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At least 1,225 records · Page 68Linked to original sources

Towards sustainable management of huntable migratory waterbirds in Europe

The EU Birds Directive and the African-Eurasian Waterbird Agreement provide an adequate legal framework for sustainable management of migratory waterbird populations. The main shortcoming of both instruments is that it leaves harvest decisions of a shared resource to individual Member States and Contracting Parties without providing a shared information base and mechanism to assess the impact of harvest and coordinate actions in relation to mutually agreed objectives. A recent update of the conservation status of waterbirds in the EU shows that almost half of the populations of species listed on Annex II of the Birds Directive have a declining short-term trend and over half of them are listed in Columns A and B of AEWA. This implies that their hunting could either only continue under the framework of an adaptive harvest management plan or their hunting should be regulated with the view of restoring them in favourable conservation status. We argue that a structured approach to decision-making (such as adaptive management) is needed, supported with adequate organisational structures at flyway scale. We review the experience with such an approach in North America and assess the applicability of a similar approach in the European context. We show there is no technical reason why adaptive harvest management could be not applied in the EU or even AEWA context. We demonstrate that an informed approach to setting allowable harvests does not require detailed demographic information. Essential to the process, however, are estimates of either the observed growth rate from a monitoring program or the growth rate expected under ideal conditions. In addition, periodic estimates of population size are needed, as well as either empirical information or reasonable assumptions about the form of density dependence. We show that such information exists for many populations, but improvements are needed to improve geographic coverage, reliability and timely data availability. We highlight the importance of the International Waterbird Census and specialised goose and seaduck monitoring in estimating population sizes and observed growth rate of the populations. We encourage further investments into the development of these schemes. We also recognise the importance of migration studies to improve our understanding of delineations of populations. We also highlight that, with a few exceptions, the available data does not allow the European Commission, competent authorities of the Members States or other AEWA Contracting Parties to assess levels of harvest and their sustainability and, therefore, regulate hunting accordingly. Therefore, we recommend that annual reporting on 2 harvest levels of waterbird populations would be gradually introduced in the EU and the AEWA region. We propose that future AEWA and EU action plans and management plans for Annex II species should apply the principles of adaptive harvest management framework and make provisions for setting up adequate monitoring and information management systems and organisational structures to manage the decision-making process. We suggest that internationally coordinated management structures are established to facilitate dialogue, learning and communication between stakeholders with different interests and cultural backgrounds.

Report↗

Habitat heterogeneity, temperature, and primary productivity drive elevational gradients in avian species diversity

Aim Anticipating and mitigating the impacts of climate change on species diversity in montane ecosystems requires a mechanistic understanding of drivers of current patterns of diversity. We documented the shape of elevational gradients in avian species richness in North America and tested a suite of a priori predictions for each of five mechanistic hypotheses to explain those patterns. Location United States Methods We used predicted occupancy maps generated from species distribution models for each of 646 breeding birds to document elevational patterns in avian species richness across the six largest U.S. mountain ranges. We used spatially explicit biotic and abiotic data to test five mechanistic hypotheses proposed to explain geographic variation in species richness. Results Elevational gradients in avian species richness followed a consistent pattern of low elevation plateau-mid-elevation peak (as per McCain, 2009). We found support for three of the five hypotheses to explain the underlying cause of this pattern: the habitat heterogeneity, temperature, and primary productivity hypotheses. Main Conclusions Species richness typically decreases with elevation, but the primary cause and precise shape of the relationship remain topics of debate. We used a novel approach to study the richness-elevation relationship and our results are unique in that they show a consistent relationship between species richness and elevation among 6 mountain ranges, and universal support for three hypotheses proposed to explain the underlying cause of the observed relationship. Taken together, these results suggest that elevational variation in food availability may be the ecological process that best explains elevational gradients in avian species richness in North America. Although much attention has focused on the role of abiotic factors, particularly temperature, in limiting species’ ranges, our results offer compelling evidence that other processes also influence (and may better explain) elevational gradients in species richness.

