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Identification of conservation and restoration priority areas in the Danube River based on the multi-functionality of river-floodplain systems

Large river-floodplain systems are hotspots of biodiversity and ecosystem services but are also used for multiple human activities, making them one of the most threatened ecosystems worldwide. There is wide evidence that reconnecting river channels with their floodplains is an effective measure to increase their multi-functionality, i.e., ecological integrity, habitats for multiple species and the multiple functions and services of river-floodplain systems, although, the selection of promising sites for restoration projects can be a demanding task. In the case of the Danube River in Europe, planning and implementation of restoration projects is substantially hampered by the complexity and heterogeneity of the environmental problems, lack of data and strong differences in socio-economic conditions as well as inconsistencies in legislation related to river management. We take a quantitative approach based on best-available data to assess biodiversity using selected species and three ecosystem services (flood regulation, crop pollination , and recreation), focused on the navigable main stem of the Danube River and its floodplains. We spatially prioritize river-floodplain segments for conservation and restoration based on (1) multi-functionality related to biodiversity and ecosystem services, (2) availability of remaining semi-natural areas and (3) reversibility as it relates to multiple human activities (e.g. flood protection, hydropowerand navigation). Our approach can thus serve as a strategic planning tool for the Danube and provide a method for similar analyses in other large river-floodplain systems.

Danube River↗

The interactive effects of UV-B and insecticide exposure on tadpole survival, growth and development

Because declines within amphibian populations can seldom be attributed to a single cause, it is important to focus on multiple stressors, both natural and anthropogenic. Variables such as UV-B radiation and chemical contamination can interact with one another in ways that might not be predicted from single-factor studies. We exposed southern leopard frog (Rana sphenocephala) tadpoles to the insecticide carbaryl and varying intensities of UV-B radiation in artificial ponds and examined their effects on survival, size at metamorphosis, and the duration of the larval period. Tadpole survival to metamorphosis was positively influenced by UV-B intensity. Tadpoles in ponds exposed to carbaryl contained over three times more algae and yielded larger metamorphs than control ponds. Although previous laboratory studies have indicated carbaryl becomes more toxic in the presence of UV-B, we did not find such an effect, perhaps because of the protection afforded by dissolved organic carbon within the ponds. Our research emphasizes the importance of conducting field studies to more accurately predict what occurs under a natural setting. Published by Elsevier Science Ltd.

Biological Conservation↗

Landowner and practitioner perspectives on private land conservation programs

Efforts to reverse declines in native grasslands benefit from agricultural policies that encourage private land conservation. The U.S. Department of Agriculture’s Conservation Reserve Program (CRP) improved conservation across landscapes but enrollment has declined. We used sequential exploratory mixed methods to compare landowner and conservation practitioners’ perceptions, evaluate perceived benefits, and identify potential improvements to CRP. Focus groups of practitioners informed a quantitative survey of landowners who had properties >160 total acres in Nebraska. Results suggest potential misalignment in perceptions between practitioners and landowners. Practitioners were concerned that conservation, especially of wildlife, was secondary to profit. But the majority of landowners valued CRP-related ecosystem services, including native pollinators. Practitioners posited that younger landowners were primarily profit motivated, but CRP enrollment did not differ by demographics. Practitioners and landowners identified rule complexity as a major challenge and practitioner–landowner relationships as critical to success. Findings suggest that practitioners may underestimate non-economic motivations and illuminate opportunities to encourage private land conservation.

Nebraska↗

Dissolved organic matter in the Florida everglades: Implications for ecosystem restoration

Dissolved organic matter (DOM) in the Florida Everglades controls a number of environmental processes important for ecosystem function including the absorption of light, mineral dissolution/precipitation, transport of hydrophobic compounds (e.g., pesticides), and the transport and reactivity of metals, such as mercury. Proposed attempts to return the Everglades to more natural flow conditions will result in changes to the present transport of DOM from the Everglades Agricultural Area and the northern conservation areas to Florida Bay. In part, the restoration plan calls for increasing water flow throughout the Everglades by removing some of the manmade barriers to flow in place today. The land- and water-use practices associated with the plan will likely result in changes in the quality, quantity, and reactivity of DOM throughout the greater Everglades ecosystem. The authors discuss the factors controlling DOM concentrations and chemistry, present distribution of DOM throughout the Everglades, the potential effects of DOM on key water-quality issues, and the potential utility of dissolved organic matter as an indicator of success of restoration efforts.

