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Accelerating ecological sciences from above: Spatial contrastive learning for remote sensing

The rise of neural networks has opened the door for automatic analysis of remote sensing data. A challenge to using this machinery for computational sustainability is the necessity of massive labeled data sets, which can be cost-prohibitive for many non-profit organizations. The primary motivation for this work is one such problem; the efficient management of invasive species -- invading flora and fauna that are estimated to cause damages in the billions of dollars annually. As an ongoing collaboration with the New York Natural Heritage Program, we consider the use of unsupervised deep learning techniques for dimensionality reduction of remote sensing images, which can reduce sample complexity for downstream tasks and decreases the need for large labeled data sets. We consider spatially augmenting contrastive learning by training neural networks to correctly classify two nearby patches of a landscape as such. We demonstrate that this approach improves upon previous methods and naive classification for a large-scale data set of remote sensing images derived from invasive species observations obtained over 30 years. Additionally, we simulate deployment in the field via active learning and evaluate this method on another important challenge in computational sustainability -- landcover classification -- and again find that it outperforms previous baselines.

Proceedings of the AAAI Conference on Artificial I↗

Action plan for restoration of coral reef coastal protection services: Case study example and workbook

This report was prepared by the U.S. Environmental Protection Agency (USEPA), Office of Research and Development, as part of the Air, Climate and Energy (ACE) research program, with support from Tetra Tech, Inc., and in collaboration with the National Oceanic and Atmospheric Administration, the U.S. Geological Survey, and The Nature Conservancy. The ACE research program provides scientific information and tools to support USEPA’s commitment to clean air, clean water and sustainable natural resources, even as environmental conditions change. A key component of this is the development of sound science to support adaptation. Adaptation involves preparing for and adjusting to the effects of climate change and its interactions with other global and local stressors. Because these effects are diverse, interactive, and difficult to predict, adapting management of natural resources in this context can be very challenging. Coral reefs—which provide valued ecosystem services such as fisheries, coastal protection, and tourism—are threatened by the effects of increased sea surface temperatures, sea level rise, and intensifying storms. These large-scale stressors are interacting with local stressors such as pollution, overfishing, and recreational misuse to drive ongoing and accelerating declines in coral reef ecosystems. Thus, there is a rising urgency to design and implement climate change adaptation measures that will enable reef resilience in the face of these changes. This includes accounting for, and adjusting to, the combined effects of climate change and local stressors in coral reef protection and restoration efforts. The action plan, example case study, and workbook found in this report demonstrate a structured process for integrating climate-smart design considerations into restoration planning using A Manager’s Guide to Coral Reef Restoration Planning and Design. The focus is a hypothetical coral reef restoration project that has a goal of recovering nature-based coastal protection services using restoration interventions. The intent is to provide readers with a completed example of how to use the Guide workbook to inform a draft action plan, centering on the topic of coastal protection as a burgeoning area of interest in coral reef science and management communities. The information in this hypothetical case study is not intended for direct use; rather, it provides a starting point for more detailed planning that would occur in specific places. And while a full review of the current literature on reef restoration methods is outside the scope of this report, readers are encouraged to use the examples herein as well as in the Guide as a jumping-off point for exploring the rapidly growing body of information on methods, techniques, successes, failures, monitoring challenges and future directions of coral reef restoration in a changing world. The workbook, together with the action plan, can serve as a valuable record of the planning thought process as well as a living document for adaptive management, to be updated through time as improved information becomes available.

EPA Report↗

Supporting the development and use of native plant materials for restoration on the Colorado Plateau (Fiscal Year 2021 Report)