Ecology and Evolution↗

Testing the use of bulk organic δ 13 C, δ 15 N, and C org :N tot ratios to estimate subsidence during the 1964 great Alaska earthquake

During the M w 9.2 1964 great Alaska earthquake, Turnagain Arm near Girdwood, Alaska subsided 1.7 ± 0.1 m based on pre- and postearthquake leveling. The coseismic subsidence in 1964 caused equivalent sudden relative sea-level (RSL) rise that is stratigraphically preserved as mud-over-peat contacts where intertidal silt buried peaty marsh surfaces. Changes in intertidal microfossil assemblages across these contacts have been used to estimate subsidence in 1964 by applying quantitative microfossil transfer functions to reconstruct corresponding RSL rise. Here, we review the use of organic stable C and N isotope values and C org :N tot ratios as alternative proxies for reconstructing coseismic RSL changes, and report independent estimates of subsidence in 1964 by using δ 13 C values from intertidal sediment to assess RSL change caused by the earthquake. We observe that surface sediment δ 13 C values systematically decrease by ∼4‰ over the ∼2.5 m increase in elevation along three 60- to 100-m-long transects extending from intertidal mud flat to upland environments. We use a straightforward linear regression to quantify the relationship between modern sediment δ 13 C values and elevation ( n = 84, R 2 = 0.56). The linear regression provides a slope–intercept equation used to reconstruct the paleoelevation of the site before and after the earthquake based on δ 13 C values in sandy silt above and herbaceous peat below the 1964 contact. The regression standard error (average = ±0.59‰) reflects the modern isotopic variability at sites of similar surface elevation, and is equivalent to an uncertainty of ±0.4 m elevation with respect to Mean Higher High Water. To reduce potential errors in paleoelevation and subsidence estimates, we analyzed multiple sediment δ 13 C values in nine cores on a shore-perpendicular transect at Bird Point. Our method estimates 1.3 ± 0.4 m of coseismic RSL rise across the 1964 contact by taking the arithmetic mean of the differences ( n = 9) between reconstructed elevations for sediment above and below the 1964 earthquake subsidence contact. This estimate compares well with independent subsidence estimates derived from post-earthquake leveling in Turnagain Arm, and from microfossil transfer functions at Girdwood (1.50 ± 0.32 m). While our results support the use of bulk organic δ 13 C for reconstructing RSL change in southern Alaska, the variability of stable isotope values in modern and buried intertidal sediment required the analysis of multiple samples to reduce error.

Alaska↗

Detecting stochasticity in population time series using a non-parametric test of intrinsic predictability

1. Many ecological systems dominated by stochastic dynamics can produce complex time series that inherently limit forecast accuracy. The ‘intrinsic predictability’ of these systems can be approximated by a time series complexity metric called weighted permutation entropy (WPE). While WPE is a useful metric to gauge forecast performance prior to model building, it is sensitive to noise and may be biased depending on the length of the time series. Here, we introduce a simple randomized permutation test (rWPE) to assess whether a time series is intrinsically more predictable than white noise. 2. We apply rWPE to both simulated and empirical data to assess its performance and usefulness. To do this, we simulate population dynamics under various scenarios, including a linear trend, chaotic, periodic and equilibrium dynamics. We further test this approach with observed abundance time series for 932 species across four orders of animals from the Global Population Dynamics Database. Finally, using Adélie ( Pygoscelis adeliae ) and emperor penguin ( Aptenodytes forsteri ) time series as case studies, we demonstrate the application of rWPE to multiple populations for a single species. 3. We show that rWPE can determine whether a system is significantly more predictable than white noise, even with time series as short as 10 years that show an apparent trend under biologically realistic stochasticity levels. Additionally, rWPE has statistical power close to 100% when time series are at least 30 time steps long and show chaotic or periodic dynamics. Power decreases to ~10% under equilibrium dynamics, irrespective of time series length. Among four classes of animal taxa, mammals have the highest relative frequency (28%) of time series that are both longer than 30 time steps and indistinguishable from white noise in terms of complexity, followed by insects (16%), birds (16%) and bony fishes (11%). 4. rWPE is a straightforward and useful method widely applicable to any time series, including short ones. By informing forecasters of the inherent limitations to a system's predictability, it can guide a modeller's expectations for forecast performance.

