USGS Science⌕ Search

SEARCH · USGS Science

Results for “Conservation Biology”

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 1,387 records · Page 77Linked to original sources

Pelagic nekton abundance and distribution in the northern Sacramento–San Joaquin Delta, California

Knowledge of the habitats occupied by species is fundamental for the development of effective conservation and management actions. The collapse of pelagic fish species in the Sacramento–San Joaquin Delta, California, has triggered a need to better understand factors that drive their distribution and abundance. A study was conducted in summer–fall 2014 in an attempt to identify physical and biological habitat conditions that drive the abundance and distribution of pelagic species in the northern region of the system. The study was conducted in the three largest channels in the northern Sacramento–San Joaquin Delta by dimension, volume, and flow capacity. The pelagic community was dominated by three nonnative species, Siberian prawn Exopalaemon modestus , which comprised 56% of the total number of organisms, and two fish species, Threadfin Shad Dorosoma petenense and Mississippi Silversides Menidia audens , which together comprised 43% of the total number of organisms. Total fish and total shrimp abundance were sensitive to the most extreme values of turbidity and temperature encountered and positively associated with total zooplankton biomass. The results suggested that habitat conditions in terminal channels, historically a common feature on the landscape, support higher abundances of pelagic species and zooplankton than open-ended channels. These results provide resource managers with useful information on the habitat associations of pelagic species and on how the future distribution and abundance of pelagic species will likely change in response to climate or other ecological factors.

California↗

Accuracy of the Missouri River Least Tern and Piping Plover Monitoring Program: considerations for the future

The upper Missouri River system provides nesting and foraging habitat for federally endangered least terns (Sternula antillarum; hereafter “terns”) and threatened piping plovers (Charadrius melodus; hereafter “plovers”). These species are the subject of substantial management interest on the Missouri River for several reasons. First, ecosystem recovery is a goal for management agencies that seek to maintain or restore natural functions and native biological communities for the Missouri River system. Terns and plovers are recognized as important ecosystem components that are linked with the river’s ecological functions. Second, although both species breed beyond the Missouri River system, the Missouri River is one of the principal breeding areas in the Northern Great Plains; thus, the river system is a focal area for recovery actions targeted at regional population goals. Third, a Biological Opinion for Missouri River operations established annual productivity goals for terns and plovers, and the recovery plan for each species established annual population goals. Meeting these goals is a key motivation in management decision making and implementation with regard to both species. A myriad of conservation and management interests necessitate understanding numbers, distribution, and productivity of terns and plovers on the Missouri River system. To this end, a Tern and Plover Monitoring Program (TPMP) was implemented by the U.S. Army Corps of Engineers (hereafter “Corps”) in 1986, and has since provided annual estimates of tern and plover numbers and productivity for five Missouri River reservoirs and four river reaches (U.S. Army Corps of Engineers, 1993). The TPMP has served as the primary source of information about the status of terns and plovers on the Missouri River, and TPMP data have been used for a wide variety of purposes. In 2005, the U.S. Geological Survey (USGS) Northern Prairie Wildlife Research Center (NPWRC) was tasked by the Corps to evaluate the accuracy of the TPMP and provide guidance on revising the program to assess tern and plover numbers and reproductive success. Accordingly, NPWRC studied terns and plovers on two river reaches and one reservoir (hereafter “the evaluation”), and used the results of those studies to help understand properties and potential limitations of TPMP data and to provide guidance for TPMP revisions. The purpose of this report is to present an overview and evaluation of the TPMP data, the results of our intensive monitoring, and propose an alternative idea that provides a framework for making decisions about how to monitor terns and plovers.