A primary focus of the Colorado Plateau Native Plant Program (CPNPP) is to identify and develop appropriate native plant materials (NPMs) for current and future restoration projects. Multiple efforts have characterized the myriad challenges inherent in providing appropriate seed resources to enable effective, widespread restoration and have identified a broad suite of research activities to provide the information necessary to overcome those challenges (e.g., Plant Conservation Alliance 2015; Breed et al. 2018; Winkler et al. 2018; McCormick et al. 2021). Many of the most complex information needs relate to identifying the appropriate sources of plant species that can successfully establish in dryland environments, like the Colorado Plateau, where low and highly variable precipitation is standard. Providing this information requires synergistic research efforts in which results from earlier investigations inform the design of subsequent investigations. The U.S. Geological Survey (USGS) Southwest Biological Science Center’s (SBSC’s) research activities to support CPNPP in FY21 followed the FY21 Statement of Work to support a research framework that is continually adapting based on the needs of the restoration community and results from previous investigations; the long-term research framework is outlined in the 2019-2023 5-Year Research Strategy (hereafter referred to as the 5-year plan). This research framework provides support for the National Seed Strategy for Rehabilitation and Restoration (Plant Conservation Alliance 2015), Biden-Harris Administration Executive Order 14008 (Tackling the Climate Crisis at Home and Abroad), and Department of Interior Priority #4 (Working to conserve at least 30% each of our lands and waters by the year 2030). Research activities in FY21 centered on landscape genomics, implementing and monitoring a common garden experiment near Vernal, UT, conducting experimental treatments using the GRID (Germination for Restoration Information and Decision-making) framework, and initiating new genetics projects to investigate the impact of production techniques on plant materials and restoration treatments on native plant communities. These activities were supported by four biological science technicians. The SARS-CoV-2 pandemic delayed some aspects of the FY21 workplan, especially for outside laboratory services. However, goals were largely met, and the overall progress of research remains on track with respect to the 5-year plan. While Dr. Rob Massatti was the only scientist supported by the SBSC-CPNPP agreement in FY21, other scientists, including Drs. John Bradford, Seth Munson, Mike Duniway, Sasha Reed, and Daniel Winkler, spent a considerable amount of time providing expertise and support for individual projects. Work activities performed in support of each 5-year plan goal are discussed in turn. Products resulting from FY21 research activities are reported in Appendix 1.

Arizona, Colorado, New Mexico, Utah↗

A theoretical framework for integrating ground failure models into regional seismic performance assessments of buried pipelines

A variety of models exist for characterizing earthquake-induced ground failures, but application of these models towards regional seismic performance assessments of buried pipelines remains challenging. One challenge is that ground failures often occur at localized geospatial scales while buried pipelines are spatially distributed over long distances. In this study, we propose a theoretical framework to integrate ground failure models into such assessments. We demonstrate a proof of concept via a numerical example with an illustrative gas transmission network in southern California subjected to ground shaking from the 1994 M6.7 Northridge earthquake.

Conference Paper↗

A RADical approach to conservation in Alaska: Rapid climate change requires a new perspective

In Alaska, conservation areas are managed to promote the persistence of wild species, habitats, cultural resources, visitor experiences, and ecosystem services. Many conservation areas are managed by federal or state agencies, and have specific boundaries, missions, and legislative mandates. Many are also the domains of Indigenous and local people who derive livelihoods and cultural identity from these lands. These areas vary considerably as to whether they are managed solely for conservation versus other additional values. Myriad threats challenge the sustainability of these values, and conservation areas often exist to mitigate such threats. But regardless of jurisdiction, legal contexts, or historical impacts, all these places face challenges, unprecedented during human habitation, from one globally pervasive threat: anthropogenic climate change. Yes, ecosystems, including people who depend on them, have adapted to constant change in Alaska over most of the Holocene if not before (at least the last 18kyr). And this experience has conferred upon its constituents learned adaptive capacity, capabilities, and knowledges among the most flexible on the planet. We discuss the implications of the Resist, Accept, Direct adaptation framework in the context of conservation management in Alaska.

Alaska↗

Under-forecasting wet avalanche cycles: Case studies and lessons learned from two wet avalanche cycles in northwest Montana and central Colorado

Predicting the timing and location of natural wet avalanche events is challenging, especially the release of wet slabs. In this study, we describe the existing snowpack structure, weather, and observed avalanche activity for two separate wet avalanche cycles in different avalanche climate types: northwest Montana and central Colorado. In both cases, the regional avalanche forecast centers initially predicted an avalanche hazard rating lower than the observed avalanche hazard and did not initially predict the occurrence of wet slab avalanches. Large wet slab avalanche activity began during the early stages of the first, rapid warming event of the season in both regions, challenging the notion that a lack of overnight refreeze is important for large wet avalanche cycles. This highlights the need for improvement in forecasting wet avalanche events/cycles. Here, we discuss lessons learned and operational strategies for improving forecast accuracy during significant melting events. These include focused field assessments in shallow snowpack areas and low elevation terrain, proactive late-day monitoring beyond normal field hours, and additional meteorological considerations, such as cloud cover and energy balance assessments, prior to and during notable warm-ups.

