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Estimated Withdrawals and Use of Water in Colorado, 2005

The future health and economic welfare of the people and environment of Colorado depend on a continuous supply of fresh water. Detailed, comprehensive information on the use of water from Colorado's diverse surface-water and groundwater resources is important to water managers and planners by providing information they need to quantify current stresses and estimate and plan for future water needs. As part of the U.S. Geological Survey's (USGS) National Water Use Information Program (NWUIP), Statewide water withdrawal and water-use data have been collected or estimated and summarized in this report by county and by four-digit hydrologic unit code for the following seven water-use categories: irrigation (crop and golf course), public supply, self-supplied domestic, self-supplied industrial, livestock, mining, and thermoelectric power generation. A summary for instream water use for hydroelectric power generation also is included. This report is published in cooperation with the Colorado Water Conservation Board. In 2005, an estimated 13,581.22 million gallons per day (Mgal/d) was withdrawn from groundwater and surface-water sources in Colorado for the seven water-use categories. Withdrawals from surface water represented about 11,035 Mgal/d, or 81.3 percent of the total, whereas withdrawals from groundwater sources represented an estimated 2,546 Mgal/d or 18.7 percent of the total. Irrigation (combined crop and golf course) totaled 12,362.49 Mgal/d or 91 percent of the total water withdrawals in the State of Colorado. Crop irrigation accounted for 99.7 percent (12,321.85 Mgal/d) of the irrigation, whereas the 243 turf golf courses in Colorado accounted for 0.3 percent (40.64 Mgal/d) of the total irrigation water withdrawals. Total withdrawals for the other water-use categories were public supply, 864.17 Mgal/d; self-supplied domestic, 34.43 Mgal/d; self-supplied industrial, 142.44 Mgal/d; livestock, 33.06 Mgal/d; mining, 21.42 Mgal/d (includes both fresh and saline water); and thermoelectric, 123.21 Mgal/d. The counties with the largest total withdrawals (greater than 500 Mgal/d) were Mesa, Weld, Rio Grande, Montrose, Gunnison, and Saguache. Counties with the smallest total withdrawals (less than 5 Mgal/d) were Clear Creek, Gilpin, and San Juan. Four-digit hydrologic unit codes with the greatest withdrawals were 1019 (South Platte River Basin), 1301 (Rio Grande Basin), and 1102 (Arkansas River Basin); the high withdrawal rates were driven by crop irrigation withdrawals. Total instream water use for hydroelectric power generation was 5,253.60 Mgal/d. Groundwater withdrawals were estimated for 2004 for the bedrock and overlying alluvial aquifers in the Denver Basin for irrigation, public supply, commercial/industrial, household use only, and domestic/livestock water-use categories. Withdrawals were estimated for input into the USGS Denver Basin model by using the equations in the Senate Bill 96-074 groundwater model. The greatest withdrawals were for public supply. The smallest withdrawals were for household-use-only wells. Douglas County had the greatest groundwater withdrawals (183.98 Mgal/d), whereas Broomfield County had the smallest (3.09 Mgal/d). Of the seven Denver Basin aquifers, the Lower Arapahoe aquifer had the greatest total estimated withdrawals (287.11 Mgal/d), with Douglas County having the greatest public-supply withdrawal of any county (95.29 Mgal/d) from this aquifer. The Upper Dawson aquifer was the least used of the Denver Basin aquifers, based on estimated withdrawals of 17.64 Mgal/d. As part of the Colorado Statewide Water Supply Initiative (SWSI), forecasts of future water demand were made based on information such as population, climate, and then-current (2000) water-use information and did not include the effects of future water conservation. Categories compared between estimates in the SWSI baseline forecasted water demand and the USGS water-use compilation were limited to county population and w

Scientific Investigations Report↗

Wetland fire scar monitoring and analysis using archival Landsat data for the Everglades

