USGS Science⌕ Search

SEARCH · USGS Science

Results for “Conservation and resource management.”

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 1,333 records · Page 74Linked to original sources

A comparison of monitoring designs to assess wildlife community parameters across spatial scales

Dedicated long-term monitoring at appropriate spatial and temporal scales is necessary to understand biodiversity losses and develop effective conservation plans. Wildlife monitoring is often achieved by obtaining data at a combination of spatial scales, ranging from local to broad, to understand the status, trends, and drivers of individual species or whole communities and their dynamics. However, limited resources for monitoring necessitates tradeoffs in the scope and scale of data collection. Careful consideration of the spatial and temporal allocation of finite sampling effort is crucial for monitoring programs that span multiple spatial scales. Here we evaluate the ability of five monitoring designs - stratified random, weighted effort, indicator unit, rotating panel, and split panel - to recover parameter values that describe the status (occupancy), trends (change in occupancy), and drivers (spatially-varying covariate and an autologistic term) of wildlife communities at two spatial scales. Using an amphibian monitoring program that spans a network of U.S. National Parks as a motivating example, we conducted a simulation study for a regional community occupancy sampling program to compare the monitoring designs across varying levels of sampling effort (ranging from 10 to 50%). We found that the stratified random design outperformed the other designs for most parameters of interest at both scales, and was thus generally preferable in balancing the estimation of status, trends, and drivers across scales. However, we found that other designs had improved performance in specific situations. For example, the rotating panel design performed best at estimating spatial drivers at a regional level. Thus, our results highlight the nuanced scenarios in which various design strategies may be preferred, and offer guidance as to how managers can balance common tradeoffs in large-scale and long-term monitoring programs in terms of the specific knowledge gained. Monitoring designs that improve accuracy in parameter estimates are needed to guide conservation policy and management decisions in the face of broad-scaled environmental challenges, but the preferred design is sensitive to the specific objectives of a monitoring program.

Ecological Applications↗

Competitive interactions and resource partitioning between northern spotted owls and barred owls in western Oregon