Colorado, Montana↗

Supporting the development and use of native plant materials for restoration on the Colorado Plateau (Fiscal Year 2022 Report)

A primary focus of the Colorado Plateau Native Plant Program (CPNPP) is to identify and develop appropriate native plant materials (NPMs) for current and future restoration projects. Multiple efforts have characterized the myriad challenges inherent in providing appropriate seed resources to enable effective, widespread restoration and have identified a broad suite of research activities to provide the information necessary to overcome those challenges (e.g., Plant Conservation Alliance, 2015; Breed et al., 2018; Winkler et al., 2018; NASEM, 2023). Many of the most complex information needs relate to identifying the appropriate sources of plant species that can successfully establish in dryland environments, like the Colorado Plateau, where low and highly variable precipitation is standard. Providing this information requires synergistic research efforts in which results from earlier investigations inform the design of subsequent investigations. The U.S. Geological Survey (USGS) Southwest Biological Science Center’s (SBSC’s) research activities to support CPNPP in FY22 followed the FY22 Statement of Work to support a research framework that is continually adapting based on the needs of the restoration community and results from previous investigations; the long-term research framework is outlined in the 2019-2023 5-Year Research Strategy (hereafter referred to as the 5-year plan). This research framework provides support for the National Seed Strategy for Rehabilitation and Restoration (Plant Conservation Alliance, 2015), Biden-Harris Administration Executive Order 14008 (Tackling the Climate Crisis at Home and Abroad), and Department of Interior Priority #4 (Working to conserve at least 30% each of our lands and waters by the year 2030). Research activities in FY22 centered on landscape genomics, monitoring common garden and seeding experiments near Vernal and Moab, UT, conducting experimental treatments using the GRID (Germination for Restoration Information and Decision-making) framework, and continuing newer genetics projects to investigate the impact of productions techniques on plant materials and restoration treatments on native plant communities. These activities were supported by two biological science technicians. The effects of the SARS-CoV-2 pandemic were less visible in FY22, allowing SBSC to catch up on backlogged laboratory work. The overall progress of SBSC’s research remains on track with respect to the 5-year plan. While Dr. Rob Massatti was the only scientist supported by the SBSC-CPNPP agreement in FY22, other scientists, including Drs. John Bradford, Seth Munson, Mike Duniway, Sasha Reed, and Daniel Winkler, spent a considerable amount of time providing expertise and support for individual projects. Work activities performed in support of each 5-year plan goal are discussed in turn.

Colorado Plateau↗

Interstate 15 wildlife crossing design considerations for focal wildlife species - Santa Ana-Palomar Mountains Linkage southern California