Florida↗

Epigenetics in captivity: Restoring wild phenotypes in captive-reared salmonids

Captive rearing is a common practice for the stocking, conservation, and supplementation of fish species worldwide, but captive-reared fish can exhibit altered phenotypes leading to reduced fitness in nature compared to wild conspecifics. In salmonids, certain studies have found limited genetic differentiation between wild and captive-reared fish. However, documented changes in gene expression in hatchery fish have led scientists to investigate epigenetic mechanisms, such as DNA methylation, as a source of these differences. In this binational collaborative piece, we synthesize the knowledge and efforts of academics and government scientists to highlight how interactions between captive rearing and the epigenome elicit parallel phenotypic changes across salmonid species. We examine the known and potential links between DNA methylation and the phenotypic effects of captive rearing including changes in behavior, color, gut microbiomes, and developmental abnormalities. We review efforts to minimize these phenotypic and epigenetic effects including attempts to modify the hatchery environment and rearing protocols. We provide a framework to integrate epigenetic considerations into hatchery rearing protocols by weighing the heritable nature of DNA methylation with the goals of different captive rearing programs and explore whether minimizing the phenotypic and epigenetic effects of captive rearing is worthwhile. We examine heritability and persistence of epigenetic effects, and we propose the exploitation of heritable bet-hedging as an epigenetic buffer to increase post-release survival. We also suggest novel applications of epigenomic biomarkers as a non-lethal method for post-release monitoring. Ultimately, collaborative multi-disciplinary research across species is needed to understand the comprehensive effects of captive rearing, reduce the ecological impacts of captive fish in the wild, and increase population resilience. Integrating epigenetics into fish hatchery management will provide new opportunities for optimizing and improving captive rearing.

Evolutionary Applications↗

Does avian species richness in natural patch mosaics follow the forest fragmentation paradigm?

As one approaches the north-eastern limit of pinyon (Pinus spp.) juniper (Juniperus spp.) vegetation on the Colorado Plateau, USA, woodland patches become increasingly disjunct, grading into sagebrush (Artemisia spp.)-dominated landscapes. Patterns of avian species richness in naturally heterogeneous forests may or may not respond to patch discontinuity in the same manner as bird assemblages in fragmented agricultural systems. We used observational data from naturally patchy woodlands and predictions derived from studies of human-modified agricultural forests to estimate the effects of patch area, shape, isolation and distance to contiguous woodland on avian species richness. We predicted that patterns of species richness in naturally patchy juniper woodlands would differ from those observed in fragmented agricultural systems. Our objectives were to (1) estimate the effect of naturally occurring patch structure on avian species richness with respect to habitat affinity and migratory strategy and (2) assess the concordance of the effects to predictions from agricultural forest systems. We used the analogy between populations and communities to estimate species richness, where species are treated as individuals in the application of traditional capture-recapture theory. Information-theoretic model selection showed that overall species richness was explained primarily by the species area relationship. There was some support for a model with greater complexity than the equilibrium theory of island biogeography where the isolation of large patches resulted in greater species richness. Species richness of woodland-dwelling birds was best explained by the equilibrium hypothesis with partial landscape complementation by open-country species in isolated patches. Species richness within specific migratory strategies showed concomitant increases and no shifts in species composition along the patch area gradient. Our results indicate that many patterns of species richness considered to be fragmentation effects may be general consequences of patch discontinuity and are ubiquitous in naturally heterogeneous systems. There was no evidence for the effects of patch shape and distance to contiguous woodland in juniper woodland, suggesting edge effects and dependence upon regional species pools are characteristics of fragmented agricultural systems. Natural patch mosaics may provide benchmarks for evaluating fragmentation effects and managing forests by mimicking natural landscape patterns. ?? 2007 The Zoological Society of London.