The ability to document the frequency, extent, and severity of fires in wetlands, as well as the dynamics of post-fire wetland land cover, informs fire and wetland science, resource management, and ecosystem protection. Available information on Everglades burn history has been based on field data collection methods that evolved through time and differ by land management unit. Our objectives were to (1) design and test broadly applicable and repeatable metrics of not only fire scar delineation but also post-fire land cover dynamics through exhaustive use of the Landsat satellite data archives, and then (2) explore how those metrics relate to various hydrologic and anthropogenic factors that may influence post-fire land cover dynamics. Visual interpretation of every Landsat scene collected over the study region during the study time frame produced a new, detailed database of burn scars greater than 1.6 ha in size in the Water Conservation Areas and post-fire land cover dynamics for Everglades National Park fires greater than 1.6 ha in area. Median burn areas were compared across several landscape units of the Greater Everglades and found to differ as a function of administrative unit and fire history. Some burned areas transitioned to open water, exhibiting water depths and dynamics that support transition mechanisms proposed in the literature. Classification tree techniques showed that time to green-up and return to pre-burn character were largely explained by fire management practices and hydrology. Broadly applicable as they use data from the global, nearly 30-year-old Landsat archive, these methods for documenting wetland burn extent and post-fire land cover change enable cost-effective collection of new data on wetland fire ecology and independent assessment of fire management practice effectiveness.

Florida↗

Consumer isoscapes reveal heterogeneous food webs in deep-sea submarine canyons and adjacent slopes

The deep sea is the largest biome on earth, but one of the least studied despite its critical role in global carbon cycling and climate buffering. Deep-sea organisms largely rely on particulate organic matter from the surface ocean for energy – these organisms in turn play critical roles in energy transport, transformation, storage, and sequestration of carbon. Within the deep sea, submarine canyons are amongst the most complex and dynamic environments in our oceans, where varied morphology, powerful currents, and variable nutrient conditions influence the distribution of species and transport of organic material throughout the water column and the seafloor. Significant habitat heterogeneity provides ideal substrates for cold-water corals, making submarine canyons of interest to conservation and management. However, how these and other topographic features in the deep ocean influence energy flow and trophic pathways is poorly known. Thus, submarine canyons serve as model systems to track variability in organic material flux and consequential utilization and assimilation by the benthos. In this study, we used an extensive stable isotope dataset to examine food-web structure in Baltimore and Norfolk submarine canyons and compared them to their adjacent slopes located along the U.S. Atlantic margin. Linear models were used to construct geospatially-explicit consumer isoscapes that predicted variation in carbon and nitrogen isotopes across the canyon-slope seascape, providing a predictive map from which to test hypotheses on the distribution and flow of energy resources, relevant to understanding whole community function. Communities were composed of isotopically diverse feeding groups with photosynthetically-derived organic carbon providing the basal food resource. Canyon communities were distinct from the slope, with canyon consumers significantly 13 C-depleted, indicating a greater supply and/or utilization of fresh organic matter compared to the slope. Isoscapes for benthic and suspension feeders were distinct, possibly due to the consumption of different quality organic matter sources (fresh = suspension feeders, old = benthic feeders), each with distinct isotope composition. To our knowledge, our modeled isoscapes represent the first spatially extensive isotopic maps of deep-sea consumers, providing insights into regional-scale variation in stable carbon and nitrogen isotopes for different consumer groups. They provide a baseline for tracking climate-change induced fluctuations in the quality and availability of surface primary production and the consequential impact to benthic communities, which play critical roles in carbon cycling in our world’s oceans.