The Nature Conservancy (TNC) and the California Department of Transportation (Caltrans), along with landowners including San Diego State University, California Department of Fish and Wildlife, Western Riverside Regional Conservation Authority and Riverside County Flood Control District are developing wildlife crossing infrastructure projects along a 3-mile stretch of Interstate 15 (I-15) in the Santa Ana-Palomar Mountains Linkage (hereafter ‘Linkage’) in southern California. These crossings will provide a critical missing link that will help reconnect wildlife in the coastal Santa Ana Mountains west of I-15 with those in the interior Palomar and Eastern Peninsular ranges to the east of I-15. The Linkage supports intact and diverse habitats including coastal sage scrub, grasslands, chaparral, and oak and riparian woodlands, and has been a focus of regional conservation efforts for the last 30 years. The three wildlife crossing infrastructure projects include enhancement of the existing Temecula Creek I-15 Bridge, construction of a new vegetated wildlife overcrossing, and construction of a new stand-alone wildlife culvert. Given the challenges and level of financial investment required to secure wildlife crossings for I-15 in the Linkage, TNC and Caltrans proposed that planning efforts would benefit from input by taxonomic experts on design concepts that meet the needs of the broadest range of wildlife. While wildlife crossings are becoming more common, optimal designs that meet the needs of a variety of wildlife species are largely unknown and can be site specific. To address this challenge, we held a workshop in February 2022 that brought together over 50 wildlife experts to brainstorm and identify specific design considerations for various focal wildlife species groups (medium/large mammals, small animals, birds, bats, plants, and invertebrates) that might use the identified I-15 wildlife crossings (The Nature Conservancy 2022). Lead experts for each focal species group worked together to identify specific wildlife crossing features or attributes for each of the three proposed wildlife crossings. Specific attributes evaluated by experts for each crossing type and species group included, at a minimum: • Crossing Structure Attributes; o Habitat features? (cover, habitat structure, substrate, moisture, light and noise mitigation) • Crossing Approach Area Features; o Habitat features (cover type/density, substrate, water, light and noise mitigation) • Barrier design to reduce roadkill and/or to funnel wildlife to the crossing; • Additional research to resolve uncertainties related to crossing design Based on the design considerations for each potential crossing type, the experts then weighed in on the suitability of the existing location and probability of use by their focal species or groups of species. With proposed design features, Temecula Creek Bridge has moderate or high probability of use by 27 of the 36 focal wildlife species assessed, while the vegetated overcrossing could meet the needs of 26 of the 36 species. When combined, Temecula Creek Bridge and the vegetated overcrossing have a moderate or high probability of use for 34 of the 36 species. The wildlife culvert has a moderate or high level of expected use by 10 of the 36 focal species and could serve connectivity needs for representative species from all but the bird and plant species groups.

California↗

Modeling, mapping, and measuring the risk of freshwater invasive species across Alaska

Freshwater ecosystems of the Alaskan Arctic and Subarctic provide resources that are culturally, ecologically, and economically invaluable. Presently, these regions are relatively free of the impacts from invasive species compared to southern latitudes. To date, there have been relatively few verified introductions of aquatic invasive species (AIS) to freshwater ecosystems in Alaska. The expanding list and distribution of AIS has led to significant negative ecological and economic impacts (e.g., waterweed Elodea nuttalli ; E. canadensis and northern pike Esox Lucius introduced outside its native range in Alaska). Escalating human activity across Alaskan lands and waters, coupled with rapidly shifting environmental conditions, increases the potential for new species introductions and subsequent establishment. Creating a proactive framework for well-informed decision-making and action can improve the effectiveness of prevention efforts and bolster decision support tools that help resource managers direct limited resources. Prioritizing AIS that may be introduced and become established, as well as the locations at highest risk of invasion, is foundational to building a proactive invasive species management framework in Alaska. This project sought to identify and prioritize AIS known to be invasive in the contiguous United States, evaluate current and future habitat suitability for AIS in Alaska, and assess potential for AIS to be transported to habitats across Alaska, utilizing similar assessment methods as implemented for Bering Sea marine invasive species and non-native plants in Alaska. To accomplish this goal, the objectives of the project were to: 1) develop a formal ranked list of potential AIS to freshwater systems of Alaska; 2) assess the level of establishment risk for potential AIS by developing habitat suitability models for waterbodies across Alaska; and 3), identify potential pathways and specific vectors for high-risk AIS to invade Alaska and develop a framework for how vector analysis will be completed to understand transport risk. Overall, our goal is horizon scanning which is defined by Roy et al. (2019) as “a systematic examination of potential threats and opportunities, within a given context, and likely future developments, which are at the margin of current thinking and planning.” The scans include pathway analyses and risk screening of species present at pathway origin points, with a focus on identifying species at high risk of being introduced, becoming established, spreading, and causing harm. We refined a list of 28 AIS from a list of hundreds based on characterizations of species’ invasiveness and species’ proximity to Alaska (USGS 2020; GBIF 2022). Next, we evaluated the relative invasiveness of individual species to create an initial AIS ranking. We sought to characterize habitat suitability of AIS by selecting variables that were continental in scale, covering North America to include Alaska as well as the lower 48 states comparing natural discharge, sub-basin average terrain slope (degrees), average silt fraction, average organic carbon, lithological class, and human footprint in sub-basin in 2009. We estimated AIS habitat suitability across the entire state of Alaska using the physiological tolerances of the AIS (Appendix 2). We also evaluated pathways and vectors for the introduction of AIS (Appendix 2). Many pathways and vectors considered did not meet the criteria for Alaska or freshwater systems. Of the 28 ranked species that we categorized as very high, high, and moderate levels of invasiveness; all three risk groups included fish and mollusks (Appendix 2). One commonality of the very high-invasiveness-ranked species was the availability of Ecological Risk Screening Summary documents (USFWS, 2022) produced by U.S. Fish and Wildlife Service (USFWS), except for the goldfish ( Carassius auratus ) and the New Zealand mudsnail ( Potamopyrgus antipodarum ). The Ecological Risk Screening Summary is now available for New Zealand mudsnails. In general, fish species often ranked very high or high in invasiveness and included sportfish and aquarium fish, suggesting the importance of pathways such as aquarium trade, fishing industry, intentional (but illegal) introductions of sportfishes and aquarium fishes for establishment. The technique we used for habitat suitability models necessitated aquatic environmental datasets that were continental in scale, which was often interpolated from very coarse resolution source data layers, particularly in Alaska. Better spatial data representing aquatic environments would likely improve this approach. While the lack of introductions in Alaska and nearby provinces and states is encouraging, the lack of occurrence data for the focal species also created complications for habitat suitability modeling. Despite the challenges, the habitat suitability models indicated limited suitability for warmwater species while some species, such as Brook trout (S alvelinus fontinalis ), have high habitat suitability across Alaska no matter what threshold approach is taken. Some environmental predictors were more important than others. Specifically, the most important predictor variable, ‘frost free days,’ was critical for 15 out of 28 species as expected due to harsh winter conditions in Arctic and Subarctic regions. The second most important predictor was ‘subbasin land surface runoff’, a variable that indicates the amount of discharge and runoff, while the third most important predictor was ‘snow cover’ another indication of winter conditions. Overall, the ability to understand the effect of future climate scenarios on the establishment of AIS was challenging. A detailed dataset of freshwater temperatures and water chemistry (e.g., pH, calcium) would greatly improve the ability to predict invasiveness of freshwater species to Alaska’s ecosystems on a regional basis. Future studies may benefit from a more focused geographic scope examining a group of subbasins or a regional basin rather than the entire state. These drainages could be selected based upon the mostly likely locations of introduction pathways. The two most prevalent pathway risks for AIS are in-state transfer and stowaways/contaminants. Although there are examples of introductions from other pathways, the risk is somewhat mitigated by Alaska’s climate and regulations. However, variable application of protocols for inspection and cleaning of fishing gear, watercraft, and other similar items while traveling into Alaska as well as transferring from waterbody to waterbody within the state creates a substantial risk in introducing invasive species. We plot cumulative invasive vulnerability for all subbasins and for the top 10% of subbasins (Appendix 3).