Animal Conservation↗

No evidence of critical slowing down in two endangered Hawaiian honeycreepers

There is debate about the current population trends and predicted short-term fates of the endangered forest birds, Hawai`i Creeper ( Loxops mana ) and Hawai`i `Ākepa ( L . coccineus ). Using long-term population size estimates, some studies report forest bird populations as stable or increasing, while other studies report signs of population decline or impending extinction associated with introduced Japanese White-eye ( Zosterops japonicus ) increase. Reliable predictors of impending population collapse, well before the collapse begins, have been reported in simulations and microcosm experiments. In these studies, statistical indicators of critical slowing down, a phenomenon characterized by longer recovery rates after population size perturbation, are reported to be early warning signals of an impending regime shift observable prior to the tipping point. While the conservation applications of these metrics are commonly discussed, early warning signal detection methods are rarely applied to population size data from natural populations, so their efficacy and utility in species management remain unclear. We evaluated two time series of state-space abundance estimates (1987–2012) from Hakalau Forest National Wildlife Refuge, Hawai`i to test for evidence of early warning signals of impending population collapse for the Hawai`i Creeper and Hawai`i `Ākepa. We looked for signals throughout the time series, and prior to 2000, when white-eye abundance began increasing. We found no evidence for either species of increasing variance, autocorrelation, or skewness, which are commonly reported early warning signals. We calculated linear rather than ordinary skewness because the latter is biased, particularly for small sample sizes. Furthermore, we identified break-points in trends over time for both endangered species, indicating shifts in slopes away from strongly increasing trends, but they were only weakly supported by Bayesian change-point analyses (i.e., no step-wise changes in abundance). The break-point and change-point test results, in addition to the early warning signal analyses, support that the two populations do not appear to show signs of critical slowing down or decline.

Hawai'i↗

Estimating rates of local species extinction, colonization and turnover in animal communities

Species richness has been identified as a useful state variable for conservation and management purposes. Changes in richness over time provide a basis for predicting and evaluating community responses to management, to natural disturbance, and to changes in factors such as community composition (e.g., the removal of a keystone species). Probabilistic capture-recapture models have been used recently to estimate species richness from species count and presence-absence data. These models do not require the common assumption that all species are detected in sampling efforts. We extend this approach to the development of estimators useful for studying the vital rates responsible for changes in animal communities over time; rates of local species extinction, turnover, and colonization. Our approach to estimation is based on capture-recapture models for closed animal populations that permit heterogeneity in detection probabilities among the different species in the sampled community. We have developed a computer program, COMDYN, to compute many of these estimators and associated bootstrap variances. Analyses using data from the North American Breeding Bird Survey (BBS) suggested that the estimators performed reasonably well. We recommend estimators based on probabilistic modeling for future work on community responses to management efforts as well as on basic questions about community dynamics.

Ecological Applications↗

Riparian vegetation response to the March 2008 short-duration, High-Flow Experiment— Implications of timing and frequency of flood disturbance on nonnative plant establishment along the Colorado River below Glen Canyon Dam

Riparian plant communities exhibit various levels of diversity and richness. These communities are affected by flooding and are vulnerable to colonization by nonnative species. Since 1996, a series of three high-flow experiments (HFE), or water releases designed to mimic natural seasonal flooding, have been conducted at Glen Canyon Dam, Ariz., primarily to determine the effectiveness of using high flows to conserve sediment, a limited resource. These experiments also provide opportunities to examine the susceptibility of riparian plant communities to nonnative species invasions. The third and most recent HFE was conducted from March 5 to 9, 2008, and scientists with the U.S. Geological Survey's Grand Canyon Monitoring and Research Center examined the effects of high flows on riparian vegetation as part of the overall experiment. Total plant species richness, nonnative species richness, percent plant cover, percent organic matter, and total carbon measured from sediment samples were compared for Grand Canyon riparian vegetation zones immediately following the HFE and 6 months later. These comparisons were used to determine if susceptibility to nonnative species establishment varied among riparian vegetation zones and if the timing of the HFE affected nonnative plant establishment success. The 2008 HFE primarily buried vegetation rather than scouring it. Percent nonnative cover did not differ among riparian vegetation zones; however, in the river corridor affected by Glen Canyon Dam operations, nonnative species richness showed significant variation. For example, species richness was significantly greater immediately after and 6 months following the HFE in the hydrologic zone farthest away from the shoreline, the area that represents the oldest riparian zone within the post-dam riparian area. In areas closer to the river channel, tamarisk (Tamarix ramosissima X chinensis) seedling establishment occurred (<2 percent cover) in 2008 but not to the extent reported in either 2000, a year when experimental summer flows coincided with tamarisk seed production, or in 1986, a year following several years of sustained flooding. The results from the 2008 HFE suggest that riparian vegetation zones subject to intermittent disturbance and near the river under normal dam operations are more susceptible to nonnative species introductions following a disturbance. This study also finds that the timing of an HFE affects the types of species that can become established. For example, HFEs conducted in March are associated with reduced tamarisk seedling establishment compared to disturbances later in the season. Additionally, early season, short-duration flooding that results in vegetation burial may favor clonal species. Along the Colorado River many of these clonal species are native; these species include arrowweed (Pluchea sericea), coyote willow (Salix exigua), and rivercane (Phragmites australis).

