USGS Science⌕ Search

SEARCH · USGS Science

Results for “Challenge”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 1,279 records · Page 71Linked to original sources

Management of remnant tallgrass prairie by grazing or fire: Effects on plant communities and soil properties

Tallgrass prairie is a disturbance‐dependent ecosystem that has suffered steep declines in the midwestern United States. The necessity of disturbance, typically fire or grazing, presents challenges to managers who must apply them on increasingly small and fragmented parcels. The goal of this study was to compare effects of management using cattle grazing or fire on vegetation and soil characteristics to aid managers in making decisions regarding the kind of disturbance to apply. We selected 73 sites, of which 27 were managed solely by cattle grazing and 46 solely by fire, for at least 11 yr leading up to the study. We stratified the sites by prairie type (dry, mesic, and wet) and sampled frequency of plant species on randomly placed transects, supplemented with botanist‐directed walks, and collected and composited five soil cores on a randomly selected transect within each prairie type at each site. We calculated rarefied richness and Shannon evenness from the transect data and mean coefficient of conservatism (CofC) from the total list of species. Soil samples were analyzed for texture, bulk density, total N and C, and potential net N nitrification and mineralization. A nonmetric multidimensional scaling analysis of the plant community data revealed differences in species associated with mesic and wet prairies, but no separation by management type. Similarly, none of the vegetation variables we calculated varied by management type, as determined by mixed‐effects models, but soil bulk density was 17.5% higher and total N was 22% higher on grazed sites than burned sites. Sites burned more recently had higher species richness and mean CofC, but fire was not associated with any soil variables. Sites grazed more recently had higher bulk density, total N and C, and faster N cycling rates. Overall, 28% of plant species were found exclusively in one management type or the other, but these species did not vary in mean CofC. We conclude that, at the levels of burning and grazing intensity we studied, both management approaches produce similar C storage and vegetation responses. To maintain maximum diversity across the landscape, however, both approaches are necessary.

Minnesota↗

Integrated hierarchical models to inform management of transitional habitat and the recovery of a habitat specialist

Quantifying the contribution of habitat dynamics relative to intrinsic population processes in regulating species persistence remains an ongoing challenge in ecological and applied conservation. Understanding these drivers and their relationship is essential for managing habitat‐dependent species, especially those that specialize in transitional habitats. Limitations in the ability of natural disturbance to mediate transitional habitat dynamics have resulted in a decline in early‐ and mid‐successional vegetation structure and prompted the need for aggressive habitat management to replace natural perturbations and increase habitat structural complexity. We describe a collaborative effort with a group of independent land managers to design an adaptive management program for restoring an imperiled ecosystem and recovering declining populations of an endemic habitat specialist. We developed a set of integrated, hierarchical models to estimate management‐mediated transition rates among vegetation classes in two dominant scrub communities and the species response (local colonization and extinction probabilities) as a function of habitat state. Models were fit using a long‐term data set of habitat and occupancy observations from 361 Florida scrub‐jay territories across two Florida counties. Occupancy model results correspond closely to previous approaches of estimating differential survival and reproductive success associated with habitat conditions, with highest colonization and lowest extinction rates estimated for those habitat states found to have the highest rates of survival and reproduction. In addition to offering an innovative approach for jointly modeling habitat and species population dynamics, the program we describe will also be of interest from a management perspective by providing guidance for developing collaborative, adaptive management frameworks from the ground up. We engaged land managers via workshops to specify objectives and desired state‐variable conditions, identify management alternatives, and elicit consensus opinions on model parameters. Treating expert opinions as pseudo‐observations to define Dirichlet priors allowed us to make use of existing management knowledge. Formal learning was then accumulated by updating transition probability estimates as management activities were implemented over the study period. We believe this adaptive management framework provides a useful approach for increasing our understanding of complex ecological relationships and hope that it will be adopted by others who have interest in informing management and conservation efforts.