The federally threatened northern spotted owl ( Strix occidentalis caurina ) is the focus of intensive conservation efforts that have led to much forested land being reserved as habitat for the owl and associated wildlife species throughout the Pacific Northwest of the United States. Recently, however, a relatively new threat to spotted owls has emerged in the form of an invasive competitor: the congeneric barred owl ( S. varia ). As barred owls have rapidly expanded their populations into the entire range of the northern spotted owl, mounting evidence indicates that they are displacing, hybridizing with, and even killing spotted owls. The range expansion by barred owls into western North America has made an already complex conservation issue even more contentious, and a lack of information on the ecological relationships between the 2 species has hampered recovery efforts for northern spotted owls. We investigated spatial relationships, habitat use, diets, survival, and reproduction of sympatric spotted owls and barred owls in western Oregon, USA, during 2007–2009. Our overall objective was to determine the potential for and possible consequences of competition for space, habitat, and food between these previously allopatric owl species. Our study included 29 spotted owls and 28 barred owls that were radio-marked in 36 neighboring territories and monitored over a 24-month period. Based on repeated surveys of both species, the number of territories occupied by pairs of barred owls in the 745-km 2 study area (82) greatly outnumbered those occupied by pairs of spotted owls (15). Estimates of mean size of home ranges and core-use areas of spotted owls (1,843 ha and 305 ha, respectively) were 2–4 times larger than those of barred owls (581 ha and 188 ha, respectively). Individual spotted and barred owls in adjacent territories often had overlapping home ranges, but interspecific space sharing was largely restricted to broader foraging areas in the home range with minimal spatial overlap among core-use areas. We used an information-theoretic approach to rank discrete-choice models representing alternative hypotheses about the influence of forest conditions, topography, and interspecific interactions on species-specific patterns of nighttime resource selection. Spotted owls spent a disproportionate amount of time foraging on steep slopes in ravines dominated by old (>120 yr) conifer trees. Barred owls used available forest types more evenly than spotted owls, and were most strongly associated with patches of large hardwood and conifer trees that occupied relatively flat areas along streams. Spotted and barred owls differed in the relative use of old conifer forest (greater for spotted owls) and slope conditions (steeper slopes for spotted owls), but we found no evidence that the 2 species differed in their use of young, mature, and riparian-hardwood forest types. Mean overlap in proportional use of different forest types between individual spotted owls and barred owls in adjacent territories was 81% (range = 30–99%). The best model of habitat use for spotted owls indicated that the relative probability of a location being used was substantially reduced if the location was within or in close proximity to a core-use area of a barred owl. We used pellet analysis and measures of food-niche overlap to determine the potential for dietary competition between spatially associated pairs of spotted owls and barred owls. We identified 1,223 prey items from 15 territories occupied by spotted owls and 4,299 prey items from 24 territories occupied by barred owls. Diets of both species were dominated by nocturnal mammals, but diets of barred owls included many terrestrial, aquatic, and diurnal prey species that were rare or absent in diets of spotted owls. Northern flying squirrels ( Glaucomys sabrinus ), woodrats ( Neotoma fuscipes , N. cinerea ), and lagomorphs ( Lepus americanus , Sylvilagus bachmani ) were primary prey for both owl species, accounting for 81% and 49% of total dietary biomass for spotted owls and barred owls, respectively. Mean dietary overlap between pairs of spotted and barred owls in adjacent territories was moderate (42%; range = 28–70%). Barred owls displayed demographic superiority over spotted owls; annual survival probability of spotted owls from known-fate analyses (0.81, SE = 0.05) was lower than that of barred owls (0.92, SE = 0.04), and pairs of barred owls produced an average of 4.4 times more young than pairs of spotted owls over a 3-year period. We found a strong, positive relationship between seasonal (6-month) survival probabilities of both species and the proportion of old (>120 yr) conifer forest within individual home ranges, which suggested that availability of old forest was a potential limiting factor in the competitive relationship between these 2 species. The annual number of young produced by spotted owls increased linearly with increasing distance from a territory center of a pair of barred owls, and all spotted owls that attempted to nest within 1.5 km of a nest used by barred owls failed to successfully produce young. We identified strong associations between the presence of barred owls and the behavior and fitness potential of spotted owls, as shown by changes in movements, habitat use, and reproductive output of spotted owls exposed to different levels of spatial overlap with territorial barred owls. When viewed collectively, our results support the hypothesis that interference competition with barred owls for territorial space can constrain the availability of critical resources required for successful recruitment and reproduction of spotted owls. Availability of old forests and associated prey species appeared to be the most strongly limiting factors in the competitive relationship between these species, indicating that further loss of these conditions can lead to increases in competitive pressure. Our findings have broad implications for the conservation of spotted owls, as they suggest that spatial heterogeneity in vital rates may not arise solely because of differences among territories in the quality or abundance of forest habitat, but also because of the spatial distribution of a newly established competitor. Experimental removal of barred owls could be used to test this hypothesis and determine whether localized control of barred owl numbers is an ecologically practical and socio-politically acceptable management tool to consider in conservation strategies for spotted owls.

Oregon↗

Trophic structure of apex fish communities in closed versus leaky lakes of arctic Alaska

Despite low species diversity and primary production, trophic structure (e.g., top predator species, predator size) is surprisingly variable among Arctic lakes. We investigated trophic structure in lakes of arctic Alaska containing arctic char Salvelinus alpinus using stomach contents and stable isotope ratios in two geographically-close but hydrologically-distinct lake clusters to investigate how these fish may interact and compete for limited food resources. Aside from different lake connectivity patterns (‘leaky’ versus ‘closed’), differing fish communities (up to five versus only two species) between lake clusters allowed us to test trophic hypotheses including: (1) arctic char are more piscivorous, and thereby grow larger and obtain higher trophic positions, in the presence of other fish species; and, (2) between arctic char size classes, resource polymorphism is more prominent, and thereby trophic niches are narrower and overlap less, in the absence of other predators. Regardless of lake cluster, we observed little direct evidence of arctic char consuming other fishes, but char were larger (mean TL = 468 vs 264 mm) and trophic position was higher (mean TP = 4.0 vs 3.8 for large char) in lakes with other fishes. Further, char demonstrated less intraspecific overlap when other predators were present whereas niche overlap was up to 100% in closed, char only lakes. As hydrologic characteristics (e.g., lake connectivity, water temperatures) will change across the Arctic owing to climate change, our results provide insight regarding potential concomitant changes to fish interactions and increase our understanding of lake trophic structure to guide management and conservation goals.