Alaska↗

Climate-smart agriculture for Ukraine: Winter wheat breeding for food security and climate adaptation

Since the onset of the COVID-19 pandemic in early 2020, people have experienced food insecurity challenges because of increased prices of staple food commodities and loss of income or livelihood. Globally, countries with limited capacity to adapt have struggled to recover from pandemic-related disruptions and are further challenged to address adverse effects of climate change on agricultural production (United Nations [UN], 2022). Ukraine, a key agricultural exporter of staple food commodities, has a vital role in contributing to global food security, in particular through its wheat exports to countries in the Middle East, North Africa, and Europe (Martyshev and others, 2023). However, Ukraine’s role as a stable source of global wheat has been disrupted by the ongoing Russia-Ukraine war—a conflict which began in February of 2022. Given the fragile state of global and local markets and food systems, and the increasing risk climate change poses to agricultural production globally, Ukraine has prioritized adopting efficient agricultural practices to contribute to stabilizing crop yields and to increase its capacity to export wheat and other staple crops. According to Ukraine’s Ministry of Agrarian Policy and Food (MINAGRO), along with addressing climate change, a contributing driver for this prioritization is the desire to join the European Union (EU) and the need to meet the requirements for the EU’s Common Agricultural Policy (CAP) for acceptance as a union member state (Markiyan Dmytrasevych, a former deputy minister of MINAGRO, oral commun., 2023). As a result, MINAGRO is considering climate-smart agricultural practices to secure future crop yields and build resilience within its agricultural sector, especially as the war has impeded millions of tons of crops from reaching domestic and global markets. This report employs the climate-smart agriculture framework to provide Ukrainian agricultural policy- and decision makers and others in technical and development assistance roles with an overview of relevant climate, environmental, and agricultural policy and market factors, and projections on climate and environmental resources that could influence the implementation of climate-smart agricultural practices in Ukraine, and aid Ukraine in successfully joining the EU.