Arizona, Nevada↗

Nebraska water data programs for 1978

Projects of the Water Resources Division, U.S. Geological Survey, and of State agencies represented by members of the Nebraska Water Data Coordinating Committee are described. The committee members represent the Nebraska Department of Water Resources, Nebraska Department of Environmental Control, Nebraska Department of Health, Conservation and Survey Division of the University of Nebraska-Lincoln, Nebraska Water Resources Center of the University of Nebraska, Nebraska Natural Resources Commission, and Nebraska Game and Parks Commission. Current measuring sites are listed. Indexes to streamflow records and flood-prone area maps and a list of recently published reports also are included. Sources of water-related information are given with names, addresses, and telephone numbers.

Nebraska↗

Land use, population dynamics, and land-cover change in eastern Puerto Rico: Chapter B in Water quality and landscape processes of four watersheds in eastern Puerto Rico

We assessed current and historic land use and land cover in the Luquillo Mountains and surrounding area in eastern Puerto Rico, including four small subwatersheds that are study watersheds of the U.S. Geological Survey's Water, Energy, and Biogeochemical Budgets (WEBB) program. This region occupies an area of 1,616 square kilometers, about 18 percent of the total land in Puerto Rico. Closed forests occupy about 37 percent of the area, woodlands and shrublands 7 percent, nonforest vegetation 43 percent, urban development 10 percent, and water and natural barrens total less than 2 percent. The area has been classified into three main land-use categories by integrating recent census information (population density per barrio in the year 2000) with satellite image analyses (degree of developed area versus natural land cover). Urban land use (in this analysis, land with more than 20 percent developed cover within a 1-square-kilometer area and population density greater than 500 people per square kilometer) covered 16 percent of eastern Puerto Rico. Suburban land use (more than 80 percent natural land cover, more than 500 people per square kilometer, and primarily residential) covers 50 percent of the area. Rural land use (more than 80 percent natural land cover, less than 500 people per square kilometer, and primarily active or abandoned agricultural, wetland, steep slope, or protected conservation areas) covered 34 percent of the area. Our analysis of land-cover change indicates that in the 1990s, forest cover increased at the expense of woodlands and grasslands. Urban development increased by 16 percent during that time. The most pronounced change in the last seven decades has been the shift from a nonforested to a forested landscape and the intensification of the ring of urbanization that surrounds the long-protected Luquillo Experimental Forest.

Professional Paper↗

Ground-Water Nutrient Flux to Coastal Waters and Numerical Simulation of Wastewater Injection at Kihei, Maui, Hawaii