Progress in Oceanography↗

Using new video mapping technology in landscape ecology

Biological and ecological monitoring continues to play an important role in the conservation of species, natural communities, and landscapes ( Spellerberg 1991 ). Although resource-monitoring programs have advanced knowledge about natural ecosystems, weaknesses persist in our ability to rapidly transfer landscape-scale information to the public. Ecologists continue to search for new technologies to address this problem and to communicate natural resource information quickly and effectively. New video mapping technology may provide much-needed help. Ecologists realize that only a small portion of large nature reserves can be monitored because of cost and logistical constraints. However, plant and animal populations are usually patchily distributed in subpopulations scattered throughout heterogeneous landscapes, and they are often associated with rare habitats. These subpopulations and rare habitats may respond differently to climate change, land use, and management practices such as grazing, fire suppression, prescribed burning, or invasion of exotic species ( Stohlgren et al. 1997b ). In many national parks, monuments, and wildlife reserves, a few long-term monitoring plots are used to infer the status and trends of natural resources in much larger areas. To make defensible inferences about populations, habitats, and landscapes, it is necessary to extrapolate from a few monitoring plots (local scale) to the larger, unsampled landscape with known levels of accuracy and precision. Recent technological developments have given population biologists and landscape ecologists a unique tool for bridging the data gap between small, intensively sampled monitoring plots and the greater landscape and for transferring this information quickly to resource managers and the public. In this article, we briefly describe this tool, a hand-held video mapping system linked to a geographic information system (GIS). We provide examples of its use in quantifying patterns of native and exotic plant species and cryptobiotic crusts in the new Grand Staircase–Escalante National Monument, Utah, and in surveying aspen clones and regeneration in Rocky Mountain National Park, Colorado.

BioScience↗

Sage-grouse habitat selection during winter in Alberta

Greater sage-grouse (Centrocercus urophasianus) are dependent on sagebrush (Artemisia spp.) for food and shelter during winter, yet few studies have assessed winter habitat selection, particularly at scales applicable to conservation planning. Small changes to availability of winter habitats have caused drastic reductions in some sage-grouse populations. We modeled winter habitat selection by sage-grouse in Alberta, Canada, by using a resource selection function. Our purpose was to 1) generate a robust winter habitat-selection model for Alberta sage-grouse; 2) spatially depict habitat suitability in a Geographic Information System to identify areas with a high probability of selection and thus, conservation importance; and 3) assess the relative influence of human development, including oil and gas wells, in landscape models of winter habitat selection. Terrain and vegetation characteristics, sagebrush cover, anthropogenic landscape features, and energy development were important in top Akaike's Information Criterionselected models. During winter, sage-grouse selected dense sagebrush cover and homogenous less rugged areas, and avoided energy development and 2-track truck trails. Sage-grouse avoidance of energy development highlights the need for comprehensive management strategies that maintain suitable habitats across all seasons. ?? 2010 The Wildlife Society.

Journal of Wildlife Management↗

Development of a species status assessment process for decisions under the U.S. Endangered Species Act

Decisions under the U.S. Endangered Species Act (ESA) require scientific input on the risk that the species will become extinct. A series of critiques on the role of science in ESA decisions have called for improved consistency and transparency in species risk assessments and clear distinctions between science input and policy application. To address the critiques and document the emerging practice of the U.S. Fish and Wildlife Service (USFWS), we outline an assessment process based on principles and practices of risk and decision analyses that results in a scientific report on species status. The species status assessment (SSA) process has three successive stages: 1) document the life history and ecological relationships of the species in question to provide the foundation for the assessment, 2) describe and hypothesize causes for the current condition of the species, and 3) forecast the species' future condition. The future condition refers to the ability of a species to sustain populations in the wild under plausible future scenarios. The scenarios help explore the species' response to future environmental stressors and to assess the potential for conservation to intervene to improve its status. The SSA process incorporates modeling and scenario planning for prediction of extinction risk and applies the conservation biology principles of representation, resiliency, and redundancy to evaluate the current and future condition. The SSA results in a scientific report distinct from policy application, which contributes to streamlined, transparent, and consistent decision-making and allows for greater technical participation by experts outside of the USFWS, for example, by state natural resource agencies. We present two case studies based on assessments of the eastern massasauga rattlesnake Sistrurus catenatus and the Sonoran Desert tortoise Gopherus morafkai to illustrate the process. The SSA builds upon the past threat-focused assessment by including systematic and explicit analyses of a species' future response to stressors and conservation, and as a result, we believe it provides an improved scientific analysis for ESA decisions.