Report↗

Mapping closed depressions in the karst region of northwest Puerto Rico using lidar-derived elevation data obtained in 2018 after Hurricane Maria

Identifying and analyzing closed depressions in karst areas is important for sinkhole hazard evaluation and land management. We created a sinkhole inventory in the karst region of northwest Puerto Rico using a lidar-derived elevation model acquired in 2018 approximately eleven months after Hurricane Maria. The goal of this project is to develop a geodatabase of sinkhole feature classes (polygons and points), relevant geometric attributes of each feature, and a density raster to portray areas of greater clustering of sinkholes as an input for future sinkhole susceptibility assessment. We used ArcGIS Pro® v3.0 to create closed depression polygons using two semi-automated extraction methods. A fill-difference method was used to capture depressions nine square meters and larger, and a contour tree method was used to capture nested depressions larger than one hundred square meters. Quality checks were conducted to eliminate non-karst depressions, such as human-made depressions and those resulting as artifacts from the automated methods. Geospatial data of land cover, soils, and geology helped to refine the results and improve quality control. The most challenging aspect of this effort was determining a true karst sinkhole from other depressions extracted from the lidar-derived elevation model. Limitations of this semi-automated method include false-positive depressions in the automated results and the exclusion of sinkholes in conducting large-scale eliminations based on landscape attributes. We approached this challenge by combining layers of other geospatial information to evaluate the type of process that could result in a closed depression. This project will help develop an efficient method to visualize karst hazards utilizing lidar-derived elevation models and sinkhole geomorphic expressions. The resulting geodatabase can be used to efficiently identify sinkhole susceptibility and support land management decision-making in karst areas.

Puerto Rico↗

A monitoring framework to assess forest bird population response to landscape scale mosquito suppression using the Incompatible Insect Technique

The Birds, Not Mosquitoes Monitoring and Support Science Working Group detailed methods for monitoring the population response of Hawaiian forest birds during implementation of the Incompatible Insect Technique (IIT) on the islands of Maui and Kauaʻi. The group prioritized methods for measuring the influence of mosquito suppression on populations within IIT treatment and control areas and identified focal species for IIT efficacy monitoring in birds. Three primary metrics were established to assess the impact of IIT on vulnerable species: population demography, density, and geographic range. Each metric can be evaluated using multiple methods. This report reviews those methods, with emphasis on approaches supported by pre-IIT baseline data and compatible with a before-after control-impact (BACI) study design for evaluating population responses over time. Focal avian species were selected based on population size estimates, fecundity, and disease susceptibility. We identified ʻākohekohe (Palmeria dolei), ʻiʻiwi (Drepanis coccinea), Maui ʻalauahio (Paroreomyza montana), Hawaiʻi ʻamakihi (Chlorodrepanis virens), Kauaʻi ʻamakihi (Chlorodrepanis stejnegeri), Kauaʻi ʻelepaio (Chasiempis sclateri), and ʻanianiau (Magumma parva) as focal species for monitoring population level response to disease suppression. Populations of kiwikiu (Pseudonestor xanthophrys), ʻakikiki (Oreomystis bairdi), akekeʻe (Loxops caeruleirostris), and the ʻiʻiwi population on Kauaʻi may be too small (e.g., <100 individuals) to effectively monitor, and it is unlikely that sufficient data can be collected from these birds to show IIT efficacy in a relatively short time frame (i.e., 5–10 years). Despite the logistical challenges to IIT implementation, there is potential to maintain disease-free status in individual populations of birds. Indeed, the continued existence of these critically endangered species in the wild within or near IIT treatment areas could be considered an accomplishment of IIT, given the current predictions for their extinction in the wild within 5–10 years. Demographic monitoring methods, including territory mapping, nest monitoring, mist-netting, and mark-recapture studies, provide direct evidence of survivorship and reproductive output. When combined with disease surveillance, these approaches could provide the most robust evidence of increased survivorship and productivity resulting from avian malaria suppression via IIT. However, demographic studies require several years of monitoring to achieve statistically robust BACI comparisons of survivorship and are more difficult to implement relative to other approaches. Given that these field efforts are labor-intensive and heavily reliant on personnel availability and funding, demographic monitoring could be conducted when adequate resources permit. On both Maui and Kauaʻi, passive acoustic monitoring (PAM) was identified as a priority method for monitoring the range, occupancy, and relative abundance of focal species. Autonomous recording units (ARUs) can record bird vocalizations in remote areas for several months. Innovative machine learning techniques permit rapid and semi-autonomous identification of most endemic honeycreepers on each island, maximizing sampling efficiencies and minimizing data processing costs. We predict mosquito suppression could support expansion of focal species into areas where disease transmission is currently excluding these species and expect acoustic monitoring data of focal species to reflect these spatial patterns. Additionally, the relative occupancy and call densities can be monitored temporally and spatially to assess the efficacy of IIT for supporting positive growth in vulnerable bird species. It is not yet clear if PAM is more effective than other methods, such as distance sampling, for detecting trends in the densities of rare species. However, the increased detections resulting from the larger sample size per observation point using ARUs will likely improve accuracy in detecting changes in species’ ranges. Collection of during and after treatment data within the BACI design could help to provide critical information to track avian population response, recovery, and potential range expansion related to IIT efforts. Point-transect distance sampling (point-counts) was prioritized as a method for monitoring population densities of focal species. Extensive historical sampling across focal species’ ranges provides a robust baseline for detecting change. These counts provide updated population densities and can be used to assess the distribution of focal species within IIT treatment areas. However, detecting subtle population changes with traditional distance sampling requires intensive spatial and temporal effort and may be less effective for rare species. To improve resolution, density surface modeling can integrate multiple data sources (e.g., point-counts, PAM, spot-mapping, and resightings) to estimate species-specific densities at finer spatial scales, including within and outside IIT treatment areas. This integrated modeling approach allows for detailed comparisons and may reveal early signs of recovery, including recolonization of formerly occupied sites. A coordinated monitoring strategy can allow managers to evaluate the success of mosquito suppression as a conservation intervention and support adaptive management in the face of emerging challenges.