Water sampling and numerical modeling were used to estimate ground-water nutrient fluxes in the Kihei area of Maui, where growth of macroalgae (seaweed) on coral reefs raises ecologic concerns and accumulation on beaches has caused odor and removal problems. Fluxes and model results are highly approximate, first-order estimates because very few wells were sampled and there are few field data to constrain model calibration. Ground-water recharge was estimated to be 22.6 Mgal/d (million gallons per day) within a 73-square-mile area having a coastline length of 8 miles or 13 km (kilometers). Nearly all of the recharge discharges at the coast because ground-water withdrawals are small. Another 3.0 Mgal/d of tertiary-treated wastewater effluent is injected into the regional aquifer at a County treatment plant midway along the coast and about a mile from shore. The injection plume is 0.93 miles wide (1.5 km) at the shore, as estimated from a three-dimensional numerical ground-water model. Wastewater injected beneath the brackish ground-water lens rises buoyantly and spreads out at the top of the lens, diverting and mixing with ambient ground water. Ground water discharging from the core of the injection plume is less than 5 years old and is about 60 percent effluent at the shore, according to the model. Dissolved nitrogen and phosphorus concentrations in treated effluent were 7.33 and 1.72 milligrams per liter, roughly 6 and 26 times background concentrations at an upgradient well. Background nitrogen and phosphorus fluxes carried by ground water are 7.7 and 0.44 kg/d-km (kilograms per day per kilometer of coast). Injected wastewater fluxes distributed across the plume width are 55 and 13 kg/d-km nitrogen and phosphorus, roughly 7 and 30 times background flux. However, not all of the injected load reaches coastal waters because nutrients are naturally attenuated in the oxygen-depleted effluent plume. Water from a downgradient well reflects this attenuation and provides a more conservative estimate of injection flux approaching the shore: 27 and 1.5 kg/d-km nitrogen and phosphorus, roughly one-half and one-ninth the injection-source estimates, and 3.5 and 3.4 times background flux. Effluent has 8 O and 2 H stable-isotope signatures that are distinct from local ground water, as well as 15 N and 11 B signatures diagnostic of domestic waste and laundry detergents, respectively. Pharmaceuticals and organic wastewater compounds also were present in effluent and the downgradient well. These isotopes and chemicals served as wastewater tracers in Kihei ground water and may be useful tracers in nearshore marine waters and aquifers elsewhere in Hawaii.

Scientific Investigations Report↗

Sea lamprey mark type, wounding rate, and parasite-host preference and abundance relationships for lake trout and other species in Lake Ontario