Methods in Ecology and Evolution↗

Detection probability and occupancy of American woodcock during Singing-ground surveys

The Singing-ground Survey (SGS) was designed to exploit the conspicuous breeding-season display of male American woodcock ( Scolopax minor ; hereafter, woodcock) to monitor these otherwise inconspicuous birds. The SGS was standardized in 1968 and has since been conducted annually to derive an index of abundance and population trend. Counts of singing male woodcock on the SGS have generally declined through time, but without knowledge of the relationship among counts, woodcock abundance, and the factors affecting detection, considerable uncertainty remains in interpretation of SGS data. Using modified SGS protocols, we surveyed SGS routes in Pine County, Minnesota, in 2009 and 2010 and developed models to assess factors associated with detection probability and estimated occupancy. The intercept-only model (i.e., constant detection and occupancy probabilities across sites and no covariates) included overall detection probability of 0.59 (SE = 0.018) in 2009 and 0.66 (SE = 0.017) in 2010 with an occupancy estimate of 0.74 (SE = 0.049) in 2009 and 0.81 (SE = 0.044) in 2010. The best-supported model of detection probability for both years combined included detection as a function of woodcock abundance, observer, date, disturbance level (i.e., ambient noise that interfered with detecting woodcock), and wind speed. High wind speeds were negatively related to detection, different observers had different detection probabilities, date was quadratically related to detection (indicating a mid-period peak in detection), and high woodcock abundance and low disturbance levels were positively related to detection. We provide suggestions for incorporating these resulting into SGS protocol and analyses.

Minnesota↗

Comparison of seven DNA metabarcoding sampling methods to assess diet in a large avian predator

DNA metabarcoding is a rapidly advancing tool for diet assessment in wildlife ecology. Studies have used a variety of field collection methods to evaluate diet; however, there is a pressing need to understand the differences among sampling methods and the downstream inferential consequences they may have on our ability to document diet accurately and efficiently. We evaluated seven DNA metabarcoding sampling methods to assess the diet of a large avian predator: Buteo lagopus (rough-legged hawk). We collected beak swabs, talon swabs, cheek (buccal) swabs, cloacal swabs, and cloacal loops from captured birds, and collected fecal samples from both captured and uncaptured birds. We described and compared variation in prey recovery within and among the seven sampling methods and identified appropriate analytical methods to compare diet among individuals sampled via different methods. Beak and talon swabs produced the highest prey detection rates, yielded the greatest prey richness per sample, and contributed the most to an individual's total prey richness per sampling occasion compared to other sampling methods. Within individuals sampled using five methods during a single capture occasion, cloacal swabs and cheek swabs positively predicted prey richness and average prey mass, respectively, from fecal samples. While all methods identified similar dominant prey taxa that were consistent with prior diet studies, beak and talon swabs detected greater prey richness at both the individual and population levels. We propose a food residue duration hypothesis whereby methods which sample areas containing food DNA consumed from longer and more continuous pre-sampling time intervals explain variation among sampling methods in observed prey richness. Choice of sampling method can influence predator diet characterization and is particularly important if researchers wish to quantify uncommon diet items or compare diet metrics using samples collected via different methods.