Alaska↗

Resolving structural uncertainty in natural resources management using POMDP approaches

In recent years there has been a growing focus on the uncertainties of natural resources management, and the importance of accounting for uncertainty in assessing management effectiveness. This paper focuses on uncertainty in resource management in terms of discrete-state Markov decision processes (MDP) under structural uncertainty and partial observability. It describes the treatment of structural uncertainty with approaches developed for partially observable resource systems. In particular, I show how value iteration for partially observable MDPs (POMDP) can be extended to structurally uncertain MDPs. A key difference between these process classes is that structurally uncertain MDPs require the tracking of system state as well as a probability structure for the structure uncertainty, whereas with POMDPs require only a probability structure for the observation uncertainty. The added complexity of the optimization problem under structural uncertainty is compensated by reduced dimensionality in the search for optimal strategy. A solution algorithm for structurally uncertain processes is outlined for a simple example in conservation biology. By building on the conceptual framework developed for POMDPs, natural resource analysts and decision makers who confront structural uncertainties in natural resources can take advantage of the rapid growth in POMDP methods and approaches, and thereby produce better conservation strategies over a larger class of resource problems.

Ecological Modelling↗

Estimated rates of groundwater recharge to the Chicot, Evangeline and Jasper aquifers by using environmental tracers in Montgomery and adjacent counties, Texas, 2008 and 2011

Montgomery County is in the northern part of the Houston, Texas, metropolitan area, the fourth most populous metropolitan area in the United States. As populations have increased since the 1980s, groundwater has become an important resource for public-water supply and industry in the rapidly growing area of Montgomery County. Groundwater availability from the Gulf Coast aquifer system is a primary concern for water managers and community planners in Montgomery County and requires a better understanding of the rate of recharge to the system. The Gulf Coast aquifer system in Montgomery County consists of the Chicot, Evangeline, and Jasper aquifers, the Burkeville confining unit, and underlying Catahoula confining system. The individual sand and clay sequences of the aquifers composing the Gulf Coast aquifer system are not laterally or vertically continuous on a regional scale; however, on a local scale, individual sand and clay lenses can extend over several miles. The U.S. Geological Survey, in cooperation with the Lone Star Groundwater Conservation District, collected groundwater-quality samples from selected wells within or near Montgomery County in 2008 and analyzed these samples for concentrations of chlorofluorocarbons (CFCs), sulfur hexafluoride (SF 6 ), tritium (3H), helium-3/tritium ( 3 He/ 3 H), helium-4 ( 4 He), and dissolved gases (DG) that include argon, carbon dioxide, methane, nitrogen and oxygen. Groundwater ages, or apparent age, representing residence times since time of recharge, were determined by using the assumption of a piston-flow transport model. Most of the environmental tracer data indicated the groundwater was recharged prior to the 1950s, limiting the usefulness of CFCs, SF 6 , and 3 H concentrations as tracers. In many cases, no tracer was usable at a well for the purpose of estimating an apparent age. Wells not usable for estimating an apparent age were resampled in 2011 and analyzed for concentrations of major ions and carbon-14 ( 14 C). At six of these wells, additional 4 He and DG samples were collected and analyzed. Recharge rates estimated from environmental tracer data are dependent upon several hydrogeologic variables and have inherent uncertainties. By using the recharge estimates derived from samples collected from 14 wells completed in the Chicot aquifer for which apparent groundwater ages could be determined, recharge to the Chicot aquifer ranged from 0.2 to 7.2 inches (in.) per year (yr). Based on data from one well, estimated recharge to the unconfined zone of the Evangeline aquifer (outcrop) was 0.1 in./yr. Based on data collected from eight wells, estimated rates of recharge to the confined zone of the Evangeline aquifer ranged from less than 0.1 to 2.8 in./yr. Based on data from one well, estimated recharge to the unconfined zone of the Jasper aquifer (outcrop) was 0.5 in./yr. Based on data collected from nine wells, estimated rates of recharge to the confined zone of the Jasper aquifer ranged from less than 0.1 to 0.1 in./yr. The complexity of the hydrogeology in the area, uncertainty in the conceptual model, and numerical assumptions required in the determination of the recharge rates all pose limitations and need to be considered when evaluating these data on a countywide or regional scale. The estimated recharge rates calculated for this study are specific to each well location and should not be extrapolated or inferred as a countywide average. Local variations in the hydrogeology and surficial conditions can affect the recharge rate at a local scale.