Hawaii↗

How hunters and non-hunters view barriers to allowing hunting access in an urban county

Barriers to allowing hunting of white-tailed deer ( Odocoileus virginianus ) on private land shape hunter recruitment, retention, and reactivation efficacy as well as the ability of wildlife management agencies to use hunting as a management tool. Understanding perceptions of these barriers is crucial in urbanizing landscapes where there are increased challenges to allowing hunting access, and deer may persist in relatively high numbers. We compared barriers to allowing hunting access on one’s property among hunters (n = 281) and non-hunters (n = 874) who did not have hunting occur on their property across urban, suburban, and rural groups in Durham County, North Carolina. (i.e., six groups). Rural landowners tended to perceive geographic barriers (e.g., property size) as less problematic than suburban and urban landowners, irrespective of personal participation in hunting, but landowners who hunted tended to view all barriers as less problematic than those who did not. Small property size, human population density, and housing density were viewed as important barriers to allowing hunting access for all groups, but suburban and urban non-hunters perceived the challenges as greater barriers compared to other groups. Conversely, the complexity of hunting regulations was viewed as a minor barrier to allowing hunting among all landowners. Safety concerns, not knowing other hunters, and disagreement with hunting as a practice showed the greatest contrasts between landowners who hunted and those who did not, with the latter group reporting the barriers as more important. Barriers to hunting identified in this study aligned with variables that predicted whether land is huntable (e.g., property size, housing density) in prior research. Our results indicate that developing public outreach highlighting hunting safety and creating landowner-hunter partnership programs may help facilitate hunting access in urbanizing areas.