Journal of Fish and Wildlife Management↗

Biosecurity Plan for Palmyra Atoll

This Biosecurity Plan for Palmyra Atoll was developed for The Nature Conservancy (TNC) Palmyra Program to refine and expand goals and objectives developed through the Conservation Action Plan process. The Biosecurity Plan is one in a series of adaptive management plans designed to achieve TNC's mission toward the protection and enhancement of native wildlife and habitat. The Biosecurity Plan focuses on ecosystem security, and specifically identifies and addresses issues related to non-native and potentially invasive species. The Plan attempts to identify pathways of invasion and strategies for preventing or reducing new introductions. Overall, the Biosecurity Plan provides a framework to implement and track the progress of conservation and restoration goals related to non-native species on Palmyra Atoll. Palmyra Atoll is one of the Northern Line Islands in the Pacific Ocean southwest of the Hawai`ian Islands. It consists of many heavily vegetated islets arranged in a horseshoe pattern around four lagoons and surrounded by a coral reef. At present, Palmyra Atoll harbors various non-native or invasive species in the terrestrial and marine ecosystems. The most notable examples of terrestrial invasive species include coconut trees (Cocos nucifera) and black rats (Rattus rattus). Although it is unclear whether they are non-native, coconut trees are currently the most dominant plant across Palmyra Atoll. They compete with native plant species for space and resources, and are potentially detrimental to seabirds dependent on native vegetation. Black rats are known to predate ground-nesting seabirds and are likely responsible for the lack of burrowing seabird reproduction on Palmyra Atoll. The most notable example of a marine invasive species is the corallimorph (Rhodactis howsei). Although Rhodactis howsei is a native species, it can take advantage of human-altered habitat and significantly change the natural habitat by aggressively outcompeting native corals. Although the extent and impacts of these and other non-native and (or) invasive species are not fully understood, they are clearly a threat to the native species and overall ecosystem integrity of Palmyra Atoll. In fact, non-native invasive species have been considered the most important threat to ecosystems in Hawai`i and the second most important threat to biodiversity world-wide. Palmyra Atoll is somewhat protected because of its remote location, but there are still potential pathways for the introduction of non-native and possibly invasive species. With the continued influx of aircraft and ocean vessels and their contents to and around Palmyra Atoll, we anticipate many more concerns related to the import and spread of non-native invasive species in the future. In terms of ecosystem security, prevention is the most effective and efficient tool for managing invasive species. There are various potential pathways for introduction and spread of non-native species within Palmyra Atoll's terrestrial and marine ecosystems. Identification of these pathways provides a first step in preventing introductions. We also recommend establishing, enhancing, and enforcing quarantine protocols to prevent future non-native species invasions. Other critical steps to minimize the impacts and spread of invasive species include early detection through inventory and monitoring, as well as containment, control, and management of non-native species already established at Palmyra Atoll. These efforts in combination with research and education will serve to inform management decisions related to ecosystem integrity. Along with reinstating ecosystem security, this Biosecurity Plan aims to evaluate new risk factors related to non-native and potentially invasive species. To that end, an adaptive management process of audit and review is highly recommended to ensure the implementation and efficacy of the management practices outlined above. In addition, it will be important to identify high r

Open-File Report↗

Spatial conservation planning under uncertainty: Adapting to climate change risks using modern portfolio theory

Climate change and urban growth impact habitats, species, and ecosystem services. To buffer against global change, an established adaptation strategy is designing protected areas to increase representation and complementarity of biodiversity features. Uncertainty regarding the scale and magnitude of landscape change complicates reserve planning and exposes decision makers to risk of failing to meet conservation goals. Conservation planning tends to treat risk as an absolute measure, ignoring the context of the management problem and risk preferences of stakeholders. Application to conservation of risk management theory emphasizes diversification of portfolio of assets, with the goal of reducing the impact of system volatility on investment return. We use principles of Modern Portfolio Theory (MPT), which quantifies risk as the variance and correlation among assets, to formalize diversification as an explicit strategy for managing risk in climate‐driven reserve design. We extend MPT to specify a framework that evaluates multiple conservation objectives, allows decision makers to balance management benefits and risk when preferences are contested or unknown, and includes additional decision options such as parcel divestment when evaluating candidate reserve designs. We apply an efficient search algorithm that optimizes portfolio design for large conservation problems and a game theoretic approach to evaluate portfolio tradeoffs that satisfy decision makers with divergent benefit and risk tolerances, or when a single decision maker cannot resolve their own preferences. Evaluating several risk profiles for a case study in South Carolina, our results suggest that a reserve design may be somewhat robust to differences in risk attitude but that budgets will likely be important determinants of conservation planning strategies, particularly when divestment is considered a viable alternative. We identify a possible fiscal threshold where adequate resources allow protecting a sufficiently diverse portfolio of habitats such that the risk of failing to achieve conservation objectives is considerably lower. For a range of sea‐level rise projections, conversion of habitat to open water (14‐180%) and wetland loss (1‐7%) are unable to be compensated under the current protected network. In contrast, optimal reserve design outcomes are predicted to ameliorate expected losses relative to current and future habitat protected under the existing conservation estate.