Texas↗

Evaluation of strategies for balancing water use and streamflow reductions in the upper Charles River basin, eastern Massachusetts

The upper Charles River basin, located 30 miles southwest of Boston, Massachusetts, is experiencing water shortages during the summer. Towns in the basin have instituted water-conservation programs and water-use bans to reduce summertime water use. During July through October, streamflow in the Charles River and its tributaries regularly falls below 0.50 cubic foot per second per square mile, the minimum streamflow used by the U.S. Fish and Wildlife Service as its Aquatic Base Flow standard for maintaining healthy freshwater ecosystems. To examine how human water use could be changed to mitigate these water shortages, a numerical ground-water flow model was modified and used in conjunction with response coefficients and optimization techniques. Streamflows at 10 locations on the Charles River and its tributaries were determined under various water-use scenarios and climatic conditions. A variety of engineered solutions to the water shortages were examined for their ability to increase water supplies and summertime streamflows. Results indicate that although human water use contributes to the problem of low summertime streamflows, human water use is not the only, or even the primary, cause of low flows in the basin. The lowest summertime streamflows increase by 12 percent but remain below the Aquatic Base Flow standard when all public water-supply pumpage and wastewater flows in the basin are eliminated in a simulation under average climatic conditions. Under dry climatic conditions, the same measures increase the lowest average monthly streamflow by 95 percent but do not increase it above the Aquatic Base Flow standard. The most promising water-management strategies to increase streamflows and water supplies, based on the study results, include wastewater recharge to the aquifer, altered management of pumping well schedules, regional water-supply sharing, and water conservation. In a scenario that simulated towns sharing water supplies, streamflow in the Charles River as it exits the basin increased by 18 percent during July through September and an excess water-supply capacity of 13.4 cubic feet per second, above and beyond average use, would be available to all towns in the basin. These study results could help water suppliers and regulators evaluate strategies for balancing ground-water development and streamflow reductions in the basin.

Massachusetts↗

White-nose syndrome in bats: a primer for resource managers

White-nose syndrome emerged as a devastating new disease of North American hibernating bats over the past four winters. The disease has spread more than 1,600 kilometers (1,000 mi) since it was first observed in a small area of upstate New York, and has affected six species of bats in the caves and mines they rely on for winter survival. A newly discovered, cold-loving fungus (Geomyces destructans) causes the characteristic skin infection of white-nose syndrome and can infect presumably healthy bats when they hibernate. Although clear links between skin infection by G. destructans and death have not yet been established, the fungus is the most plausible cause of the disease. Thousands of caves and mines are administered by the National Park Service. Although bats testing positive for white-nose syndrome have been detected only at two sites in the National Park System thus far, the National Park Service (NPS) has been preparing for the spread and effects of white-nose syndrome through a proactive national program of response coordination, research support and interpretation, and education. National park areas across the nation are uniquely situated to help understand white-nose syndrome and its ecosystem impacts, and assist in the conservation and recovery of affected bat species.