Montana;Nebraska;North Dakota;South Dakota↗

Preliminary testing of flow-ecology hypotheses developed for the GCP LCC region

The Ecological Limits of Hydrological Alteration (ELOHA) framework calls for the development of flow-ecology hypotheses to support protection of the flow regime from ecologically harmful alteration due to human activities. As part of a larger instream flow project for the Gulf Coast Prairie Landscape Conservation Cooperative (GCP LCC), regional flow-ecology hypotheses were developed for fish, mussels, birds, and riparian vegetation (Davis and Brewer 20141 ). The objective of this study was to assess the usefulness of existing ecological and hydrological data to test these hypotheses or others that may be developed in the future. Several databases related to biological collections and hydrologic data from Oklahoma, Texas, and Louisiana were compiled. State fish-community data from Oklahoma and Louisiana were summarized and paired with existing USGS gage data having at least a 40-year period of record that could be separated into reference and current conditions for comparison. The objective of this study was not to conduct exhaustive analyses of these data, the hypotheses, or analyses interpretation, but rather to use these data to determine if existing data were adequate to statistically test the regional flow-ecology hypotheses. The regional flow-ecology hypotheses were developed for the GCP LCC by a committee chaired by Shannon Brewer and Mary Davis (Davis and Brewer 2014). Existing data were useful for informing the hypotheses and suggest support for some hypotheses, but also highlight the need for additional testing and development as some results contradicted hypotheses. Results presented here suggest existing data are adequate to support some flow-ecology hypotheses; however, lack of sampling effort reported with the fish collections and the need for ecoregion-specific analyses suggest more data would be beneficial to analyses in some ecoregions. Additional fish sampling data from Texas and Louisiana will be available for future analyses and may ameliorate some of the data concerns and improve hypothesis interpretation. If the regional hydrologic model currently under development by the U.S. Geological Survey for the South-Central Climate Science Center is improved to produce daily hydrographs, it will enable use of fish data at ungaged locations. In future efforts, exhaustive analyses using these data, in addition to the development of more complex multivariate hypotheses, would be beneficial to understanding data gaps, particularly as relevant to species of conservation concern.

Cooperator Science Series↗

Forecasted range shifts of arid-land fishes in response to climate change

Climate change is poised to alter the distributional limits, center, and size of many species. Traits may influence different aspects of range shifts, with trophic generality facilitating shifts at the leading edge, and greater thermal tolerance limiting contractions at the trailing edge. The generality of relationships between traits and range shifts remains ambiguous however, especially for imperiled fishes residing in xeric riverscapes. Our objectives were to quantify contemporary fish distributions in the Lower Colorado River Basin, forecast climate change by 2085 using two general circulation models, and quantify shifts in the limits, center, and size of fish elevational ranges according to fish traits. We examined relationships among traits and range shift metrics either singly using univariate linear modeling or combined with multivariate redundancy analysis. We found that trophic and dispersal traits were associated with shifts at the leading and trailing edges, respectively, although projected range shifts were largely unexplained by traits. As expected, piscivores and omnivores with broader diets shifted upslope most at the leading edge while more specialized invertivores exhibited minimal changes. Fishes that were more mobile shifted upslope most at the trailing edge, defying predictions. No traits explained changes in range center or size. Finally, current preference explained multivariate range shifts, as fishes with faster current preferences exhibited smaller multivariate changes. Although range shifts were largely unexplained by traits, more specialized invertivorous fishes with lower dispersal propensity or greater current preference may require the greatest conservation efforts because of their limited capacity to shift ranges under climate change.

Reviews in Fish Biology and Fisheries↗

The distributions of one invasive and two native crayfishes in relation to coarse-scale natural and anthropogenic factors

1. Native crayfishes are often extirpated from portions of their range because of interactions with invasive species, anthropogenic alterations to environmental conditions or a combination of these factors. Our goal was to identify coarse-scale natural and anthropogenic factors related to the current distributions of the invasive crayfish, Orconectes hylas , and two endemic crayfishes, Orconectes peruncus and Orconectes quadruncus in the St. Francis River drainage, Missouri, U.S.A. and to provide wider insights into the potential role of anthropogenic factors in facilitating species displacement. 2. We used classification trees to model coarse-scale natural and anthropogenic environmental factors and their relation to the presence or absence of each species. Model results were then used to predict probability of presence for each species within each stream segment throughout the entire St. Francis River drainage. 3. Factors related to geology and soils were the best predictors of species distributions. A dichotomy of these factors explained much of the discrete distributions of the two native species. Agricultural-related factors were identified as the most influential anthropogenic activity related to species distributions. All associations between the invasive species and anthropogenic factors were negative which suggested the invader was not likely to establish in heavily impacted areas. Overall, our models had high correct classification rates, and we were able to reliably predict the presence of the invader in the invaded drainage. 4. Given the negative associations of the invader with anthropogenic alterations at a coarse spatial scale, we believe other mechanisms are likely to be responsible for the widespread displacement of the two native species. These findings can be used to assist in conservation activities such as creation of refugia for native species and may direct future research to identify the mechanism(s) of species displacement.