Florida↗

Estimating the survival of unobservable life stages for a declining frog with a complex life-history

Demographic models enhance understanding of drivers of population growth and inform conservation efforts to prevent population declines and extinction. For species with complex life histories, however, parameterizing demographic models is challenging because some life stages can be difficult to study directly. Integrated population models (IPMs) empower researchers to estimate vital rates for organisms that have cryptic or widely dispersing early life stages by integrating multiple demographic data sources. For a stream‐inhabiting frog ( Rana boylii ) that is declining through much of its range in Oregon and California, USA, we collected egg‐mass counts and capture–mark–recapture data on adults from two populations in California to fit IPMs that estimate adult abundance and the survival rate of both marked and unobserved life stages. Estimates of adult abundance based on long‐term monitoring of egg‐mass counts showed that study populations fluctuated greatly inter‐annually but were stable at longer timescales (i.e., decades). Adult female survival during 5–6 yr of capture–mark–recapture study periods was nearly equal in each population. Survival rate of R. boylii eggs to the subadult stage is low on average (0.002) but highly variable among years depending on post‐oviposition stream flow. Population viability analysis showed that survival of adult and subadult life stages has the greatest proportional effect on population growth; the survival of egg and tadpole life stages, however, is more malleable by management interventions. For example, simulations showed head‐starting of tadpoles, salvaging stranded egg masses, and limiting aseasonal pulsed flows could dramatically reduce the threat of extirpation. This study demonstrates the value of integrating multiple demographic data sources to construct models of population dynamics in species with complex life histories.

California↗

Demographic and potential biological removal models identify raptor species sensitive to current and future wind energy

A central challenge in applied ecology is understanding the effect of anthropogenic fatalities on wildlife populations and predicting which populations may be particularly vulnerable and in greatest need of management attention. We used 3 approaches to investigate potential effects of fatalities from collisions with wind turbines on 14 raptor species for both current (106 GW) and anticipated future (241 GW) levels of installed wind energy capacity in the United States. Our goals were to identify species at relatively high vs low risk of experiencing population declines from turbine collisions and to also compare results generated from these approaches. Two of the approaches used a calculated turbine-caused mortality rate to decrement population growth, where population trends were derived either from the North American Breeding Bird Survey or a matrix model parameterized from literature-derived demographic values. The third approach was potential biological removal, which estimates the number of fatalities that allow a population to reach and maintain its optimal sustainable population set by management concerns. Different results among the methods reveal substantial gaps in knowledge and uncertainty in both demographic parameters and species-specific estimates of fatalities from wind turbines. Our results suggest that, of the 14 species studied, those with relatively higher potential of population-level impacts from wind turbine collisions included barn owl, ferruginous hawk, golden eagle, American kestrel, and red-tailed hawk. Burrowing owl, Cooper’s hawk, great horned owl, northern harrier, turkey vulture, and osprey had a relatively lower potential for population impacts, and results were not easily interpretable for merlin, prairie falcon, and Swainson’s hawk. Projections of current levels of fatalities to future wind energy scenarios at 241 GW of installed capacity suggest some species could experience population declines because of turbine collisions. Populations of those species may benefit from research to identify tools to prevent or reduce raptor collisions with wind turbines.

Ecosphere↗

Migration efficiency sustains connectivity across agroecological networks supporting sandhill crane migration