South Carolina↗

Cooperative Fish and Wildlife Research Units Program—2015 Year In Review

Summary The Cooperative Fish and Wildlife Research Unit (CRU) Program had its 80th anniversary in 2015. We did not have a party, but those of us who work directly for the Unit program on a daily basis celebrate the privilege we feel in being part of one of the greatest conservation institutions in history. Our mission is our hallmark: meeting the actionable science needs of our cooperators, providing them technical guidance and assistance in interpreting and applying new advances in science, and developing the future workforce through graduate education and mentoring. Our success in accomplishing our mission is due principally to the caliber of the scientists and students they recruit, and the tremendous support from our cooperators. The National Cooperators Coalition has been active in fostering support and I am very excited about their energy. A Special Session at the 2015 North American Wildlife and Natural Resources Conference was dedicated to the Unit program, and a vision for our future was presented at this most prestigious conservation policy forum. We compiled a directory of expertise within the Unit program organized within thematic science areas as identified by our cooperators. We intend for this directory to facilitate our transboundary initiatives where two or more Units in collaboration will be the catalyst that binds agencies and organizations together on landscape scale conservation science. We are co-sponsoring a workshop at the 2016 North American conference, along with the Association of Fish and Wildlife Agencies, the American Fisheries Society, and The Wildlife Society to jump-start a dialogue on and identify issues associated with the widening gap between science and management. The CRU is viewed by our cooperators as being the standard for delivering actionable science in conservation, and the exception to the emerging trend. This is testament to the legacy of the Unit Program and the foundation it is built upon. In this Year in Review report, you will find details on staffing, vacancies, research funding, and other pertinent information. You will also see snapshots of Unit projects with information on how results have been or are being applied by cooperators. That is the essence of what we do: science that matter.

Circular↗

Methods to reduce conflicts between cranes and farmers

Alternative methods to reduce conflicts between cranes and farmers range from relatively simple, inexpensive disturbance methods to changes in land use at a landscape scale. Visual and acoustics disturbance methods can be useful for small fields or gardens but require frequent changes to prevent habituation by the cranes. Changes in farming practices can be implemented by individual farmers and matched to the local situation. By altering timing of seeding and harvest, harvest methods, and other management practices, farmers can minimize the vulnerability of the crop or its attractiveness to cranes. Crop damage can be reduced by strategically locating high-risk crops away from crane roosts or high-use areas. Diversionary fields, where cranes can forage on nutritious, preferred foods near their roost without disturbance, are one of the more effective methods to reduce crop damage. Artificial feeding may be appropriate as a temporary measure but its long-term use should only be a last option where no alternative wintering areas or food resources are available or restorable. Chemical treatment of seeds can deter cranes from taking newly sown seeds and seedlings. Conflicts with farmers can be mitigated by financial or other compensation, or through conservation approaches. Financial mechanisms should be used cautiously as they can dilute or corrupt local traditions of tolerance. An integrated approach, using several methods, is more likely to be effective in the long term. Farmers and communities are more likely to embrace alternative measures if they understand basic crane ecology and if the measures are clearly beneficial to the farmers. Developing a broader range of tools to better understand the conflict, to understand farmer perceptions of cranes, and to help implement strategies to improve positivist attitudes is necessary. Multi-disciplinary approaches that incorporate social, economic as well as ecological aspects of the issue are very rare, and much needed to develop workable solutions.