Missouri↗

Movements and habitat use of loons for assessment of conservation buffer zones in the Arctic Coastal Plain of northern Alaska

Oil and gas development in the Arctic Coastal Plain, Alaska, may pose threats to wildlife. Management guidelines within the National Petroleum Reserve-Alaska dictate buffer zones for coastal wildlife habitat and for breeding and foraging sites of yellow-billed loons (YBLOs; Gavia adamsii), a species of conservation concern. However, few data exist to assess the value of these buffer zones for YBLOs or for sympatrically breeding red-throated loons (RTLOs; G. stellata) and Pacific loons (PALOs; G. pacifica). We evaluated movements of these loons on the Arctic Coastal Plain to understand: 1) seasonal timing; 2) marine habitat use; and 3) spatial characteristics of breeding home ranges. We then used those findings to evaluate current management strategies in the context of loon biology. Compared to RTLOs and PALOs, YBLOs nested on larger lakes, stayed on them longer, had larger home ranges, but less frequently used the marine environment in summer. During autumn, YBLOs and PALOs were located farther from shore than during spring or summer, whereas RTLOs used the marine environment similarly during all three seasons. Management buffers established for YBLO nesting areas corresponded well with nest site space use of all three species, suggesting cross-taxa applicability of current management guidelines for nesting habitat. However, the majority of loon locations on the Arctic Coastal Plain were outside of coastal buffer zones established to protect fish and wildlife habitat within the National Petroleum Reserve-Alaska. These findings can inform assessment of conservation buffer zones to mitigate anthropogenic disturbance to loons in Alaska.

Alaska↗

Genetic strategies for lake trout rehabilitation: a synthesis

The goal of lake trout rehabilitation efforts in the Great Lakes has been to reestablish inshore lake trout ( Salvelinus namaycush ) populations to self-sustaining levels. A combination of sea lamprey control, stocking of hatchery-reared lake trout, and catch restrictions were used to enhance remnant lake trout stocks in Lake Superior and reestablish lake trout in Lakes Michigan, Huron, Erie, and Ontario. Genetic diversity is important for the evolution and maintenance of successful adaptive strategies critical to population restoration. The loss of genetic diversity among wild lake trout stocks in the Great Lakes imposes a severe constraint on lake trout rehabilitation. The objective of this synthesis is to address whether the particular strain used for stocking combined with the choice of stocking location affects the success or failure of lake trout rehabilitation. Poor survival, low juvenile recruitment, and inefficient habitat use are three biological impediments to lake trout rehabilitation that can be influenced by genetic traits. Evidence supports the hypothesis that the choices of appropriate lake trout strain and stocking locations enhance the survival of lake trout stocked into the Great Lakes. Genetic strategies proposed for lake trout rehabilitation include conservation of genetic diversity in remnant stocks, matching of strains with target environments, stocking a greater variety of lake trout phenotypes, and rehabilitation of diversity at all trophic levels.

Journal of Great Lakes Research↗

Fractionation of stable isotopes in perchlorate and nitrate during in situ biodegradation in a sandy aquifer

An in situ experiment was performed in a shallow alluvial aquifer in Maryland to quantify the fractionation of stable isotopes in perchlorate (Cl and O) and nitrate (N and O) during biodegradation. An emulsified soybean oil substrate that was previously injected into this aquifer provided the electron donor necessary for biological perchlorate reduction and denitrification. During the field experiment, groundwater extracted from an upgradient well was pumped into an injection well located within the in situ oil barrier, and then groundwater samples were withdrawn for the next 30 h. After correction for dilution (using Br– as a conservative tracer of the injectate), perchlorate concentrations decreased by 78% and nitrate concentrations decreased by 82% during the initial 8.6 h after the injection. The observed ratio of fractionation effects of O and Cl isotopes in perchlorate (e18O/e37Cl) was 2.6, which is similar to that observed in the laboratory using pure cultures (2.5). Denitrification by indigenous bacteria fractionated O and N isotopes in nitrate at a ratio of ~0.8 (e18O/e15N), which is within the range of values reported previously for denitrification. However, the magnitudes of the individual apparent in situ isotope fractionation effects for perchlorate and nitrate were appreciably smaller than those reported in homogeneous closed systems (0.2 to 0.6 times), even after adjustment for dilution. These results indicate that (1) isotope fractionation factor ratios (e18O/e37Cl, e18O/e15N) derived from homogeneous laboratory systems (e.g. pure culture studies) can be used qualitatively to confirm the occurrence of in situ biodegradation of both perchlorate and nitrate, but (2) the magnitudes of the individual apparent e values cannot be used quantitatively to estimate the in situ extent of biodegradation of either anion.