Preserving avian flyway connectivity has long been challenged by our capacity to meaningfully quantify continental habitat dynamics and bird movements at temporal and spatial scales underlying long-distance migrations. Waterbirds migrating hundreds or thousands of kilometers depend on networks of wetland stopover sites to rest and refuel. Entire populations may rely on discrete wetland habitats, particularly in arid landscapes where the loss of limited stopover options can have disproportionately high impacts on migratory cost. Here, we examine flyway connectivity in water-limited ecosystems of western North America using 108 GPS tagged greater sandhill cranes. Bird movements were used to reconstruct wetland stopover networks across three geographically unique sub-populations spanning 12 US-Mexican states and Canadian provinces. Networks were monitored with remote sensing to identify long-term (1988-2019) trends in wetland and agricultural resources supporting migration and evaluated using network theory and centrality metrics as a measure of stopover site importance to flyway connectivity. Sandhill crane space-use was analyzed in stopover locations to identify important ownership and landscape factors structuring bird distributions. Migratory efficiency was the primary mechanism underpinning network function. A small number of key stopover sites important to minimizing movement cost between summering and wintering locations were essential to preserving flyway connectivity. Localized efficiencies were apparent in stopover landscapes given prioritization of space-use by birds where the proximity of agricultural food resources and flooded wetlands minimized daily movements. Model depictions showing wetland declines from 16-18% likely reflect a new normal in landscape drying that could decouple agriculture-waterbird relationships as water scarcity intensifies. Sustaining network resilience will require conservation strategies to balance water allocations preserving agricultural and wetlands on private lands that accounted for 67-96% of habitat use. Study outcomes provide new perspectives of agroecological relationships supporting continental waterbird migration needed to prioritize conservation of landscapes vital to maintaining flyway connectivity.

western North America↗

Context dependency of disease-mediated competitive release in bat assemblages following white-nose syndrome

White-nose syndrome (WNS) has caused dramatic declines of several cave-hibernating bat species in North America since 2006, which has increased the activity of non-susceptible species in some geographic areas or during times of night formerly occupied by susceptible species—indicative of disease-mediated competitive release (DMCR). Yet, this pattern has not been evaluated across multiple bat assemblages simultaneously or across multiple years since WNS onset. We evaluated whether WNS altered spatial and temporal niche partitioning in bat assemblages at four locations in the eastern United States using long-term datasets of bat acoustic activity collected before and after WNS arrival. Activity of WNS-susceptible bat species decreased by 79–98% from pre-WNS levels across the four study locations, but only one of our four study sites provided strong evidence supporting the DMCR hypothesis in bats post-WNS. These results suggest that DMCR is likely dependent on the relative difference in activity by susceptible and non-susceptible species groups pre-WNS and the relative decline of susceptible species post-WNS allowing for competitive release, as well as the amount of time that had elapsed post-WNS. Our findings challenge the generality of WNS-mediated competitive release between susceptible and non-susceptible species and further highlight declining activity of some non-susceptible species, especially Lasiurus borealis , across three of four locations in the eastern United States. These results underscore the broader need for conservation efforts to address the multiple potential interacting drivers of bat declines on both WNS-susceptible and non-susceptible species.

Ecosphere↗

Can grazing by elk and bison stimulate herbaceous plant productivity in semiarid ecosystems?

Plant communities in rangeland ecosystems vary widely in the degree to which they can compensate for losses to herbivores. Ecosystem-level factors have been proposed to affect this compensatory capacity, including timing and intensity of grazing, and availability of soil moisture and nutrients. Arid ecosystems are particularly challenging to predict because of their high degree of temporal variability in moisture inputs. We used a replicated herbivore exclusion experiment to evaluate herbaceous plant responses to grazing by large ungulates to test current theory and identify constraints on plant compensation in a dryland ecosystem. We measured nitrogen (N) yield and herbaceous production in three plant communities: meadows, willow-associated herbaceous communities, and riparian communities. We implemented grazing exclusion treatments from 2005 to 2008 in areas with elk and bison and areas with only elk. Grazing by large ungulates increased herbaceous production and N yield in herbaceous riparian communities. In willow communities, herbaceous plants displayed equal compensation in response to grazing in total aboveground production and N yield. Our results support the idea that plant compensation in this semiarid system is contingent on soil moisture availability, wherein the most productive sites (that received substantial moisture inputs from subsurface flow) exhibited overcompensation. Although the herbaceous riparian communities we studied are isolated patches of productive grassland in an otherwise shrub-dominated and minimally productive semiarid landscape, grazing by a combination of bison and elk removed only 44%–53% of aboveground net primary productivity (ANPP) during the growing season, and 25%–38% of production over winter. Consumption by ungulates was a positive linear function of herbaceous production, similar to reported patterns from other temperate and tropical grazing ecosystems. The slope of this relationship was affected by the analytical method used to calculate ANPP and consumption rates, but, regardless of the method, was lower or similar to reported slopes for other intensively grazed systems (Yellowstone, Serengeti, Laikipia) that have sustained high ungulate densities for decades to centuries. Given that the vegetation communities exhibited equal or overcompensation in terms of total herbaceous ANPP in both years, elk and bison population levels during our study period did not appear to occur at densities leading to degradation of herbaceous communities.

