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At least 1,405 records · Page 78Linked to original sources

Sea otters in the northern Pacific Ocean

About 250 years ago sea otters ( Enhydra lutris ) were distributed continuously from central Baja California, north and west along the Pacific Rim to Machatka Peninsula in Russia, and south along the Kuril Island to northern Japan (Kenyon 1969; Fig. 1a). Several hundred thousand sea otters may have occurred in the north Pacific region when commercial hunting began in the 18th century (Riedman and Estes 1990). At least two attributes of the sea otter have influenced humans, likely for as long as they have resided together along the coast of the north Pacific Ocean. First, sea otters rely on a dense fur, among the finest in the world, for insulation in the cold waters of the Pacific Ocean. The demand for sea otter fur led to their near extinction in the 19th century. The fur harvest, begun about 1740 and halted by international treaty in 1911, left surviving colonies, each likely numbering less than a few hundred animals, in California, south-central Alaska, and the Aleutian, Medney, and Kuril Islands (Fig. 1a). These individuals provided the nucleus for the recovery of the species. Today more than 100,000 sea otters occur throughout about 75% of their original range (fig. 1b). Immigration has resulted in near-complete occupation of the Aleutian and Kuril archipelagos and the Alaska peninsula. Successful translocations have resulted in viable populations in southeast Alaska, Washington, and British Columbia. Large amounts of unoccupied habitat remain along the coasts of Russia, Canada, the United States, and Mexico. The second potential source of conflict between sea otters and humans is that sea otters prey on and often limit some benthic invertebrate populations. Because some of these invertebrates are aso used by humans (Estes and VanBlaricom 1985), human perceptions about the effects of sea otter foraging on invertebrates sometimes differ. By limiting populations of herbivorous invertebrates ( e.g. , sea urchins [Echinoidea]) otters help maintain the integrity of kelp forest communities. At the same time, sea otter predation on other marine invertebrates can lead to direct competition with humans for resources. These interactions add complex dimensions to the conservation and management of sea otters, in large part because of wide-ranging social, ecological, and economic consequences of sea otter foraging. Long-term data on abundance and distribution are available for relatively few sea otter populations. Here we summarize such data from three populations: Being Island, Russia; Prince William Sound, Alaska; and Olympic Peninsula, Washington. The Bering Island population resulted from natural emigration and represents complete recovery. Prince William Sounds represents near recovery of a remnant population, whereas the Washington population was established via translocations from Alaska and is just beginning to recover. We will compare growth rates and current status among these populations. Because of its unique status and growth characteristics, the California sea otter is not treated in this article.

Book chapter↗

Ecological effects of nitrogen deposition in the western United States

In the western United States vast acreages of land are exposed to low levels of atmospheric nitrogen (N) deposition, with interspersed hotspots of elevated N deposition downwind of large, expanding metropolitan centers or large agricultural operations. Biological response studies in western North America demonstrate that some aquatic and terrestrial plant and microbial communities are significantly altered by N deposition. Greater plant productivity is counterbalanced by biotic community changes and deleterious effects on sensitive organisms (lichens and phytoplankton) that respond to low inputs of N (3 to 8 kilograms N per hectare per year). Streamwater nitrate concentrations are elevated in high-elevation catchments in Colorado and are unusually high in southern California and in some chaparral catchments in the southwestern Sierra Nevada. Chronic N deposition in the West is implicated in increased fire frequency in some areas and habitat alteration for threatened species. Between hotspots, N deposition is too low to cause noticeable effects or has not been studied.