Book chapter↗

Coherence between harvest and habitat management -- Joint venture perspectives

Introduction: In recent months, an ad hoc group of waterfowl scientists, representing the International Association of Fish and Wildlife Agencies (IAFWA) Adaptive Harvest Management (ARM) Task Force and the North American Waterfowl Management Plan (NAWMP) Committee, have collaborated as a Joint Task Group (JTG) to assess options for unifying the population goals guiding waterfowl harvest management and habitat management. The JTG has been charged with bringing coherence to the population goals of the two programs. Characterizing the problem as one of coherence indicates value judgments exist regarding its significance or perhaps existence. For purposes of this paper, we characterize the lack of coherence as the absence of consistent population goals in the two related components of waterfowl conservation habitat and harvest management. Our purpose is to support continued dialogue on the respective goals of these programs and the possible implications of discordant goals to habitat joint ventures. Our objectives are two-fold: (1) illustrate how NAWMP habitat management goals and strategies have been interpreted and pursued in both breeding and wintering areas, and (2) provide perspectives on the linkages between regional habitat management programs and harvest management. The Lower Mississippi Valley and the Prairie Pothole joint ventures (LMVJV and PPJV, respectively) will be used as examples.

Transactions of the North American Wildlife and Na↗

Status of groundwater levels and storage volume in the Equus Beds aquifer near Wichita, Kansas, January 2016

The Equus Beds aquifer in south-central Kansas, which is part of the High Plains aquifer, serves as a source of water for municipal and agricultural users in the area. The city of Wichita has used the Equus Beds aquifer as one of its primary water sources since the 1940s. The aquifer in and around Wichita’s well field reached historically low water levels in 1993, prompting the city to adopt new water-use and conservation strategies to ensure future water supply needs were met. Part of the plan was to initiate a managed aquifer recharge program called the Equus Beds Aquifer Storage and Recovery project. The goal of the managed aquifer recharge program is to artificially recharge the Equus Beds aquifer with treated water from the Little Arkansas River. As part of the Equus Beds Aquifer Storage and Recovery project, the city of Wichita and the U.S. Geological Survey have partnered in a long-term cooperative study to monitor and describe the quantity and quality of the water in the Equus Beds aquifer and the Little Arkansas River. The city of Wichita, the Equus Beds Groundwater Management District No. 2, the Kansas Department of Agriculture–Division of Water Resources, and the U.S. Geological Survey collected groundwater levels in numerous wells screened in the Equus Beds aquifer in the area in and around Wichita’s well field in January 2016. The measurements were used to interpolate potentiometric surfaces for shallow and deep parts of the aquifer in the study area. These potentiometric surfaces were compared with potentiometric surfaces from previous years to estimate changes in water levels and storage volume in the study area. Groundwater levels were generally higher in January 2016 than they were in January 2015. On average, in January 2016, groundwater levels in the shallow part of the aquifer were about 3.4 feet higher and groundwater levels in the deep part of the aquifer were about 3.8 feet higher than in January 2015. The volume of water stored in the study area decreased by about 74,000 acre-feet between predevelopment (the time period before substantial pumpage began in the 1940s) and January 2016; increased by about 121,000 acre-feet between the historic low in 1993 and January 2016; and increased by about 61,000 acre-feet between January 2015 and January 2016. About 62 percent of the storage volume lost between predevelopment and 1993 has been recovered. The increase in storage volume from January 2015 to January 2016 can probably be attributed to less pumping by the city of Wichita and irrigators, more recharge due to higher-than-average precipitation, and higher volumes of artificial recharge in 2015.