We examined how the frequency of attacks by Sea Lamprey on fishes in Lake Ontario varied in response to Sea Lamprey abundance and preferred host abundance (Lake Trout >432mm). For this analysis we assembled seven data sets. Two fishery independent surveys for Lake Trout: US Geological Survey (USGS)/New York State Department of Environmental Conservation (NYSDEC) south shore September gillnet assessment of adult Lake Trout (USGS/NYSDEC SGNS)( Lantry and Lantry 2011); and Ontario Ministry of Natural Resources (OMNR) monthly June-November community index gillnetting in northeastern Lake Ontario (OMNR CIS) (Ontario Ministry of Natural Resources 2011). One angler survey: NYSDEC April-September Fishing Boat Survey data collected along the south shore for Chinook and Coho salmon, and Rainbow and Brown trout (NYSDEC FBS) ( Lantry and Eckert 2012). Two spawning run datasets: OMNR north shore data including spring spawning runs of Rainbow Trout in the Ganaraska River and electroshocking data for fall spawning runs of Chinook and Coho salmon in the Credit River (Ontario Ministry of Natural Resources 2011); and NYSDEC data from the Salmon River on the southeastern shore including October spawning runs of Chinook and Coho salmon. One Sea Lamprey spawning survey: Department of Fisheries and Oceans Canada (DFO)/US Fish and Wildlife Service (USFWS) data for spawning-phase Sea Lamprey abundance collected from known spawning streams distributed throughout the Lake Ontario drainage basin (Mullet et al. 2003). One assessment of the abundance of dead Lake Trout: USGS/NYSDEC October-November bottom trawl collection of Lake Trout carcasses (Schneider et al. 1996). Annual patterns in A1, A2 and A3 wound stages did not track well in plots of wounding rates for the USGS/NYSDEC SGNS and correlations between A1 and later stages did not exist. A1 rates were not correlated to either Lake Trout abundance or Sea Lamprey numbers when considered alone, but were strongly correlated to the ratio between Sea Lamprey numbers and Lake Trout abundance (parasite/host ratio). While A2 and A3 rates were correlated to each other, neither was consistently correlated to any of the Lake Trout abundance or Sea Lamprey abundance parameters and sums of A1 to A3 rates did not improve correlations over those for A1 rates considered alone. Our analysis of the strain-specific susceptibility of Lake Trout to attack by Sea Lampreys extended the previous Schneider et al. (1996) analysis of three strains (SUP, CWL, and SEN) and 11 years of data 1982-1992 to an analysis of seven strains (SUP, CWL, SEN, JEN, LEW, ONT, and OXS) and two groups of unmarked fish (1983-1995 and 1996-2010) and included 18 more years of data through 2010. The susceptibility to attack for CWLs and SENs were below SUPs and nearly identical to the earlier values, new values for LEWs were greater than SUPS and values of unmarked Lake Trout prior to 1996 were unexpectedly greater than SUPs. By reexamining the Schneider et al. (1996) regression relationship between A1 wounding on Lake Trout and the incidence of Lake Trout carcasses recovered in fall bottom trawls (including three additional years of data), and substituting A1 wounding rate for total numbers of A1s observed which was used as the independent variable in the previous version, we were able to increase the variance explained by the relationship from an r2 of 0.60 to 0.88. Healing rate of wounds was explored by examining the monthly incidence of A1 and A2 wounds on Lake Trout from the OMNR CIS. Because wounding intensity varied between years and monthly sample size was frequently low, the ratio of A2 to A1s wounds was used to index how wounds accumulated or disappeared from the Lake Trout populations across seasons. The A2/A1 ratio decreased between June/July and October. A simple wounding model for Lake Trout was constructed to simulate the pattern of ratios by inflicting wounds on the population each month according to a predetermined distribution and including parameters for lethality (fixed distribution) and healing rate of A1 and A2 wounds (discretely varied between simulations). The best simulated representation (ratio size and monthly pattern) of the OMNR CIS data came from an A1 healing rate of 0.5 months and an A2 rate of 2 months. To examine whether alternate hosts provided reliable data to index damage caused by Sea Lampreys we compared September values of abundance and A1 wounding rates on Lake Trout, Sea Lamprey abundance, and the parasite/host ratio with NYSDEC Creel data for observations of Sea lampreys attached to sport-caught salmonids and to wounding observations for salmonids sampled in OMNR and NYSDEC spawning run assessments. Attachment frequency on NYSDEC Creel Chinook Salmon, Brown Trout, and Rainbow Trout were strongly correlated to all measures of Lake Trout abundance and wounding and to the parasite/host ratio. Chinook Salmon and Coho Salmon wounding observations for the NYSDEC Salmon River spawning run assessments and Rainbow Trout from the OMNR Ganaraska River spawning run assessment were strongly correlated to wounding measures for nearly all salmonids and to the parasite/host ratio.

Lake Ontario↗

Gulf Coast vulnerability assessment: Mangrove, tidal emergent marsh, barrier islands and oyster reef

Climate, sea level rise, and urbanization are undergoing unprecedented levels of combined change and are expected to have large effects on natural resources—particularly along the Gulf of Mexico coastline (Gulf Coast). Management decisions to address these effects (i.e., adaptation) require an understanding of the relative vulnerability of various resources to these stressors. To meet this need, the four Landscape Conservation Cooperatives along the Gulf partnered with the Gulf of Mexico Alliance to conduct this Gulf Coast Vulnerability Assessment (GCVA). Vulnerability in this context incorporates exposure and sensitivity to threats (potential impact), coupled with the adaptive capacity to mitigate those threats. Potential impact and adaptive capacity reflect natural history features of target species and ecosystems. The GCVA used an expert opinion approach to qualitatively assess the vulnerability of four ecosystems: mangrove, oyster reef, tidal emergent marsh, and barrier islands, and a suite of wildlife species that depend on them. More than 50 individuals participated in the completion of the GCVA, facilitated via Ecosystem and Species Expert Teams. Of the species assessed, Kemp’s ridley sea turtle was identified as the most vulnerable species across the Gulf Coast. Experts identified the main threats as loss of nesting habitat to sea level rise, erosion, and urbanization. Kemp’s ridley also had an overall low adaptive capacity score due to their low genetic diversity, and higher nest site fidelity as compared to other assessed species. Tidal emergent marsh was the most vulnerable ecosystem, due in part to sea level rise and erosion. In general, avian species were more vulnerable than fish because of nesting habitat loss to sea level rise, erosion, and potential increases in storm surge. Assessors commonly indicated a lack of information regarding impacts due to projected changes in the disturbance regime, biotic interactions, and synergistic effects in both the species and habitat assessments. Many of the assessors who focused on species also identified data gaps regarding genetic information, phenotypic plasticity, life history, and species responses to past climate change and sea level rise. Regardless of information gaps, the results from the GCVA can be used to inform Gulf-wide adaptation plans. Given the scale of climatic impacts, coordinated efforts to address Gulf-wide threats to species and ecosystems will enhance the effectiveness of management actions and also have the potential to maximize the efficacy of limited funding.