Environmental DNA↗

An evaluation of transmitter effects on adult and juvenile Common Terns using leg-loop harness attachments

Marking birds with transmitters allows for the collection of data that are critical for fully understanding avian life history, but researchers must also be confident that performing such studies is as safe as possible for transmittered individuals. While much could be learned from tracking juveniles across dependency periods and first migration, doing so would require a harness-based attachment method which has not been evaluated on any species of juvenile tern. Therefore, we monitored the reproductive success and behavior of adult Common Terns ( Sterna hirundo ) and the growth and behavior of juvenile Common Terns after attaching transmitters to adults and juveniles with leg-loop harnesses made of elastic cord. We found that transmittered adults had similar reproductive success to untransmittered controls (hatching success for nests of transmittered adults = 0.553; nests of control adults = 0.665). Transmittered adults also expressed minimal behavioral differences from untransmittered controls when the groups were compared via paired treatment-control nest observations along with observations away from the nest. Transmittered juveniles had similar fledging success and growth rates to untransmittered control juveniles (fledging success for transmittered juveniles = 0.766; control juveniles = 0.817). Transmittered juveniles exhibited slight differences in behavior from controls, with increased rates of preening, although these differences did not appear to be detrimental. Finally, monitoring efforts during the breeding season following transmitter deployment found no difference in the return rate, nesting attempt rate, or hatching success rate based on treatment (P > 0.05). However, despite evidence of an individual retaining its transmitter into fall migration, no individuals retained their transmitters when resighted the following breeding season. While our results show that leg-loop harnesses made of elastic cord present a potential option for transmitter attachment to both adult and juvenile Common Terns, additional testing could provide further insight into potential long-term impacts.

Journal of Field Ornithology↗

Wind energy development: Methods for assessing risks to birds and bats pre-construction

Wind power generation is rapidly expanding. Although wind power is a low-carbon source of energy, it can impact negatively birds and bats, either directly through fatality or indirectly by displacement or habitat loss. Pre-construction risk assessment at wind facilities within the United States is usually required only on public lands. When conducted, it generally involves a 3-tier process, with each step leading to more detailed and rigorous surveys. Preliminary site assessment (U.S. Fish and Wildlife Service, Tier 1) is usually conducted remotely and involves evaluation of existing databases and published materials. If potentially at-risk wildlife are present and the developer wishes to continue the development process, then on-site surveys are conducted (Tier 2) to verify the presence of those species and to assess site-specific features (e.g., topography, land cover) that may influence risk from turbines. The next step in the process (Tier 3) involves quantitative or scientific studies to assess the potential risk of the proposed project to wildlife. Typical Tier-3 research may involve acoustic, aural, observational, radar, capture, tracking, or modeling studies, all designed to understand details of risk to specific species or groups of species at the given site. Our review highlights several features lacking from many risk assessments, particularly the paucity of before-and-after-control- impact (BACI) studies involving modeling and a lack of understanding of cumulative effects of wind facilities on wildlife. Both are essential to understand effective designs for pre-construction monitoring and both would help expand risk assessment beyond eagles.

Human-Wildlife Interactions↗

What constitutes a nesting attempt? Variation in criteria causes bias and hinders comparisons across studies

Because reliable estimates of nesting success are very important to avian studies, the defnition of a “successful nest” and the use of different analytical methods to estimate success have received much attention. By contrast, variation in the criteria used to determine whether an occupied site that did not produce offspring contained a nesting attempt is a source of bias that has been largely ignored. This problem is especially severe in studies that deal with species whose nest contents are relatively inaccessible because observers cannot determine whether or not an egg was laid for a large proportion of occupied sites. Burrowing Owls ( Athene cunicularia ) often lay their eggs ≥3 m below ground, so past Burrowing Owl studies have used a variety of criteria to determine whether a nesting attempt was initiated. We searched the literature to document the extent of that variation and examined how that variation influenced estimates of daily nest survival. We found 13 different sets of criteria used by previous authors and applied each criterion to our data set of 1,300 occupied burrows. We found significant variation in estimates of daily nest survival depending on the criteria used. Moreover, differences in daily nest survival among populations were apparent using some sets of criteria but not others. These inconsistencies may lead to incorrect conclusions and invalidate comparisons of the productivity and relative site quality among populations. We encourage future authors working on cavity-, canopy-, or burrow-nesting birds to provide specific details on the criteria they used to identify a nesting attempt.