Park Science↗

Climate futures for lizards and snakes in western North America may result in new species management issues

We assessed changes in fundamental climate-niche space for lizard and snake species in western North America under modeled climate scenarios to inform natural resource managers of possible shifts in species distributions. We generated eight distribution models for each of 130 snake and lizard species in western North America under six time-by-climate scenarios. We combined the highest-performing models per species into a single ensemble model for each scenario. Maps were generated from the ensemble models to depict climate-niche space for each species and scenario. Patterns of species richness based on climate suitability and niche shifts were calculated from the projections at the scale of the entire study area and individual states and provinces, from Canada to Mexico. Squamate species' climate-niche space for the recent-time climate scenario and published known ranges were highly correlated ( r = 0.81). Overall, reptile climate-niche space was projected to move northward in the future. Sixty-eight percent of species were projected to expand their current climate-niche space rather than to shift, contract, or remain stable. Only 8.5% of species were projected to lose climate-niche space in the future, and these species primarily occurred in Mexico and the southwestern U.S. We found few species were projected to lose all suitable climate-niche space at the state or province level, although species were often predicted to occupy novel areas, such as at higher elevations. Most squamate species were projected to increase their climate-niche space in future climate scenarios. As climate niches move northward, species are predicted to cross administrative borders, resulting in novel conservation issues for local landowners and natural resource agencies. However, information on species dispersal abilities, landscape connectivity, biophysical tolerances, and habitat suitability is needed to contextualize predictions relative to realized future niche expansions.

Ecology and Evolution↗

Compilation and assessment of resource values and hazards to inform transportation planning and associated land-use planning

Land-use planning has an important role in local, regional, State, and Federal land management, and planning efforts can benefit from consistent, spatially explicit information that can help guide priorities and decisions. The credibility and relevance of information used to inform planning activities depends on the availability of consistent information about the resources and values of interest or concern within the planning area. To support long-range transportation planning and other regional land-use planning efforts, the U.S. Geological Survey gathered, processed, interpreted, and compiled spatial datasets representing a wide range of information on terrestrial and aquatic ecosystem condition and importance, cultural (historical) features and places, and natural hazards. This report describes the spatial data compiled to represent natural landscape conditions (including social, cultural, and natural attributes) to estimate the potential importance of lands for wildlife, wild habitats, recreation, and conservation based on abundance of species, habitats, land and water conditions, and conservation designations. Abundance of resources, including the potential number of species, presence of important habitats and protected areas, and proximity to particular features or habitats, indicates the potential sensitivity of the natural landscape to land use, especially transportation networks. The source data, derived indices, and the methods for processing these data are described in this final report. The datasets referenced in the report are available from the U.S. Geological Survey ( https://www.sciencebase.gov/catalog/ and https://doi.org/10.5066/F7MW2F8W ) or the Central Federal Lands Highway Division of the Office of Federal Lands Highway ( https://flh.fhwa.dot.gov ).

Scientific Investigations Report↗

Gauging state-level and user group views of oyster reef restoration activities in the northern Gulf of Mexico

Successful oyster reef restoration, like many conservation challenges, requires not only biological understanding of the resource, but also stakeholder cooperation and political support. To measure perceptions of oyster reef restoration activities and priorities for future restoration along the northern Gulf of Mexico coast, a survey of 1500 individuals representing 4 user groups (oyster harvesters, shrimpers, environmental organization members, professionals), across 5 states (Texas, Louisiana, Mississippi, Alabama, Florida) was conducted in 2011. All respondents highly supported reef restoration efforts, but there was a dichotomy in preferred restoration goals with commercial fishermen more likely to support oyster reef restoration for stock enhancement, while professionals and environmental organization members were more likely to support oyster reef restoration to enhance ecosystem services. All user groups identified enforcement, funding, and appropriate site selection as basic requirements for successful reef restoration. For management of restored oyster reefs, oyster harvesters and shrimpers were less likely to support options that restricted the use of reefs, including gear restrictions and permanent closures, but did support rotating annual reef closures, while other stakeholders were willing to consider all options, including annual reef closures and sanctuary reefs. Overall, there were clear differences in management and communication preferences across user groups, but few differences across states. Understanding these key differences in stakeholder support for, and willingness to accept specific management actions is critical in moving management and restoration forward while minimizing conflict.