Alabama, Florida, Louisiana, Mississippi, Texas↗

Conserving transboundary wildlife migrations: Recent insights from the Greater Yellowstone Ecosystem

Animal migrations are ecologically, culturally, and economically important. Ungulate populations in many parts of Africa, Asia, Europe, and the Americas migrate long distances to access seasonally available resources, traversing vast landscapes in large numbers. Yet some migrations are declining, raising concerns among scientists and natural resource managers. We synthesize recent advances in ungulate migration ecology with relevance to management and policy. Using case studies from the Greater Yellowstone Ecosystem (GYE), we show how new tools can be applied to map ungulate migrations and assess threats across multiple seasonal habitats, serving as a conservation roadmap. To help conserve ungulate migrations, we also propose a transboundary science, policy, and management framework that could be adapted beyond the GYE and that encompasses the needs of multiple species. The key elements of this framework consist of more widespread mapping and assessment of migrations, improved federal and state coordination across jurisdictional lines, increased investment in private land conservation, and strong engagement of local stakeholders positioned to sustain conservation activities over the long term.

Idaho, Montana, Wyoming↗

Condition bias of decoy-harvested light geese during the conservation order

Evidence that decoy harvest techniques primarily remove individuals of poorer body condition is well established in short-lived duck species; however, there is limited support for condition bias in longer-lived waterfowl species, such as geese, where decoy harvest is considered primarily additive because of their high natural survival rates. We evaluated support for the harvest condition bias hypothesis of 2 long-lived waterfowl species, the lesser snow goose ( Anser caerulescens caerulescens ) and Ross's goose ( Anser rossii ). We used proximate analysis to quantify lipid and protein content of lesser snow and Ross's geese collected during the Light Goose Conservation Order (LGCO) in 2015 and 2016 during spring migration in Arkansas, Missouri, Nebraska, and South Dakota, USA. In each state, LGCO participants collected birds using traditional decoy techniques and we collected birds from the general population using jump-shooting tactics. Total body lipid content in both lesser snow and Ross's geese varied with age, region of harvest, and harvest type (decoy or jump-shooting). On average, adult lesser snow and Ross's geese harvested over decoys had 60 g and 41 g, respectively, fewer lipids than conspecifics collected using jump-shooting. We observed lower lipid reserves in decoy-shot geese in all 4 states sampled despite general gains in lipid reserves as migration chronology progressed. Our data support that the harvest condition bias extends to longer-lived waterfowl species and during a life-history event (spring migration) in which harvest is not normally observed. In the case of overabundant light geese, the disproportionate harvest of poorer-conditioned lesser snow and Ross's geese may serve as an additional challenge against any realized effects of harvest to reduce the population, in addition to extremely low harvest rates.

Arkansas, Missouri, Nebraska, South Dakota↗

The Gulf Coast Vulnerability Assessment: Mangrove, Tidal Emergent Marsh, Barrier Islands, and Oyster Reef