Kansas↗

Waif gopher tortoise survival and site fidelity following translocation

Gopher tortoises ( Gopherus polyphemus ) are among the most commonly translocated reptiles. Waif tortoises are animals frequently of unknown origin that have been displaced from the wild and often held in human possession for various reasons and durations. Although there are risks associated with any translocation, waif tortoises are generally excluded from translocation projects because of heightened concerns of introducing pathogens and uncertainty about the post-release survival of these individuals. If these risks could be managed, waif tortoises could have conservation value because they can provide the needed numbers to stabilize populations. In the early 1990s, the discovery of an isolated population of gopher tortoises (≤15 individuals) near Aiken, South Carolina, USA, prioritized establishment of the Aiken Gopher Tortoise Heritage Preserve (AGTHP). Because of the population's need for augmentation and the site's isolation from other tortoise populations, the AGTHP provided the opportunity to evaluate the post-release survival of translocated waif tortoises without compromising a viable population. Since 2006, >260 waif tortoises have been introduced to the preserve. Using a Cormack-Jolly-Seber modeling framework to analyze release records and capture histories from trapping efforts in 2017 and 2018, we estimated the long-term apparent survival and site fidelity of this population composed largely of waif tortoises. We estimated annual apparent survival probabilities to be high (≥0.90) for subadult, adult male, and adult female tortoises, and these rates were similar to those reported for wild-to-wild translocated gopher tortoises and those from unmanipulated populations. Of the tortoises recaptured within the boundaries of the preserve, 75% were located within 400 m of their release location. These results suggest that waif tortoises could be an important resource in reducing the extirpation risk of isolated populations. © 2021 The Wildlife Society.

South Carolina↗

Identifying physical characteristics and functional traits of forbs preferred or highly visited by bees in the Prairie Pothole Region

Establishing and enhancing pollinator habitat to support declining bee populations is a national goal within the United States. Pollinator habitat is often created through incentive-based conservation programs, and the inclusion of cost-effective forbs within the habitat design is a critical component of such programs. U.S. Geological Survey research from 2015 to 2019 identified forb species that (1) were preferred or highly visited by bees, (2) demonstrated high rates of establishment success, and (3) could be purchased at reduced cost. In this report, we enhance this past research by identifying common physical characteristics and functional traits of these cost-effective forbs so that land managers may have easy access to information on cost-effective forbs for new conservation plantings. This report highlights 22 forb species that were preferred and (or) highly visited by honey bees ( Apis mellifera Linnaeus) or wild bees. Of the species evaluated for cost-effectiveness, most had less than average seed cost and greater than average apparent establishment rates. Several forb species were not considered cost effective because of bee avoidance, poor establishment, or high seed cost. Most forbs preferred or highly visited by bees were from the Asteraceae family and demonstrated a wide range of flower color. Forb species represented a range of wetland statuses from facultative wetland to upland, indicating that wetland and nonwetland habitat types represent areas where important floral resources for bees exist. Many forb species were in bloom from June to September, but our results showcase forb species that could be used in conservation projects seeking early- (June–July) or late-season (August–September) floral resources for pollinators.

Prairie Pothole Region↗

Section 3. The SPARROW Surface Water-Quality Model—Theory, application and user documentation

SPARROW (SPAtially Referenced Regressions On Watershed attributes) is a watershed modeling technique for relating water-quality measurements made at a network of monitoring stations to attributes of the watersheds containing the stations. The core of the model consists of a nonlinear regression equation describing the non-conservative transport of contaminants from point and diffuse sources on land to rivers and through the stream and river network. The model predicts contaminant flux, concentration, and yield in streams and has been used to evaluate alternative hypotheses about the important contaminant sources and watershed properties that control transport over large spatial scales. This report provides documentation for the SPARROW modeling technique and computer software to guide users in constructing and applying basic SPARROW models. The documentation gives details of the SPARROW software, including the input data and installation requirements, and guidance in the specification, calibration, and application of basic SPARROW models, as well as descriptions of the model output and its interpretation. The documentation is intended for both researchers and water-resource managers with interest in using the results of existing models and developing and applying new SPARROW models. The documentation of the model is presented in two parts. Part 1 provides a theoretical and practical introduction to SPARROW modeling techniques, which includes a discussion of the objectives, conceptual attributes, and model infrastructure of SPARROW. Part 1 also includes background on the commonly used model specifications and the methods for estimating and evaluating parameters, evaluating model fit, and generating water-quality predictions and measures of uncertainty. Part 2 provides a user's guide to SPARROW, which includes a discussion of the software architecture and details of the model input requirements and output files, graphs, and maps. The text documentation and computer software are available on the Web at http://usgs.er.gov/sparrow/sparrow-mod.html .