Environmental Chemistry↗

Genetic signatures of historical dispersal of fish threatened by biological invasions: the case of galaxiids in South America

Aim The ecological effects of biological invasions are well documented, but little is known about the effects of invaders on the genetic structure of native species. We examined the phylogeography, genetic variation and population structuring of two galaxiid fishes, Aplochiton zebra and A. taeniatus , threatened by non-native salmonids, and whose conservation is complicated by misidentification and limited knowledge of their genetic diversity. Location Chile and the Falkland Islands. Methods We combined microsatellite and mitochondrial DNA (16S rDNA and COI) markers to compare genetic diversity, effective population size and gene flow of Aplochiton spp. populations differentially affected by salmonid presence. Results We identified two 16S rDNA haplotypes among A. zebra – one dominant in coastal populations and another dominant in inland populations. Populations living on the island of Chiloé displayed a mixture of coastal and inland haplotypes, as well as high microsatellite diversity, as one would expect if the island had been a refugium during the Last Glacial Maximum, or a contact zone among populations. Microsatellite data revealed strong population structuring, indicative of current isolation patterns, and a negative correlation between the genetic diversity of A. zebra and the relative abundance of invasive salmonids. Main conclusions Our study indicates that population structuring of A. zebra reflects the influence of historical patterns of migration, but also the current levels of reduced gene flow among watersheds. Invasive salmonids, known to compete with and prey on native galaxiids, may have had negative impacts on the genetic diversity of Aplochiton spp. The low genetic variation found in some populations, coupled with potential biases in abundance estimates due to species misidentification, highlight the urgent need for more research into the conservation status of the two species of Aplochiton .

Journal of Biogeography↗

U.S. Geological Survey Chesapeake science strategy, 2015-2025—Informing ecosystem management of America’s largest estuary