The Auk↗

Detailed study of irrigation drainage in and near wildlife management areas, west-central Nevada, 1987-90; Part B, Effect on biota in Stillwater and Fernley Wildlife Management Areas and other nearby wetlands

A water-quality reconnaissance study during 1986-87 found high concentrations of several potentially toxic elements in water, bottom sediment, and biota in and near Stillwater Wildlife Management Area (WMA). This study prompted the U.S. Department of the Interior to initiate a more detailed study to determine the hydrogeochemical processes that control water quality in the Stillwater WMA, and other nearby wetlands, and the resulting effects on biota, especially migratory birds. Present wetland size is about 10% of historical size; the dissolved- solids load in the water in these now-isolated wetlands has increased only moderately, but the dissolved-solids concentration has increased more than seven-fold. Wetland vegetation has diminished and species composition in flow water has shifted to predominant salt-tolerant species in many areas. Decreased vegetative cover for nesting is implicated in declining waterfowl production. Decreases in numbers or virtual absence of several wildlife species are attributed to degraded water quality. Results of toxicity tests indicate that water in some drains and wetland areas is acutely toxic to some fish and invertebrates. Toxicity is attributed to the combined presence of arsenic, boron, lithium, and molybdenum. Biological pathways are involved in the transport of mercury and selenium from agricultural drains to wetlands. Hatch success of both artificially incubated and field-reared duck eggs was greater than/= 90 percent; no teratogenesis was observed. Mercury in muscle tissue of waterfowl harvested from Carson Lake in October 1987 exceeded the human health criterion six-fold.

Water-Resources Investigations Report↗

Establishing Forster’s Tern ( Sterna forsteri ) nesting sites at pond A16 using social attraction for the South Bay Salt Pond restoration project

Forster’s terns ( Sterna forsteri ), historically one of the most numerous colonial-breeding waterbirds in South San Francisco Bay, California, have experienced recent decreases in the number of nesting colonies and overall breeding population size. The South Bay Salt Pond Restoration Project aims to restore 50–90 percent of former salt evaporation ponds to tidal marsh habitat in South San Francisco Bay. During phase 1 of the South Bay Salt Pond Restoration Project, the breaching of several pond levees to begin the process of tidal marsh restoration inundated island nesting habitat that had been used by Forster’s terns, American avocets ( Recurvirostra americana ), and other waterbirds. Additional nesting habitat could be lost as more managed ponds are converted to tidal marsh in the future. To address this issue, the South Bay Salt Pond Restoration Project organized the construction of new nesting islands in managed ponds that will not be restored to tidal marsh, thereby providing enduring island nesting habitat for waterbirds. In 2012, 16 new islands were constructed in Pond A16 in the Alviso complex of the Don Edwards San Francisco Bay National Wildlife Refuge, which increased the number of islands in this pond from 4 to 20. However, despite a long history of nesting on the four islands in Pond A16 before the 2012 construction activities, no Forster’s terns have nested in Pond A16 during the 7-year period (2012–18) after island construction. During the 2017 and 2019 breeding seasons, we used social attraction measures (decoys and colony call playback systems) to attract Forster’s terns to islands within Pond A16 to re-establish nesting colonies. We maintained these systems from March through August in each year. To evaluate the effect of these social attraction measures, we completed surveys (between April and August) where we recorded the number and location of all Forster’s terns and other waterbirds using Pond A16, and we monitored waterbird nests. We compared bird survey and nest monitoring data collected in 2017 and 2019 to data collected in 2015 and 2016, prior to the implementation of social attraction measures, allowing for direct evaluation of the effect of social attraction efforts on Forster’s terns. To increase the visibility and stakeholder involvement of this project, we engaged in multiple outreach activities in 2017, 2019, and 2020, including the development of a project website and educational video; publication of popular articles in 2017 and 2020; the development of outreach materials describing the project to the general public; and public presentations to relay findings to managers, stakeholders, and the general public. The relative abundance of Forster’s terns in Pond A16, after adjusting for the overall South San Francisco Bay breeding population each year, was higher during the nesting period in 2017 and 2019 (when social attraction was used) than in 2015 and 2016 (before social attraction was used). Furthermore, more Forster’s terns were observed during the pre-nesting and nesting periods in the areas of Pond A16 where decoys and call systems were deployed. Although no Forster’s tern nests were observed in Pond A16 before social attraction was implemented (2015, 2016), or during the first-year social attraction was implemented (2017), 35 Forster’s tern nests were recorded during the second year of social attraction implementation in 2019. These 35 nests represent a re-establishment of a Forster’s tern nesting colony to Pond A16 for the first time in 8 years. As social attraction efforts often benefit from multiple years of decoy and call system deployment, results from 2017 and 2019 suggest that continued implementation of social attraction measures could help to ensure Forster’s tern breeding colonies persist in Pond A16 and other areas of South San Francisco Bay.