North Carolina↗

A model for field toxicity tests

Toxicity tests conducted under field conditions present an interesting challenge for statistical modelling. In contrast to laboratory tests, the concentrations of potential toxicants are not held constant over the test. In addition, the number and identity of toxicants that belong in a model as explanatory factors are not known and must be determined through a model selection process. We present one model to deal with these needs. This model takes the record of mortalities to form a multinomial distribution in which parameters are modelled as products of conditional daily survival probabilities. These conditional probabilities are in turn modelled as logistic functions of the explanatory factors. The model incorporates lagged values of the explanatory factors to deal with changes in the pattern of mortalities over time. The issue of model selection and assessment is approached through the use of generalized information criteria and power divergence goodness-of-fit tests. These model selection criteria are applied in a cross-validation scheme designed to assess the ability of a model to both fit data used in estimation and predict data deleted from the estimation data set. The example presented demonstrates the need for inclusion of lagged values of the explanatory factors and suggests that penalized likelihood criteria may not provide adequate protection against overparameterized models in model selection.

Environmetrics↗

What is “natural”? : Yellowstone elk population - A case study

Ecology analyzes the structure and function of ecosystems at all points along the continuum of human disturbance, from so-called pristine forests to urban backyards. Undisturbed systems provide reference points at one end of the spectrum, and nature reserves and parks are highly valued because they can provide unique examples of such ecosystems. Unfortunately the concept of “natural” or pristine is not that easy to define. Indeed, although ecologists have considered pre-Columbian, western-hemisphere ecosystems to have been largely unaltered by human action, and have termed their state “natural” or “pristine,” evidence from archaeology challenges this view. U.S. and Canadian national parks are charged with preserving the “natural,” and thus need to be able to understand and manage for the “natural.” A pivotal “natural” question in Yellowstone National Park management is the size of the northern-range, wintering elk population at Park establishment in 1872, argued both to have been small and large. Integrating and quantifying several sources of evidence provides a consistent picture of a low population (ca. 5,000–6,000), largely migrating out of the northern range in winter, with little vegetation impact. If we accept this conclusion about what is natural for the Yellowstone ecosystem, then it dramatically alters how we view management alternatives for the Park, which currently supports a northern wintering herd of up to ˜ 25,000 elk.

Wyoming↗

Addressing a potential weakness in indices of predation, herbivory, and parasitism

Quantification of predation, herbivory, and parasitism is critical to understanding the dynamics and trophic interactions of populations in an ecosystem. Such quantification can be challenging if the availability or consumption of the taxa are difficult to assess. Sometimes the consumption of a single prey, forage, or host is used as an overall index of the predation, herbivory, or parasitism for a population of interest. Occasionally, human-manipulated baits are used to derive similar indices. However, all such indices are susceptible to influence by variation in the abundance of the preferred taxon relative to other taxa as the result of preference switching. In this article, I describe a test for preference switching (and an adjustment, if detected) that does not require availability and consumption of the prey (forage, or host) to be measured on the same scale. The ability to detect and adjust for preference switching in such situations may advance the understanding of biological preference in taxa not previously studied in this respect.

Population Ecology↗

A fresh perspective - Advancing fish immunotoxicology in a complex world

Understanding how environmental changes affect the health of organisms and ecosystems is complex, but recent interdisciplinary advances and the recognition of immune function as a dynamic mediator offer exciting progress. Environmental immunotoxicology in teleost fishes is evolving beyond cataloguing stressors towards a mechanistic, integrative framework that leverages omics, in vivo tracking and cross-disciplinary modelling. However, knowledge gaps in immune mechanisms, toxicokinetics and multi-stressor interactions remain. The present work highlights these gaps, advocating for immune function as both a mechanistic lens and an integrative health indicator. Such a framework can improve predictive risk assessments, management strategies and our understanding of contaminant effects on resilience, disease susceptibility and population viability. While challenges remain, the field is poised for significant growth through collaborative innovation and advancing technology.

FEBS Letters↗

Working with strainmeter data

The Plate Boundary Observatory (PBO), the geodetic component of the U.S. National Science Foundation–funded Earthscope program, includes 75 borehole and 6 laser strainmeters ( http://pbo.unavco.org ). The strainmeters are installed at several locations: on the Cascadia forearc in Washington state and on Vancouver Island, Canada; in arrays of two to nine instruments along the North American–Pacific plate boundary in California; at Mount St. Helens; and in Yellowstone National Park. For deformation signals seconds to weeks in duration, strainmeters have a resolution and a signal-to-noise ratio superior to those of seismometers and GPS. However, this high sensitivity can introduce nontectonic signals into strain data, presenting data interpretation challenges, especially for borehole strainmeters.

Eos, Earth and Space Science News↗