Executive Summary The U.S. Geological Survey (USGS) has the critical role of providing scientific information to improve the understanding and management of the Chesapeake Bay ecosystem. The USGS works with Federal, State, and academic science partners to provide research and monitoring, and communicate results of these activities to enhance ecosystem management for both the Chesapeake and other National ecosystems. The USGS Chesapeake Science Strategy was prepared to guide science activities to address the Chesapeake Bay Watershed Agreement (2014–2025), to support the Department of the Interior (DOI) involvement in the Bay restoration efforts, and align with the USGS Mission Area (MA) Science strategies. The Chesapeake Bay is our Nation’s largest estuary, and provides critical goods and services to the people, fish, and wildlife that use the 64,000-square-mile watershed. The Chesapeake Bay watershed contains over 3,600 species of fish, wildlife, and plants and provides spawning grounds for many ecologically and economically important species including striped bass and blue crabs. The Bay watershed lies in the heart of the Atlantic Flyway and has 29 species of waterfowl, about 1 million of which winter in the region. The size of the Chesapeake seafood harvest is third in the Nation, only behind the Atlantic and Pacific Oceans. Along with agricultural production, tourism, and recreation, the estimated economic value of the services from the Chesapeake Bay watershed is about $100 billion annually. However, the health of the Bay ecosystem began to decline at the beginning of the 20th century due to overfishing and increasing human population and associated land change. The Chesapeake Bay Program (CBP) is the Federal-State cooperative effort that started in 1983 to restore the Bay and watershed. Given the ecological and economic importance of the Chesapeake ecosystem, President Obama issued an Executive Order (EO) in 2009 for increased Federal leadership in the CBP to enhance the pace of restoration, and the supporting strategy was released in 2010. The EO directed the Federal Government, including the U.S. Department of the Interior (DOI), represented by the National Park Service (NPS), the U.S. Fish & Wildlife Service (FWS), and the USGS, to expand its efforts and increase leadership to restore the Bay and its watershed. The USGS and other Federal agencies expanded their activities in 2011 to meet the President’s Chesapeake EO. Since the EO was released, there have been several important changes in the USGS, DOI, and the CBP including: (1) the Chesapeake Bay Watershed Agreement, (2) increased DOI leadership in the CBP, and (3) the release of the USGS MA science strategies. The EO strategy served as a foundation for the Chesapeake Bay Watershed Agreement that was signed in 2014 by the CBP Partners, and has goals and outcomes to be met by 2025. The USGS developed the Chesapeake Science Strategy to guide our activities to address the Chesapeake Bay Watershed Agreement, DOI leadership in the CBP, and USGS MA strategies. Improving the understanding of fish and wildlife population and health, and the factors affecting their condition is the emphasis of the Strategy. The science focuses on documenting the critical ecosystem connections in the Chesapeake, and providing implications to enhance decision making for restoration and conservation activities. The revised Strategy has four themes that address 7 of the 10 goals in the Chesapeake Bay Watershed Agreement: Enhance science to support restoration, and conservation of fish, wildlife, and critical habitats. Characterize and explain changes in water quality, and its effect on freshwater and estuarine ecosystems. Assess and forecast effects of climate and land change on ecosystem conditions. Synthesize and provide information to support ecosystem management. The structure and function of biological communities of the Bay and its watershed are extremely complex and are affected by a variety of stressors and conditions. To better define the issues being addressed, the USGS has developed cross-cutting questions that define some of the most important scientific challenges where multiple disciplines and collaborators are needed to address an issue. The initial questions include: How do land and climate changes affect freshwater fish communities, health, and habitats? What are the relations among land use, water quality, contaminants, and the health of fish and wildlife? How are coastal wetlands and their carrying capacity for waterbirds affected by changing climate and land use? How is the water quality of rivers and estuaries responding to restoration actions, and changing land use? What are some of the best opportunities for management actions to benefit multiple restoration outcomes?

Delaware, Maryland, New York, Pennsylvania, Virgin↗

Ecology of bonytail and razorback sucker and the role of off-channel habitats in their recovery

The bonytail and razorback sucker are two of four endangered mainstem fishes found in the Colorado River. Unlike the Colorado pikeminnow and humpback chub, wild populations of the bonytail and razorback sucker are either extirpated from the mainstem river or are nearly so. Agencies are aggressively stocking these fish and while repatriated fish spawn, their young are rapidly eaten by introduced predators. A decade of predator removal efforts has proved ineffective in restoring natural recruitment. Today, the presence of these species is totally dependent on stocking, suggesting both species are worse off today than when recovery efforts began nearly two decades ago. In contrast, both species readily produce young in ponds where nonnative predators are absent. Evidence shows they evolved with the ability to spawn in both flowing and standing water, which suggests isolated oxbow communities may have been an essential feature in their evolution and survival strategy. Sustainable populations during the past few decades have only occurred in isolated ponds devoid of predatory nonnative fish. Efforts to force recovery in the main channel river continue to fail due to the presence of nonnative predators that may be economically important recreational species. Off-channel sanctuaries provide research and management opportunities on a scale that are both biologically and economically realistic. Effective management of these species in small habitats appears to be the most logical approach to advance recovery in larger river reaches. This report presents new findings, updates existing information, and describes what may well represent the only practical approach to these species’ conservation and recovery. Chapter 1 provides an overview of the Colorado River system from its origin to the Gulf of California and includes a description of propagation and stocking programs which have not been described elsewhere. The report also updates what is known or suspected on the life history and ecology of these two endangered fishes. Chapter 2 describes the successful recruitment of both species at an oxbow pond on the Cibola National Wildlife Refuge in Arizona, discusses factors that contribute to completion of the life cycle of both fishes, and provides recommendations for future management of the impoundment. Chapter 3 provides historical evidence that oxbow habitats were formed historically in years of high runoff and the importance of these habitats for survival and evolution of native fishes. It also summarizes key features of habitats that can serve as sanctuaries that enhance early survival of the endangered fishes and allow the fish to complete their entire life cycles.