Colorado↗

Evaluating temporal and spatial transferability of a tidal inundation model for foraging waterbirds

For ecosystem models to be applicable outside their context of development, temporal and spatial transferability must be demonstrated. This presents a challenge for modeling intertidal ecosystems where spatiotemporal variation arises at multiple scales. Models specializing in tidal dynamics are generally inhibited from having wider ecological applications by coarse spatiotemporal resolution or high user competency. The Tidal Inundation Model of Shallow-water Availability (TiMSA) uniquely simulates tides to empirically derive a time-integrated measure of availability for a shallow-water depth range defined by the user. To evaluate temporal and spatiotemporal transferability, we employed TiMSA at the development site in the Florida Keys and at novel subsites in the Florida Bay (application site) under a different time period (application period). We used foraging little blue herons ( Egretta caerulea ) as the ecological unit with which to constrain the model's “water depth window,” that is, range of water depths to estimate shallow-water availability. At the development site, temporally consistent water depth windows contrasted with interannual variation in shallow-water availability, which revealed short-term changes in Little Blue Heron foraging habitat. At the application site, water depth accuracy varied by subsite and was correlated with spatial error in bathymetric elevation. Although TiMSA parameters were sensitive to environmental temporal variation and uncertainty in spatial data, a spatially explicit water depth window generated reliable estimates of shallow-water conditions over space and time at the development and application sites. By exploring the contributing factors to model error, we provide solutions to reduce uncertainty of TiMSA parameters at potential application sites and recommendations for addressing bathymetric inaccuracy in digital elevation models. Accurately quantifying spatiotemporal changes of shallow water has implications for monitoring habitat conditions for tidally influenced species and projecting future changes to coastal ecosystems in response to anthropogenic stressors and natural disturbances such as sea level rise.

Florida↗

The researcher's lament: Why do they ignore my science?

The researcher's lament is shared by many environmental and conservation scientists who complain about the little support they receive for their research proposals during the review and selection process. Understandably, any hopes of having their anticipated scientific findings applied toward the formulation of environmental management decisions or natural resource policy action are shattered. They attribute this lack of endorsement to shortcomings and limitations among decision makers and proposal selection officials when, in many cases, the rejection of project proposals is often a function of a handful of self-inflicted failures by applied scientists who anchor themselves stubbornly to doomed approaches. Familiar deficiencies in their research proposals perpetuate the disconnect between the enterprise of science and real-world resource management challenges. Researchers themselves can affect conditions that turn up the appetite for their scientific endeavors as a more meaningful component of the decision-making process, namely, to stage and deliver science that is more readily "actionable." Perhaps it is time for them to consider a course correction to improve the viability of their actionable science proposals. A few basic steps may help rejigger the science planning process in this direction and, consequently, help avoid the researcher's lament. The likelihood of gaining support during the proposal review and award adjudication process, and securing practical application of scientific products, increases when the products are (1) the result of active engagement of researchers with decision makers; (2) better connected to social and political priorities; (3) clearly designed to inform specific management decisions; and (4) tailored to fit the needs of targeted end users. These considerations and activities exist beyond the comfort zone of many environmental or conservation scientists. Yet, those who adopt them will spend less time lamenting rejection and become more influential in the production of actionable knowledge.