California↗

Vegetation characteristics important to common songbirds in east Texas

Multivariate studies of breeding bird communities have used principal component analysis (PCA) or several-group (three or more groups) discriminant function analysis (DFA) to ordinate bird species on vegetational continua (Cody 1968, James 1971, Whitmore 1975). In community studies, high resolution of habitat requirements for individual species is not always possible with either PCA or several-group DFA. When habitat characteristics of several species are examined with a DFA the resultant axes optimally discriminate among all species simultaneously. Hence, the characteristics assigned to a particular species reflect in part the presence of other species in the analyses. A better resolution of each species' habitat requirements may be obtained from a two-group DFA, wherein habitats selected by a species are discriminated from all other available habitats. Analyses using two-group DFAs to compare habitat used by a species with habitat unused by the same species have the potential to provide an optimal frame of reference from which to examine habitat variables (Martinka 1972, Conner and Adkisson 1976, Whitmore 1981). Mathematically (DFA) it is possible to maximally separate two groups of multivariate observations with a single axis (Harner and whitmore 1977). A line drawn in three or n-dimensional space can easily be positioned to intersect two multivariate means (centroids). If three or more centroids for species are analyzed simultaneously, a single line can no longer intersect all centroids unless a perfectly linear relationship exists for the species being examined. The probability of such an occurrence is extremely low. Thus, a high degree of resolution can be realized when a two-group DFA is used to determine habitat parameters important to individual species. We have used two-group DFA to identify vegetation variable important to 12 common species of songbirds in East Texas.

Texas↗

Earth history and the passerine superradiation

Avian diversification has been influenced by global climate change, plate tectonic movements, and mass extinction events. However, the impact of these factors on the diversification of the hyperdiverse perching birds (passerines) is unclear because family level relationships are unresolved and the timing of splitting events among lineages is uncertain. We analyzed DNA data from 4060 nuclear loci and 137 passerine families using concatenation and coalescent approaches to infer a comprehensive phylogenetic hypothesis that clarifies relationships among all passerine families. Then, we calibrated this phylogeny using 13 fossils to examine the effects of different events in Earth history on the timing and rate of passerine diversification. Our analyses reconcile passerine diversification with the fossil and geological records, suggest that passerines originated on the Australian landmass ~47 Ma, and show that subsequent dispersal and diversification of passerines was affected by a number of climatological and geological events, such as Oligocene glaciation and inundation of the New Zealand landmass. Although passerine diversification rates fluctuated throughout the Cenozoic, we find no link between the rate of passerine diversification and Cenozoic global temperature, and our analyses show that the increases in passerine diversification we observe are disconnected from the colonization of new continents. Taken together, these results suggest more complex mechanisms than temperature change or ecological opportunity have controlled macroscale patterns of passerine speciation.