Ocean and Coastal Management↗

A structured decision-making framework for managing cyanobacterial harmful algal blooms in New York State parks

Cyanobacteria are increasingly a global water-quality concern because of the potential for these organisms to develop into potentially harmful blooms that affect ecological, economic, and public health. Cyanobacterial harmful algal blooms (CyanoHABs) can lead to a decrease in water quality and affect many of the recreational and ecological benefits of parks that include lakes. The New York State Office of Parks, Recreation and Historic Preservation (OPRHP) is a State agency within the New York State Executive Department charged with the operation of State parks and historic sites. Many New York State parks include lakes or other freshwater bodies, which can be susceptible to CyanoHABs. The OPRHP faces difficult decisions regarding prevention of and response to CyanoHABs. The U.S. Geological Survey partnered with the OPRHP and the New York State Department of Environmental Conservation to develop a structured decision-making template for managing CyanoHABs in OPRHP parks. Two parks, Moreau Lake State Park and Rockland Lake State Park, served as case studies to motivate and test the template. This report describes how the principles of structured decision making can be used to navigate the challenges associated with managing CyanoHABs in OPRHP parks. Management objectives and strategies for CyanoHABs in parks are described, strategies to evaluate consequences and manage tradeoffs are discussed, and potential challenges to the implementation of preferred alternatives are considered. General guidance is provided so the OPRHP can undertake the structured decision-making process for CyanoHABs in any of its parks. In addition, this report represents the first effort to create a strategy for applying decision analysis tools to the complex natural resource challenge of CyanoHAB mitigation and management. The case studies and template are intended to serve as an example that natural resource managers faced with CyanoHABs challenges can use to inform their decision-making processes.

New York↗

Pathogens and diseases of freshwater mussels in the United States: Studies on bacterial transmission and depuration

Unionid mussels are recognized as important contributors to healthy aquatic ecosystems, as well as bioindicators of environmental perturbations. Because they are sedentary, filter feeding animals and require hosts (i.e., fishes) to transform embryonic glochidia, mussels are susceptible to direct adverse environmental parameters, and indirect parameters that restrict the timely presence of the host(s). Their numbers have declined in recent decades to a point that this fauna is regarded as one of the most imperiled in North America. The most significant threat to populations of native unionids in recent years has been the introduction and spread of zebra mussels Dreissena polymorpha. Many federal and state agencies, and private interests are now engaged in mussel conservation efforts, including collecting selected imperiled species from impacted rivers and lakes and propagating them at refuges for future population augmentations. One essential consideration with mussel propagation and their intensive culture at refugia is the prevention of pathogen introductions and control of diseases. Currently, there are few reports of etiological agents causing diseases among freshwater mussels; however, because of increased observations of mussel die-offs in conjunction with transfers of live animals between natural waters and refugia, disease problems can be anticipated to emerge. This review summarizes research to develop bacterial isolation techniques, study pathogen transmission between fish and mussels, identify causes of seasonal mussel die-offs, and develop non-destructive methods for pathogen detection. These efforts were done to develop disease preventative techniques for use by resource managers to avoid potential large-scale disease problems in restoration and population augmentation efforts among imperiled populations.

Conference Paper↗

Weather, habitat area, connectivity, and number of patches influence breeding ecology of ring-necked pheasants

