species monitoring, and field studies across the northeastern United States to create an independent validation data set. Our validation explicitly accounted for underestimation in validation data using joint distance and time removal sampling. Results Blackpoll warbler ( Setophaga striata ), wood thrush ( Hylocichla mustelina ), and Louisiana ( Parkesia motacilla ) and northern waterthrush ( P. noveboracensis ) models were validated as predicting variation in abundance, although this varied from not biologically meaningful (1%) to strongly meaningful (59%). We verified all seven species models [including ovenbird ( Seiurus aurocapilla ), blackburnian ( Setophaga fusca ) and cerulean warbler ( Setophaga cerulea )], as all were positively related to occupancy data. Conclusions LC models represent a useful tool for conservation planning owing to their predictive ability over a regional extent. As improved remote-sensed data become available, LC layers are updated, which will improve predictions.

Landscape Ecology↗

Paradigm versus paradox on the prairie: Testing competing stream fish movement frameworks using an imperiled Great Plains minnow

Background Movement information can improve conservation of imperiled species, yet movement is not quantified for many organisms in need of conservation. Prairie chub ( Macrhybopsis australis ) is a regionally endemic freshwater fish with unquantified movement ecology and currently considered for listing under the Endangered Species Act. The purpose of this study was to test competing ecological theories for prairie chub movement, including the colonization cycle hypothesis (CCH) that posits adults must make upstream movements to compensate for downstream drift at early life stages, and the restricted movement paradigm (RMP) that describes populations as heterogeneous mixes of mostly stationary and few mobile fish. Methods We tagged prairie chub with visible implant elastomer during the summer (May–August) of 2019 and 2020 to estimate net distance moved (m) and movement rate (m/d). We tested the hypotheses that observed prairie chub movement would be greater than expected under the RMP and that prairie chub movement would be biased in an upstream direction as predicted by the CCH. Results We tagged 5771 prairie chub and recaptured 213 individuals across 2019 and 2020. The stationary and mobile components of the prairie chub population moved an order of magnitude further and faster than expected under the RMP during both years. However, we found only limited evidence of upstream bias in adult prairie chub movement as would be expected under the CCH. Conclusions Our findings are partly inconsistent with the RMP and the CCH, and instead closely follow the drift paradox (DP), in which upstream populations persist despite presumed downstream drift during early life stages and in the apparent absence of upstream bias in recolonization. Previous mathematical solutions to the DP suggest organisms that experience drift maintain upstream populations through either minimization of drift periods such that small amounts of upstream movement are needed to counter the effects of advection or increasing dispersal regardless of directionality. We conclude that the resolution to the DP for prairie chub is an increase in total dispersal and our results provide insight into the spatial scales at which prairie chub conservation and management may need to operate to maintain broad-scale habitat connectivity.

Oklahoma, Texas↗

Available benthic habitat type may influence predation risk in larval lampreys

Population declines of lamprey species have largely been attributed to habitat degradation, yet there still remain many unanswered questions about the relationships between lampreys and their habitats ( Torgensen & Close 2004 ; Smith et al. 2011 ). One scarcely researched area of lamprey ecology is the effect of predation on lampreys ( Cochran 2009 ). Specifically, the influence of available habitat on predation risk has not been documented for larval lampreys but may be important to the management and conservation of lamprey populations.

West Virginia↗

Can the planetary health concept save freshwater biodiversity and ecosystems?

People clearly need and benefit from healthy freshwater ecosystems; Given the precarious state of these important systems and services, current efforts to address the freshwater biodiversity crisis remain insufficient. Planetary health is an emerging framework that aims to secure the state of natural systems within environmental limits that ensure humanity can flourish. The planetary health concept is tied to the planetary boundaries framework in which various ecological thresholds are identified with the goal of constraining human activity to within those boundaries (so-called safe operating spaces). Freshwater systems are influenced by some planetary-scale processes like the climate systems and phosphorus and nitrogen cycles. Nonetheless, safe boundaries to guide the conservation and management of freshwater ecosystems need to consider their uneven distribution around the globe, and their ecological and hydrologic limits, which are often site and context dependent. Efforts to down-scale planetary boundaries concepts to the management of freshwater recreational fisheries at the lake scale, suggest that there are opportunities for rethinking planetary health as a nested cross-scale approach from the planet to the watershed.

Lancet Planetary Health↗

A Lake Charr pangenome reveals highly conserved Ohnologs as drivers of phenotypic diversity

Whole-genome duplication (WGD) is hypothesized to spur evolutionary diversification by producing genome-wide duplicate gene sets (Ohnologs) that are initially functionally redundant but can diverge markedly as the effects of relaxed selection accumulate over time. However, the underlying mechanisms remain unclear, in part because genomic studies often reconstruct Ohnolog evolution over millions of years, during which subsequent mutations can obscure deep-time signals. Investigating the relationship between Ohnolog evolution and diversification on a contemporary timescale offers clearer insights. We explore this relationship in Lake Charr ( Salvelinus namaycush ), where ∼10% of genes are retained highly conserved polyploid duplicates following the Salmonid-Specific Fourth Round WGD. Using 31 chromosome-level assemblies of Lake Charr from morphologically and ecologically diverse populations, joined into a pangenome graph, we characterized 189,555 structural variants (SVs) that were significantly less likely to affect genes retained as sequence-conserved Ohnolog pairs, nuancing the hypothesis that gene redundancy, relaxed selection, and functional diversification are intertwined. However, we found that SVs affecting such conserved Ohnologs may be potent drivers of adaptive evolution. Notably, we identified a putative 938-Kb interchromosomal translocation containing 25 genes with highly conserved Ohnologs in a paralogous (but untranslocated) genomic block. This putative translocation appears to have facilitated Ohnolog divergence in ankrd11 and hp , genes putatively linked to craniofacial and lipid metabolic diversity in sympatric Lake Superior morphs. This research reveals that conserved Ohnologs previously presumed to be redundant remain a reservoir for adaptive change.

BioRxiv↗