Ecosphere↗

Fuel reduction treatments reduce modeled fire intensity in the sagebrush steppe

Increased fire size and frequency coupled with annual grass invasion pose major challenges to sagebrush ( Artemisia spp.) ecosystem conservation, which is currently focused on protecting sagebrush community composition and structure. A common strategy for mitigating potential fire is to use fuel treatments that alter the structure and amount of burnable material, thus reducing fire behavior and creating access points for fire suppression resources. While there is some recent information on the impacts of fuel treatments on ecological communities, we have little information on fuel treatment effectiveness at modifying fire behavior in sagebrush ecosystems. We present 10 years of data on fuel accumulation and the resultant modeled fire behavior in prescribed fire, mowed, herbicide (tebuthiuron or imazapic), and untreated control plots in the Sagebrush Treatment Evaluation Project (SageSTEP) network in the Great Basin, USA. Fuel data (i.e., aboveground burnable live and dead biomass) were collected in each treatment plot at Years 0 (pretreatment), 1, 2, 3, 6, and 10 posttreatment. We used the Fuel and Fire Tool fire behavior modeling program to test whether treatments impacted potential fire behavior. Prescribed fire initially removed 49% of the total fuel load and 75% of shrubs, and fuel loads remained reduced through Year 10. Mowing shifted fuels from the shrub canopy to the ground surface but did not change the total fuel amount. Prescribed fire and mowing increased herbaceous fuel by the second posttreatment year and that trend persisted through Year 10. Tebuthiuron treatments were ineffective at altering fuel loads. Imazapic suppressed herbaceous vegetation by 30% in Years 2 and 3 following treatment. The modified fuel beds in fire and mow treatments resulted in modeled flame lengths that were significantly lower than untreated control plots for the duration of the study, with shorter term reductions in reaction intensity and rate of spread. Understanding fuel treatment effectiveness will allow natural resource managers to evaluate trade-offs between protecting wildlife habitat and reducing the potential for high-intensity wildfire.

Ecosphere↗

Statistical assessment on determining local presence of rare bat species

Surveying cryptic, sparsely distributed taxa using autonomous recording units, although cost-effective, provides imperfect knowledge about species presence. Summertime bat acoustic surveys in North America exemplify the challenges with characterizing sources of uncertainty: observation error, inability to census populations, and natural stochastic variation. Statistical uncertainty, if not considered thoroughly, hampers determining rare species presence accurately and/or estimating rangewide status and trends with suitable precision. Bat acoustic data are processed using an automated workflow in which proprietary or open-source algorithms assign a species label to each recorded high-frequency echolocation sequence. A false-negative occurs, if a species is actually present but not recorded and/or all recordings from the species are of such poor quality that a correct species identity cannot be assigned to any observation. False positives for a focal species are a direct result of the presence and incorrect identification of a recording from another species. We compare four analytical approaches in terms of parameter estimation and their resulting (in)correct decisions regarding species presence or absence using realistic data-generating scenarios for bat acoustic data within a simulation study. The current standard for deciding species presence or absence uses a multinomial likelihood-ratio test p value (maximum likelihood estimate [MLE]-metric) that accounts for known species misidentifications, but not imperfect detection and only returns a binary outcome (evidence of presence or not). We found that the MLE-metric had estimated median correct decisions less than 60% for presence and greater than 85% for absence. Alternatively, a multispecies count detection model was equivalent to or better than the MLE-metric for correct claims of rare species presence or absence using the posterior probability a species was present at a site and, importantly, provided unbiased estimates of relative activity and probability of occurrence, creating opportunities for reducing posterior uncertainty through the inclusion of meaningful covariates. Single-species occupancy models with and without false-positive detections removed were insufficient for determining local presence because of substantially biased occurrence and detection probabilities. We propose solutions to potential barriers for integrating local, short-term and rangewide, long-term acoustic surveys within a cohesive statistical framework that facilitates determining local species presence with uncertainty concurrent with estimating species–environment relationships.