Understanding habitat selection is critical in habitat prioritization for species of conservation and management concern. Information on habitat selection is particularly important for grassland bird species whose populations have suffered steep declines over the last few decades. We assessed ring-necked pheasants' ( Phasianus colchicus ) habitat selection in a dynamic agricultural landscape. The population dynamics of pheasants are partially related to nest survival, which may be influenced by the quality of nesting habitat. Consequently, knowledge of vegetation composition and structural characteristics associated with the selection and survival of nests would help inform management decisions to improve nest success. We monitored nests from 103 radio-collared pheasants inhabiting an agricultural landscape in South Dakota, USA, from 2017–2019 to determine the effect of landscape composition and configuration on nest-site selection and nest survival. We explored nesting behavior at 2 orders of selection: resource selection within the home range (third order) and selection of specific resource items from a resource patch (fourth order). Proportion of row crop and connectivity of row crop was negatively associated with nest-site selection at the third order. At the fourth order, pheasants tended to select for taller vegetation and greater percent grass cover than at paired random sites. Pheasants also selected areas with more grasslands. A 1% increase in grass cover and proportion of grassland increased the odds of nest-site selection by 1% and 2%, respectively. Connectivity of row crop patches was negatively associated with daily nest survival. We also evaluated factors affecting pheasant brood-site selection. A 1-unit increase in grass cover and Hemiptera biomass increased the odds of brood-site selection by 4%. The probability of brood-site selection also increased with fewer row crop patches. Weather played a crucial role in driving nest survival. The consideration of local weather trends and regional variation in habitat can inform habitat management for pheasants. Pheasant populations may benefit from research that identifies thermal landscapes and land management techniques that promote cooler microclimates for nesting and brood-rearing activities.

South Dakota↗

Improving the ability to include freshwater wetland plants in process-based models

Considerable effort and resources have been placed into conservation programs designed to reduce or alleviate negative environmental effects of crop production and into evaluation of the benefits of these programs. Wetlands are an important source of ecosystem services, but modeling wetland plants is an emerging science. To date, wetland plant growth has not been explicitly accounted for in ecosystem service models that quantify conservation program effects. As part of an effort to more accurately simulate wetland plants within process-based models, we expanded upon plant growth data collected in an earlier effort with additional sampling at two of four previously sampled areas, and included a fifth sampling site. We then used data from the five sites spanning five years as wetland plant parameters at both the species and functional group levels for the Agricultural Land Management Alternative with Numerical Assessment Criteria (ALMANAC) model. In addition to individual species, modelers are interested in functional groups representing a collection of species because it is unrealistic to model every species occurring in an ecosystem. ALMANAC simulations were completed at three sites for both individual wetland plant species and functional groups. At each site, simulated plant yields were within 1 Mg ha –1 (±7%) of measured values ( r 2 = 0.99). Multisite species simulated yields were within 37% of measured values ( r 2 = 0.95). Functional groups performed as well as individual species simulations. Functional group simulated yields were within 1 Mg ha –1 (±5%) of measured yields. Plant growth is a major component of these wetland ecosystems, and ALMANAC verified wetland plant parameters support more accurate assessments of conservation programs and practices on the influence of wetland ecosystems embedded within agricultural fields. The improved plant parameters we provide here will be transferred to other process-based models that focus on other ecosystem components such as soil and water effects, facilitating wetland evaluations across the United States and elsewhere.

California, Delaware, Maryland, North Dakota, Texa↗

An inventory of suspended sediment stations and type of data analysis for Pennsylvania streams, 1947-1970

Data concerning suspended sediment concentrations and loads, frequency of occurrence of suspended sediment concentrations, and long-term trends of annual suspended sediment loads are important tools for today's environmental manager. These data are required background for those concerned with establishing and enforcing erosion and sedimentation control regulations and sediment concentration or turbidity standards for water-quality criteria, or those concerned with designing for adequate long-term water storage in reservoirs (sediment load), for efficient municipal and industrial plant operation (sediment concentration frequency), etc. This is a compilation of the location, period of record, sampling frequency and type of data synthesis for suspended sediment carried by Pennsylvania streams. Figures 1 and 2 show the approximate locations of sediment sampling stations in Pennsylvania. All of the sediment data listed were collected by the U. S. Geological Survey mainly in cooperation with the following Federal, State, and local agencies. Pennsylvania Department of Environmental Resources Bureau of Engineering and Construction Soil and Water Conservation Commission Pennsylvania Department of Transportation City of Philadelphia Brandywine Valley Association Delaware Geological Survey Conestoga Valley Association Lehigh County Soil and Water Conservation District Corps of Engineers, U. S. Army