PNAS↗

Unusual leg malformations in screech owls from a South Carolina Superfund site

In 1995, the discovery of leg malformations in several screech owl ( Otis asio ) nestlings and in their female parent at a Department of Energy (DOE) Superfund site in South Carolina prompted an investigation into the nature of the observed abnormalities. Surviving nestlings and the female parent were transferred to a captive screech owl breeding colony at the USGS Patuxent Wildlife Research Center, Laurel, MD. The malformed female parent and her offspring were each mated with normal owls from the colony for 3 yr. Matings of the malformed female produced five malformed and six normal owls; all owls produced by matings of normal offspring were normal. Malformed offspring were euthanized when it became apparent that their physical distress precluded survival under normal conditions of colony care. Euthanized owls were necropsied and examined for skeletal development. Detailed descriptions of eight malformed owls are presented. Results of the matings indicated that the leg malformations were caused by a genetic trait in the female parent that was heterozygous dominant. The characteristic was lethal except in occasional mild manifestations and resembled an extreme form of a dominant abnormality previously described for domestic fowl called duplicate polydactyly . Other reports of skeletal abnormalities in wild birds and potential environmental causes of genetic mutations at the DOE Superfund site are presented. Other studies performed at the DOE Superfund site do not implicate elevated (above background) ionizing radiation from 137 Cs, the dominant radionuclide where the owls were captured, as the cause of the mutation. The cause of this genetic abnormality remains unknown.

South Carolina↗

Fatal spirochetosis due to a relapsing fever-like Borrelia sp. in northern spotted owl

Acute septicemic spirochetosis was diagnosed in an adult male northern spotted owl (Strix occidentalis caurina) found dead in Kittitas County, Washington, USA. Gross necropsy findings included marked enlargement of the liver and spleen and serofibrinous deposits on the serous membranes lining the body cavities and the pericardial and perihepatic sacs. Microscopic observations included macrophage infiltration in the liver and spleen with mild thrombosis and multifocal necrosis, as well as hemorrhage and acute inflammation in the choroid plexus of the brain. No viruses or pathogenic bacteria were isolated from brain, liver, or spleen, and no parasites were found in blood smears or impression smears of the liver. Chlamydial culture attempts were unsuccessful and no chlamydial antibodies were detected in serum. In silver-stained microscopic sections and by transmission electron microscopy of liver, numerous long, thin, spiral-shaped bacteria were seen in the liver, spleen, cerebral ventricles, and within blood vessels in many organs. The organism was identified as a member of the Borrelia genus by sequence analysis of the PCR-amplified 16S rRNA gene. The most closely related species is B. hermsii, an agent of relapsing fever in humans in the western United States. This is the first report of a relapsing fever-related Borrelia in a wild bird.

Washington↗

Clothianidin decomposition in Missouri wetland soils

Neonicotinoid pesticides can persist in soils for extended time periods; however, they also have a high potential to contaminate ground and surface waters. Studies have reported negative effects associated with neonicotinoids and nontarget taxa, including aquatic invertebrates, pollinating insect species, and insectivorous birds. This study evaluated factors associated with clothianidin (CTN) degradation and sorption in Missouri wetland soils to assess the potential for wetland soils to mitigate potential environmental risks associated with neonicotinoids. Solid-to-solution partition coefficients ( K d ) for CTN sorption to eight wetland soils were determined via single-point sorption experiments, and sorption isotherm experiments were conducted using the two most contrasting soils. Clothianidin degradation was determined under oxic and anoxic conditions over 60 d. Degradation data were fit to zero- and first-order kinetic decay models to determine CTN half-life ( t 0.5 ). Sorption results indicated CTN sorption to wetland soil was relatively weak (average K d , 3.58 L kg –1 ); thus, CTN has the potential to be mobile and bioavailable within wetland soils. However, incubation results showed anoxic conditions significantly increased CTN degradation rates in wetland soils (anoxic average t 0.5 , 27.2 d; oxic average t 0.5 , 149.1 d). A significant negative correlation was observed between anoxic half-life values and soil organic C content ( r 2 = .782; p = .046). Greater CTN degradation rates in wetland soils under anoxic conditions suggest that managing wetlands to facilitate anoxic conditions could mitigate CTN presence in the environment and reduce exposure to nontarget organisms.