Ecosphere↗

Spatial scale selection for informing species conservation in a changing landscape

Identifying the relevant spatial scale at which species respond to features in a landscape (scale of effect) is a pressing research need as managers work to reduce biodiversity loss amid a variety of environmental challenges. Until recently, researchers often evaluated a subset of potential scales of effect inferred from previous studies in other locations, often based on different biological responses and environmental variables. These approaches, however, can create uncertainty as to whether relevant spatial scales were identified, and whether the effects of environmental variables at scale were accurately estimated. Identifying scales of effect is particularly relevant for the greater sage-grouse ( Centrocercus urophasianus ), a sagebrush-obligate species of conservation concern requiring large areas of intact sagebrush cover ( Artemisia spp.) for habitat. We demonstrate the application of a scale selection approach that jointly estimates the scale of effect and the effect of sagebrush cover on trends in population size using counts from 584 sage-grouse leks in southwestern Wyoming (2003–2019) and annual estimates of sagebrush cover from a remote sensing product. From this approach, we estimated a positive effect of mean sagebrush cover with a 95% probability that the scale of effect occurred within 5.02 km of leks. In an average year, we found that lower levels of sagebrush cover within these estimated scales could support increasing trends in sage-grouse population size when populations were small, but higher levels of sagebrush cover were needed to sustain growing populations when populations were larger. With standardized monitoring and annual estimates of vegetation from remote sensing, this scale selection approach can be applied to identify relevant scales for other populations, species, and biological responses such as demography and movement.

Wyoming↗

Freshwater corridors in the conterminous US: A coarse-filter approach based on lake-stream networks

Maintaining regional-scale freshwater connectivity is challenging owing to the dendritic, easily fragmented structure of freshwater networks, but is essential for promoting ecological resilience under climate change. Although the importance of stream network connectivity has been recognized, lake-stream network connectivity has largely been ignored. Furthermore, protected areas are generally not designed to maintain or encompass entire freshwater networks. We applied a coarse-filter approach to identify potential freshwater corridors for diverse taxa by calculating connectivity scores for 385 lake-stream networks across the conterminous US based on network size, structure, resistance to fragmentation, and dam prevalence. We also identified 2080 disproportionately important lakes for maintaining intact networks (i.e., “hubs”; 2% of all network lakes) and analyzed the protection status of hubs and potential freshwater corridors. Just 3% of networks received high connectivity scores based on their large size and structure (medians of 1303 lakes, 498.6 km north-south stream distance), but these also contained a median of 454 dams. In contrast, undammed networks (17% of networks) were considerably smaller (medians of 6 lakes, 7.2 km north-south stream distance), indicating that the functional connectivity of the largest potential freshwater corridors in the conterminous US currently may be diminished compared to smaller, undammed networks. Network lakes and hubs were protected at similar rates nationally across different levels of protection (8-18% and 6-20%, respectively), but were generally more protected in the western US. Our results indicate that conterminous US protection of major freshwater corridors and the hubs that maintain them generally fell short of the international conservation goal of protecting an ecologically representative, well-connected set of fresh waters (≥ 17%) by 2020 (Aichi Target 11). Conservation planning efforts might consider focusing on restoring natural hydrologic connectivity at or near hubs, particularly in larger networks, less protected, or biodiverse regions, to support freshwater biodiversity conservation under climate change.

Ecosphere↗

Changes in wildfire occurrence and risk to homes from 1990 through 2019 in the Southern Rocky Mountains, USA