Pennsylvania↗

Error propagation in energetic carrying capacity models

Conservation objectives derived from carrying capacity models have been used to inform management of landscapes for wildlife populations. Energetic carrying capacity models are particularly useful in conservation planning for wildlife; these models use estimates of food abundance and energetic requirements of wildlife to target conservation actions. We provide a general method for incorporating a foraging threshold (i.e., density of food at which foraging becomes unprofitable) when estimating food availability with energetic carrying capacity models. We use a hypothetical example to describe how past methods for adjustment of foraging thresholds biased results of energetic carrying capacity models in certain instances. Adjusting foraging thresholds at the patch level of the species of interest provides results consistent with ecological foraging theory. Presentation of two case studies suggest variation in bias which, in certain instances, created large errors in conservation objectives and may have led to inefficient allocation of limited resources. Our results also illustrate how small errors or biases in application of input parameters, when extrapolated to large spatial extents, propagate errors in conservation planning and can have negative implications for target populations.

Journal of Conservation Planning↗

Mexican native trouts: A review of their history and current systematic and conservation status

While biologists have been aware of the existence of native Mexican trouts for over a century, they have received little study. The few early studies that did much more than mention their existence began in the 1930s and continued into the early 1960s, focusing primarily on distributional surveys and taxonomic analyses. Starting in the 1980s the Baja California rainbow trout became the subject of more detailed studies, but very little remains known of mainland trouts of the Sierra Madre Occidental. We review earlier studies and report on our own collections and observations made between 1975 and 2000. We present newly discovered historical evidence that leads us to conclude that a "lost" cutthroat trout, a lineage not previously known from Mexico, was collected more than a century ago from headwaters of the Ri??o Conchos (a major tributary of the Rio Grande (= Ri??o Bravo)), a basin not previously considered to harbor a native trout. We review the last century of regional natural resource management and discuss our own observations of trout habitats. Impacts of logging, road building and overgrazing are widespread and expanding. Many streams suffer from heavy erosion, siltation and contamination, and though long-term hydrologic data are generally not available, there is evidence of decreased discharge in many streams. These problems appear related to region-wide land management practices as well as recent regional drought. Trout culture operations using exotic rainbow trout have rapidly proliferated throughout the region, threatening genetic introgression and/or competition with native forms and predation on them. Knowledge of distribution, abundance, relationships and taxonomy, not to mention ecology and population biology, of native trouts of the Sierra Madre Occidental remains inadequate. Vast areas of most mainland drainages are still unexplored by fish collectors, and even rudimentary information regarding basic biology, ecology and population structure of stocks remains lacking. Concentrated exploration, research and management of this long overlooked and undervalued resource are all urgently needed. The history of natural resources exploitation that placed so many native trouts of the western United States on threatened and endangered species lists is repeating itself in the Sierra Madre Occidental. Without concentrated action and development of region-wide socio-economic solutions for current, largely non-sustainable resource management practices, native Mexican trout gene pools will soon be in grave danger of extinction.

Reviews in Fish Biology and Fisheries↗

Coastal sage scrub case study

In ecological applications of large-scale spatial data to management decisions concerning land planning and conservation, errors and biases may creep into the analysis and decision making at several steps (see Chaps. 1, 2, and 3), including: • Uncertainty in positions of spatial locations of relevant ecological and physiographic features of the landscape. • Uncertainty of the type and attributes of land cover at a particular location. • Uncertainty in how different land covers at a position in space and the geometric arrangement of land covers nearby might influence an animal species occurrence or distribution, or the magnitude of some ecological process. • Uncertainty about the relative importance of each spatial location to the overall success or persistence of a population or ecological process. • Uncertainty about how to weight each species or ecological process in determining the overall biodiversity and functioning of ecosystems, local and national resource priorities, and consistency with legislative mandates. We would like to be able to quantify the errors at each step, identify biases, and pass these along to the next analysis step so that our degree of uncertainty regarding potential outcomes is evident at each level (e.g., Stoms et al. 1992).

Book chapter↗