Missouri↗

Using mercury and lead stable isotopes to assess mercury, lead, and trace metal source contributions to Great Salt Lake, Utah, USA

Great Salt Lake is a critical habitat for migratory birds that is threatened by elevated metal concentrations, including mercury (Hg) and lead (Pb), and is subject to severe hydrologic changes, such as declining lake level. When assessing metal profiles recorded in Great Salt Lake sediment, a large data gap exists regarding the sources of metals within the system, which is complicated by various source inputs to the lake and complex biogeochemistry. Here, we leverage Hg and Pb stable isotopes to track relative changes in metal source contributions to Great Salt Lake over time. Mercury and Pb concentrations increase in sediments deposited after 1920 and peak between 1965 and 1995, following closure of several local smelters and the onset of increased emission controls. The nominal associations above are confirmed via Hg stable isotopes in pre-1920 background sediments, which reflect atmospheric inputs from regional and global origin, whereas Hg and Pb stable isotopes together indicate that elevated metal concentrations in mid-late 20th century sediments reflect increased mining/smelting inputs. The observed minimal rebound towards pre-1920 Pb isotope signatures in 21st century sediments indicates that mining/smelting inputs, though reduced, remain a primary source of Pb to Great Salt Lake. In contrast, the more pronounced rebound of Hg stable isotope signatures to pre-1920 values indicate a greater contribution of atmospheric inputs of regional/global origin to current Hg inputs, though Hg concentrations are ∼10 times greater than pre-1920 background values due to global increases in atmospheric Hg concentrations or possibly slow recovery from local contamination. The importance of regional/global Hg sources to the system suggests that reductions in Hg bioaccumulation in the open water food webs of Great Salt Lake are more dependent on national and global reductions in Hg emissions and management strategies to limit methylmercury production within system. This work highlights the utility of using coupled Hg and Pb stable isotope values to assess trace metal pollution sources and pathways in aquatic systems.

Utah↗

West Nile Virus transmission in winter: the 2013 Great Salt Lake Bald Eagle and Eared Grebes Mortality event

West Nile Virus (WNV) infection has been reported in over 300 species of birds and mammals. Raptors such as eagles, hawks and falcons are remarkably susceptible, but reports of WNV infection in Bald Eagles (Haliaeetus leucocephalus) are rare and reports of WNV infection in grebes (Podicipediformes) even rarer. We report an unusually large wild bird mortality event involving between 15,000-20,000 Eared Grebes (Podiceps nigricollis) and over 40 Bald Eagles around the Great Salt Lake, Utah, in November-December 2013. Mortality in grebes was first reported in early November during a period when the area was unseasonably warm and the grebes were beginning to gather and stage prior to migration. Ten out of ten Eared Grebes collected during this period were WNV RT-PCR and/or isolation positive. This is the first report of WNV infection in Eared Grebes and the associated mortality event is matched in scale only by the combined outbreaks in American White Pelican (Pelecanus erythrorhynchos) colonies in the north central states in 2002-2003. We cannot be sure that all of the grebes were infected by mosquito transmission; some may have become infected through contact with WNV shed orally or cloacally from other infected grebes. Beginning in early December, Bald Eagles in the Great Salt Lake area were observed to display neurological signs such as body tremors, limb paralysis and lethargy. At least 43 Bald Eagles had died by the end of the month. Nine of nine Bald Eagles examined were infected with WNV. To the best of our knowledge, this is the largest single raptor mortality event since WNV became endemic in the USA. Because the majority of the eagles affected were found after onset of below-freezing temperatures, we suggest at least some of the Bald Eagles were infected with WNV via consumption of infected Eared Grebes or horizontal transmission at roost sites.

PLOS Current Outbreaks↗