Wildfires and housing development have increased since the 1990s, presenting unique challenges for wildfire management. However, it is unclear how the relative influences of housing growth and changing wildfire occurrence have altered risk to homes, or the potential for wildfire to threaten homes. We used a random forests model to predict burn probability in relation to weather variables at 1-km resolution and monthly intervals from 1990 through 2019 in the Southern Rocky Mountains ecoregion. We quantified risk by combining the predicted burn probabilities with decadal housing density. We then compared the predicted burn probabilities and risk across the study area with observed values and quantified trends. Finally, we evaluated how housing growth and changes in burn probability influenced risk individually and combined. Fires burned 9055 km 2 and exposed more than 8500 homes from 1990 to 2019. Observed burned area increased 632% from the 1990s to the 2000s, which combined with housing growth, resulted in a 1342% increase in homes exposed. Increases continued in the 2010s but at lower rates; burned area by 65% and exposure by 32%. The random forests model had excellent fit and high correlation with observations (AUC = 0.88 and r = 0.9). Observed values were within the 95% uncertainty interval for all years except 2016 (burned area) and 2000 (exposure). However, our model overpredicted in years with low observed burned area and underpredicted in years with high observed burned area. Overpredictions in risk resulted in lower rates of change in predicted risk compared with change in observed exposure. Increases in risk between the 1990s and 2000s were primarily due to warmer and drier weather conditions and secondarily because of housing growth. However, increases between the 2000s and 2010s were primarily due to housing growth. Our modeling approach identifies spatial and temporal patterns of wildfire potential and risk, which is critical information to guide decision-making. Because the drivers behind risk shift over time, strategies to mitigate risk may need to account for multiple drivers simultaneously.

Colorado, New Mexico, Wyoming↗

Decoupling of species and plant communities of the U.S. Southwest: A CCSM4 climate scenario example

Climate change is predicted to alter the current climate suitability under which plant species and communities occur. Predictions of change have focused on individual species or entire communities, but theory indicates plants will not respond uniformly to climate change within or between communities. We developed models of the current climate suitability (the baseline) of 66 plant species characteristic of 29 plant communities of the arid Southwest, made predictions of climate suitability for the species under two climate change scenarios for the years 2041–2060 (Community Climate System Model version 1.4 [CCSM4] global climate model [GCM], Representative Concentration Pathway [RCP] 4.5 and 8.5 scenarios), and calculated changes in suitability between the future scenarios and baseline for each species. Climate change exposure for the entire community was then evaluated as the composite change of the predicted future climate suitability of the communities' characteristic species. Loss of 25% or more of favorable climate suitability was predicted for 39 (RCP4.5) and 51 (RCP8.5) species within their communities. The proportion of the study area with all species in a community having unfavorable suitability was 17.9% (RCP4.5) and 21.3% (RCP8.5) compared to 6.2% for baseline. We show that suitable climates for species within a plant community are not expected to be a single community-wide trajectory, but rather changes in climate suitability will be unique to the species and not experienced uniformly across the extant communities. This decoupling of plant species within their traditional plant communities may lead to a cascade of unanticipated ecological responses and unprecedented challenges to resource management. Our study results can inform hypotheses of the future successional track of plant communities, characteristic species, and the decisions resource managers must make for management.

Ecosphere↗

BioLake: A first assessment of lake temperature-derived bioclimatic predictors for aquatic invasive species

Aquatic invasive species (AIS) present major ecological and economic challenges globally, endangering ecosystems and human livelihoods. Managers and policy makers thus need tools to predict invasion risk and prioritize species and areas of concern, and they often use native range climate matching to determine whether a species could persist in a new location. However, climate matching for AIS often relies on air temperature rather than water temperature due to a lack of global water temperature data layers, and predictive power of models is seldom evaluated. We developed 12 global lake (water) temperature-derived “BioLake” bioclimatic layers for distribution modeling of aquatic species and compared “climatch” climate matching predictions (from climatchR package) from BioLake with those based on BioClim temperature layers and with a null model. We did this for 73 established AIS in the United States, training the models on their ranges outside of the United States and Canada. Models using either set of climate layers outperformed the null expectation by a similar (but modest) amount on average, but some species were occasionally found in locations with low climatch scores. Mean US climatch scores were higher for most species when using air temperature. Including additional climate layers in models reduced mean climatch scores, indicating that commonly used climatch score thresholds are not absolute but can be context specific and may require calibration based upon climate data used. Although finer resolution global lake temperature data would likely improve predictions, our BioLake layers provide a starting point for aquatic species distribution modeling. Climate matching was most effective for some species that originated at low latitudes or had small ranges. Climatch scores remain useful but limited for predicting AIS risk, perhaps because current ranges seldom fully reflect climatic tolerances (fundamental niches). Managers could consider climate matching as one of a suite of tools that can be used in AIS prioritization.