Techniques and Methods↗

Genetic management guidelines for captive propagation of freshwater mussels (unionoidea)

Although the greatest global diversity of freshwater mussels (???300 species) resides in the United States, the superfamily Unionoidea is also the most imperiled taxon of animals in the nation. Thirty-five species are considered extinct, 70 species are listed as endangered or threatened, and approximately 100 more are species of conservation concern. To prevent additional species losses, biologists have developed methods for propagating juvenile mussels for release into the wild to restore or augment populations. Since 1997, mussel propagation facilities in the United States have released over 1 million juveniles of more than a dozen imperiled species, and survival of these juveniles in the wild has been documented. With the expectation of continued growth of these programs, agencies and facilities involved with mussel propagation must seriously consider the genetic implications of releasing captive-reared progeny. We propose 10 guidelines to help maintain the genetic resources of cultured and wild populations. Preservation of genetic diversity will require robust genetic analysis of source populations to define conservation units for valid species, subspecies, and unique populations. Hatchery protocols must be implemented that minimize risks of artificial selection and other genetic hazards affecting adaptive traits of progeny subsequently released to the wild. We advocate a pragmatic, adaptive approach to species recovery that incorporates the principles of conservation genetics into breeding programs, and prioritizes the immediate demographic needs of critically endangered mussel species.

Journal of Shellfish Research↗

Value-focused framework for defining landscape-scale conservation targets

Conservation of natural resources can be challenging in a rapidly changing world and require collaborative efforts for success. Conservation planning is the process of deciding how to protect, conserve, and enhance or minimize loss of natural and cultural resources. Establishing conservation targets (also called indicators or endpoints), the measurable expressions of desired resource conditions, can help with site-specific up to landscape-scale conservation planning. Using conservation targets and tracking them through time can deliver benefits such as insight into ecosystem health and providing early warnings about undesirable trends. We describe an approach using value-focused thinking to develop statewide conservation targets for Florida. Using such an approach allowed us to first identify stakeholder objectives and then define conservation targets to meet those objectives. Stakeholders were able to see how their shared efforts fit into the broader conservation context, and also anticipate the benefits of multi-agency and -organization collaboration. We developed an iterative process for large-scale conservation planning that included defining a shared framework for the process, defining the conservation targets themselves, as well as developing management and monitoring strategies for evaluation of their effectiveness. The process we describe is applicable to other geographies where multiple parties are seeking to implement collaborative, large-scale biological planning.

Journal for Nature Conservation↗

Connecting research and practice to enhance the evolutionary potential of species under climate change

Resource managers have rarely accounted for evolutionary dynamics in the design or implementation of climate change adaptation strategies. We brought the research and management communities together to identify challenges and opportunities for applying evidence from evolutionary science to support on-the-ground actions intended to enhance species' evolutionary potential. We amalgamated input from natural-resource practitioners and interdisciplinary scientists to identify information needs, current knowledge that can fill those needs, and future avenues for research. Three focal areas that can guide engagement include: (1) recognizing when to act, (2) understanding the feasibility of assessing evolutionary potential, and (3) identifying best management practices. Although researchers commonly propose using molecular methods to estimate genetic diversity and gene flow as key indicators of evolutionary potential, we offer guidance on several additional attributes (and their proxies) that may also guide decision-making, particularly in the absence of genetic data. Finally, we outline existing decision-making frameworks that can help managers compare alternative strategies for supporting evolutionary potential, with the goal of increasing the effective use of evolutionary information, particularly for species of conservation concern. We caution, however, that arguing over nuance can generate confusion; instead, dedicating increased focus on a decision-relevant evidence base may better lend itself to climate adaptation actions.

Conservation Science and Practice↗