Scientific Investigations Report↗

Evaluation of aquatic biota in relation to environmental characteristics measured at multiple scales in agricultural streams of the Midwest: 1993-2004

This study evaluated the relations between algal, invertebrate, and fish assemblages and physical environmental characteristics of streams at the reach, segment, and watershed scale in agricultural settings in the Midwest. The 86 stream sites selected for study were in predominantly agricultural watersheds sampled as part of the U.S. Geological Survey's National Water-Quality Assessment Program. Species abundance and over 130 biological metrics were used to determine which aspects of the assemblages were most sensitive to change at the three spatial scales. Digital orthophotograph-based riparian land use/land cover was used for analyses of riparian conditions at the reach and segment scales. The percentage area of different land-use/land-cover types was also determined for each watershed. Out of over 230 environmental characteristics examined, those that best explained variation in the biotic assemblages at each spatial scale include the following: 1) reach: bank vegetative cover, fine silty substrate, and open canopy angle; 2) segment: woody vegetation and cropland in the 250-m riparian buffer, and average length of undisturbed buffer; and 3) watershed: land use/land cover (both total forested and row crop), low-permeability soils, slope, drainage area, and latitude. All three biological assemblages, especially fish, correlated more with land use/land cover and other physical characteristics at the watershed scale than at the reach or segment scales. This study identifies biotic measures that can be used to evaluate potential improvements resulting from agricultural best-management practices and other conservation efforts, as well as evaluate potential impairment from urban development or other disturbances.

Midwest↗

Large-area mapping of biodiversity

The age of discovery, description, and classification of biodiversity is entering a new phase. In responding to the conservation imperative, we can now supplement the essential work of systematics with spatially explicit information on species and assemblages of species. This is possible because of recent conceptual, technical, and organizational progress in generating synoptic views of the earth's surface and a great deal of its biological content, at multiple scales of thematic as well as geographic resolution. The development of extensive spatial data on species distributions and vegetation types provides us with a framework for: (a) assessing what we know and where we know it at meso-scales, and (b) stratifying the biological universe so that higher-resolution surveys can be more efficiently implemented, coveting, for example, geographic adequacy of specimen collections, population abundance, reproductive success, and genetic dynamics. The land areas involved are very large, and the questions, such as resolution, scale, classification, and accuracy, are complex. In this paper, we provide examples from the United States Gap Analysis Program on the advantages and limitations of mapping the occurrence of terrestrial vertebrate species and dominant land-cover types over large areas as joint ventures and in multi-organizational partnerships, and how these cooperative efforts can be designed to implement results from data development and analyses as on-the-ground actions. Clearly, new frameworks for thinking about biogeographic information as well as organizational cooperation are needed if we are to have any hope of documenting the full range of species occurrences and ecological processes in ways meaningful to their management. The Gap Analysis experience provides one model for achieving these new frameworks.

Conference Paper↗

Out of the frying pan and into the fire: Effects of volcanic heat and other stressors on the conservation of a critically endangered plant in Hawaiʻi

Loss of local biodiversity resulting from abrupt environmental change is a significant environmental problem throughout the world. Extinctions of plants are particularly important yet are often overlooked. Drawing from a case in Hawai‘i, a global hotspot for plant and other extinctions, we demonstrate an effort to better understand and determine priorities for the management of an endangered plant (‘Ihi makole or Portulaca sclerocarpa ) in the face of rapid and extreme environmental change. Volcanic heat emissions and biological invasions have anecdotally been suggested as possible threats to the species. We integrated P. sclerocarpa outplanting with efforts to collect geological and ecological data to gauge the role of elevated soil temperatures and invasive grasses in driving P. sclerocarpa mortality and population decline. We measured soil temperature, soil depth, surrounding cover and P. sclerocarpa survivorship over three decades. The abundance of wild P. sclerocarpa decreased by 99.7% from the 1990s to 2021. Only 51% of outplantings persisted through 3–4 years. Binomial regression and structural equation modelling revealed that, among the variables we analysed, high soil temperatures were most strongly associated with population decline. Finding the niche where soil temperatures are low enough to allow P. sclerocarpa survival but high enough to limit other agents of P. sclerocarpa mortality may be necessary to increase population growth of this species.