Ecosphere↗

PopEquus: a predictive modeling tool to support management decisions for free-roaming horse populations

Feral horse ( Equus caballus ) population management is a challenging problem around the world because populations often exhibit density-independent growth, can exert negative ecological effects on ecosystems, and require great cost to be managed. However, strong value-based connections between people and horses cause contention around management decisions. To help make informed decisions, natural resource managers might benefit from more detailed understanding of how horse management alternatives, including combinations of removals and fertility control methods, could achieve objectives of sustainable, multiple-use ecosystems while minimizing overall horse handling and fiscal costs. Here, we describe a modeling tool that simulates horse management alternatives and estimates trade-offs in predicted metrics related to population size, animal handling, and direct costs of management. The model considers six management actions for populations (removals for adoption or long-term holding; fertility control treatment with three vaccines, intrauterine devices, and mare sterilization), used alone or in combination. We simulated 19 alternative management scenarios at 2-, 3-, and 4-year management return intervals and identified efficiency frontiers among alternatives for trade-offs between predicted population size and six management metrics. Our analysis identified multiple alternatives that could maintain populations within target population size ranges, but some alternatives (e.g., removal and mare sterilization, removal and GonaCon treatment) performed better at minimizing overall animal handling requirements and management costs. Cost savings increased under alternatives with more effective, longer lasting fertility control techniques over longer management intervals compared with alternatives with less-effective, shorter lasting fertility control techniques. We built a user-friendly website application, PopEquus , that decision makers and interested individuals can use to simulate management alternatives and evaluate trade-offs among management and cost metrics. Our results and website application provide quantitative trade-off tools for horse population management decisions and can help support value-based management decisions for wild or feral horse populations and ecosystems at local and regional scales around the world.

Ecosphere↗

A habitat-centered framework for wildlife climate change vulnerability assessments: Application to Gunnison sage-grouse

The persistence of threatened wildlife species depends on successful conservation and restoration of habitats, but climate change and other stressors make these tasks increasingly challenging. Applying climate change vulnerability analyses to contemporary wildlife management can be difficult because most analyses predict direct effects of future climate on wildlife species at broad geographic scales, rather than assessing their habitats at local scales (<1 km) that correspond to site-specific habitat management actions. We present a framework that synthesizes vegetation-focused vulnerability assessments to assess multiple effects on wildlife species' diverse habitat needs, providing a scenario-driven climate vulnerability assessment that maps differences in vulnerability of populations within a species' range. Our flexible habitat-centered synthesis approach leverages available spatial datasets describing projected exposure to vegetation changes due to climate change and other potentially synergistic stressors, reclassifies and weights them based on available estimates of species' sensitivity to these changes, and recombines them to create <1-km resolution maps of overall species vulnerability and threat-specific habitat vulnerability . To demonstrate its potential to guide decision-making, we applied this approach to the Gunnison sage-grouse ( Centrocercus minimus ), a federally threatened habitat specialist that depends on sagebrush and mesic habitats that are imperiled by climate change. We mapped six threats forecasted out to the year 2070: direct effects of climate on (1) sagebrush cover loss and (2) mesic habitat drying, indirect changes in invasion risk from (3) pinyon–juniper conifers and (4) annual grasses, and potentially synergistic risk of (5) development and (6) wildfire. We then assessed species vulnerability for each of the eight extant populations under three climate scenarios: Optimistic, Continuation, and Pessimistic. We found that the extent of cumulative species vulnerability due to multiple habitat changes was far greater than the extent of any single habitat vulnerability. Over 75% of critical habitats were at risk under the Pessimistic scenario, and nearly two thirds of habitats were at high risk for three or more threats. Invasive species were the most widespread threat, highlighting the importance of indirect effects of climate change. We illustrate how our approach can be applied to the existing management planning strategies to better prioritize conservation of habitats for the persistence of threatened species.

Colorado, Utah↗