Climate, sea level rise, and urbanization are undergoing unprecedented levels of combined change and are expected to have large effects on natural resources&mdash;particularly along the Gulf of Mexico coastline (Gulf Coast). Management decisions to address these effects (i.e., adaptation) require an understanding of the relative vulnerability of various resources to these stressors. To meet this need, the four Landscape Conservation Cooperatives along the Gulf partnered with the Gulf of Mexico Alliance to conduct this Gulf Coast Vulnerability Assessment (GCVA). Vulnerability in this context incorporates the aspects of exposure and sensitivity to threats, coupled with the adaptive capacity to mitigate those threats. Potential impact and adaptive capacity reflect natural history features of target species and ecosystems. The GCVA used an expert opinion approach to qualitatively assess the vulnerability of four ecosystems: mangrove, oyster reef, tidal emergent marsh, and barrier islands, and a suite of wildlife species that depend on them. More than 50 individuals participated in the completion of the GCVA, facilitated via Ecosystem and Species Expert Teams. Of the species assessed, Kemp&rsquo;s ridley sea turtle was identified as the most vulnerable species across the Gulf Coast. Experts identified the main threats as loss of nesting habitat to sea level rise, erosion, and urbanization. Kemp&rsquo;s ridley also had an overall low adaptive capacity score due to their low genetic diversity, and higher nest site fidelity as compared to other assessed species. Tidal emergent marsh was the most vulnerable ecosystem, due in part to sea level rise and erosion. In general, avian species were more vulnerable than fish because of nesting habitat loss to sea level rise, erosion, and potential increases in storm surge. Assessors commonly indicated a lack of information regarding impacts due to projected changes in the disturbance regime, biotic interactions, and synergistic effects in both the species and habitat assessments. Many of the assessors who focused on species also identified data gaps regarding genetic information, phenotypic plasticity, life history, and species responses to past climate change and sea level rise. Regardless of information gaps, the results from the GCVA can be used to inform Gulf-wide adaptation plans. Given the scale of climatic impacts, coordinated efforts to address Gulf-wide threats to species and ecosystems will enhance the effectiveness of management actions and also have the potential to maximize the efficacy of limited funding.

Report↗

Effects of produced waters at oilfield production sites on the Osage Indian Reservation, northeastern Oklahoma

The authors conducted limited site surveys in the Wildhorse and Burbank oilfields on the Osage Indian Reservation, northeastern Oklahoma. The purpose was to document salt scarring, erosion, and soil and water salinization, to survey for radioactivity in oilfield equipment, and to determine if trace elements and naturally occurring radioactive materials (NORM) were present in soils affected by oilfield solid waste and produced waters. These surveys were also designed to see if field gamma spectrometry and field soil conductivity measurements were useful in screening for NORM contamination and soil salinity at these sites. Visits to oilfield production sites in the Wildhorse field in June of 1995 and 1996 confirmed the presence of substantial salt scarring, soil salinization, and slight to locally severe erosion. Levels of radioactivity on some oil field equipment, soils, and road surfaces exceed proposed state standards. Radium activities in soils affected by tank sludge and produced waters also locally exceed proposed state standards. Laboratory analyses of samples from two sites show moderate levels of copper, lead, and zinc in brine-affected soils and pipe scale. Several sites showed detectable levels of bromine and iodine, suggesting that these trace elements may be present in sufficient quantity to inhibit plant growth. Surface waters in streams at two sampled sites exceed total dissolved solid limits for drinking waters. At one site in the Wildhorse field, an EM survey showed that saline soils in the upper 6m extend from a surface salt scar downvalley about 150 m. (Photo [95k]: Dead oak trees and partly revegetated salt scar at Site OS95-2 in the Wildhorse field, Osage County, Oklahoma.) In the Burbank field, limited salt scarring and slight erosion occurs in soils at some sites and low to moderate levels of radioactivity were observed in oil field equipment at some sites. The levels of radioactivity and radium observed in some soils and equipment at these sites are above levels of concern as defined in regulations proposed by the Conference of Radiation Control Program Directors. The volumes of material involved appear to be relatively small for most sites. The lead levels observed in soils affected by tank sludge wastes are about one half of the US Environmental Protection Agency (USEPA) interim remedial action levels used for Comprehensive Environmental Response, Compensation, and Liability Act (CERCLA) and Resource Conservation and Recovery Act (RCRA) sites (400 ppm). Field gamma spectrometry proved useful in delineating areas where radium has been added to the natural soil by oilfield solid waste and produced water, although the technique does not meet standards of assessment used in the state of Louisiana which require core sampling of 15 cm intervals and radiochemical analysis in the laboratory. Further work is needed to develop field gamma spectrometry as a substitute for the more expensive coring and laboratory analysis. The ratio of radium-228 to radium-226 may hold promise in evaluating the relative ages of NORM contamination at a site.

Oklahoma↗