Hawaii↗

Macroinvertebrates as indicators of fish absence in naturally fishless lakes

1. Little is known about native communities in naturally fishless lakes in eastern North America, a region where fish stocking has led to a decline in these habitats. 2. Our study objectives were to: (i) characterise and compare macroinvertebrate communities in fishless lakes found in two biophysical regions of Maine (U.S.A.): kettle lakes in the eastern lowlands and foothills and headwater lakes in the central and western mountains; (ii) identify unique attributes of fishless lake macroinvertebrate communities compared to lakes with fish and (iii) develop a method to efficiently identify fishless lakes when thorough fish surveys are not possible. 3. We quantified macroinvertebrate community structure in the two physiographic fishless lake types (n = 8 kettle lakes; n = 8 headwater lakes) with submerged light traps and sweep nets. We also compared fishless lake macroinvertebrate communities to those in fish-containing lakes (n = 18) of similar size, location and maximum depth. We used non-metric multidimensional scaling to assess differences in community structure and t-tests for taxon-specific comparisons between lakes. 4. Few differences in macroinvertebrate communities between the two physiographic fishless lake types were apparent. Fishless and fish-containing lakes had numerous differences in macroinvertebrate community structure, abundance, taxonomic composition and species richness. Fish presence or absence was a stronger determinant of community structure in our study than differences in physical conditions relating to lake origin and physiography. 5. Communities in fishless lakes were more speciose and abundant than in fish-containing lakes, especially taxa that are large, active and free-swimming. Families differing in abundance and taxonomic composition included Notonectidae, Corixidae, Gyrinidae, Dytiscidae, Aeshnidae, Libellulidae and Chaoboridae. 6. We identified six taxa unique to fishless lakes that are robust indicators of fish absence: Graphoderus liberus, Hesperocorixa spp., Dineutus spp., Chaoborus americanus, Notonecta insulata and Callicorixa spp. These taxa are collected most effectively with submerged light traps. 7. Naturally fishless lakes warrant conservation, because they provide habitat for a unique suite of organisms that thrive in the absence of fish predation. ?? 2008 Blackwell Publishing Ltd.

Freshwater Biology↗

Influence of habitat structure and prey abundance on cccupancy and abundance of two anole ecomorphs, Anolis cristatellus and Anolis krugi, in secondary karst forests in northern Puerto Rico

Ecological studies strive to identify factors that explain patterns of species distribution and abundance. In lizards, competition and predation are major forces influencing distribution and abundance, but there is also increasing evidence pointing at the influence of habitat structure and prey abundance. Our work explored the latter further by quantifying the effects of vegetation and prey abundance on occupancy and abundance (i.e., estimated probability of detecting more than two individuals) of two sympatrically occurring species in the northern karst belt of Puerto Rico. We hypothesized that Anolis cristatellus would occur in trunk–ground substrates and Anolis krugi on grass–bush substrates according to their ecomorphological classification. We also hypothesized that prey abundance, a component of habitat quality, would have a positive and strong effect on occupancy and abundance. Anolis cristatellus exhibited high occupancy rates (>0.80), influenced by mid-story tree size. A. cristatellus abundance fluctuated over time, with highest probability of detecting two or more individuals in January–March and July–September when prey abundance transitioned from low to high levels. Occupancy of A. krugi was positively influenced by sapling density and prey abundance. Prey abundance exerted a stronger influence on occupancy, but its influence on abundance was negative and strong. Biological interactions and the type of understory substrates may explain the negative relationship. Our study supported predicted relationships between ecomorphology and habitat, but also showed that higher prey abundance may not always translate to higher local abundance. We shed light on these interactions, knowledge needed to advance anole conservation in the advent of land use and climate change.

Puerto Rico↗

Management and research applications of long-range surveillance radar data for birds, bats, and flying insects

There is renewed interest in using long-range surveillance radar as a biological research tool due to substantial improvements in the network of radars within the United States. Technical improvements, the digital nature of the radar data, and the availability of computing power and geographic information systems, enable a broad range of biological applications. This publication provides a summary of long-range surveillance radar technology and applications of these data to questions about movement patterns of birds and other flying wildlife. The intended audience is potential radar-data end users, including natural-resource management and regulatory agencies, conservation organizations, and industry. This summary includes a definition of long-range surveillance radar, descriptions of its strengths and weaknesses, information on applications of the data, cost, methods of calibration, and what end users need to do, and some key references and resources.

Texas↗