BioScience↗

The intermediate disturbance hypothesis does not explain fire and diversity pattern in fynbos

The intermediate disturbance hypothesis is a widely accepted generalization regarding patterns of species diversity, but may not hold true where fire is the disturbance. In the Mediterranean-climate shrublands of South Africa, called fynbos, fire is the most importance disturbance and a controlling factor in community dynamics. The intermediate disturbance hypothesis states that diversity will be highest at sites that have had an intermediate frequency of disturbance and will be lower at sites that have experienced very high or very low disturbance frequencies. Measures of diversity are sensitive to scale; therefore, we compared species richness for three fire regimes in South African mountain fynbos to test the intermediate disturbance hypothesis over different spatial scales from 1 m 2 to 0.1 hectares. Species diversity response to fire frequency was highly scale-dependent, but the relationship between species diversity and disturbance frequency was opposite that predicted by the intermediate disturbance hypothesis. At the largest spatial scales, species diversity was highest at the least frequently burned sites (40 years between fires) and lowest at the sites of moderate (15 to 26 years between fires) and high fire frequency (alternating four and six year fire cycle). Community heterogeneity, measured both as the slope of the species-area curve for a site and as the mean dissimilarity in species composition among subplots within a site, correlated with species diversity at the largest spatial scales. Community heterogeneity was highest at the least frequently burned sites and lowest at the sites that experienced an intermediate fire frequency.

Hottentot’s Holland Nature Reserve, Western Cape P↗

Alternative pathways to landscape transformation: Invasive grasses, burn severity and fire frequency in arid ecosystems

Arid ecosystems are often vulnerable to transformation to invasive-dominated states following fire, but data on persistence of these states are sparse. The grass/fire cycle is a feedback process between invasive annual grasses and fire frequency that often leads to the formation of alternative vegetation states dominated by the invasive grasses. However, other components of fire regimes, such as burn severity, also have the potential to produce long-term vegetation transformations. Our goal was to evaluate the influence of both fire frequency and burn severity on the transformation of woody-dominated communities to communities dominated by invasive grasses in major elevation zones of the Mojave Desert of western North America. We used a chronosequence design to collect data on herbaceous and woody cover at 229 unburned reference plots and 578 plots that burned between 1972 and 2010. We stratified the plots by elevation zone (low, mid, high), fire frequency (1–3 times) and years post-fire (YPF; 1–5, 6–10, 11–20 and 21–40 YPF). Burn severity for each plot was estimated by the difference normalized burn ratio. We identified two broad post-fire successional pathways. One was an outcome of fire frequency, resulting in a strong potential transformation via the grass/fire cycle. The second pathway was driven by burn severity, the critical aspect being that long-term transformation of a community could occur from just one fire in areas that burned at high or sometimes moderate severity. Dominance by invasive grasses was most likely to occur in low-and high-elevation communities; cover of native herbaceous species was often greater than that of invasive grasses in the mid-elevation zone. Synthesis . Invasive grasses can dominate a site that burned only one time in many decades at high severity, or a site that burned at low severity but multiple times in the same time period. However, high burn severity may predispose areas to more frequent fire because they have relatively high cover of invasive annual grass, suggesting burn severity and fire frequency have both independent and synergistic effects. Resilience in vegetation structure following fire in many arid communities may be limited to a narrow window of low burn severity in areas that have not burned in many decades.

Mojave Desert↗

Importance of sampling design and analysis in animal population studies: a comment on Sergio et al

1. The use of predators as indicators and umbrellas in conservation has been criticized. In the Trentino region, Sergio et al. (2006; hereafter SEA) counted almost twice as many bird species in quadrats located in raptor territories than in controls. However, SEA detected astonishingly few species. We used contemporary Swiss Breeding Bird Survey data from an adjacent region and a novel statistical model that corrects for overlooked species to estimate the expected number of bird species per quadrat in that region. 2. There are two anomalies in SEA which render their results ambiguous. First, SEA detected on average only 6.8 species, whereas a value of 32 might be expected. Hence, they probably overlooked almost 80% of all species. Secondly, the precision of their mean species counts was greater in two-thirds of cases than in the unlikely case that all quadrats harboured exactly the same number of equally detectable species. This suggests that they detected consistently only a biased, unrepresentative subset of species. 3. Conceptually, expected species counts are the product of true species number and species detectability p. Plenty of factors may affect p, including date, hour, observer, previous knowledge of a site and mobbing behaviour of passerines in the presence of predators. Such differences in p between raptor and control quadrats could have easily created the observed effects. Without a method that corrects for such biases, or without quantitative evidence that species detectability was indeed similar between raptor and control quadrats, the meaning of SEA's counts is hard to evaluate. Therefore, the evidence presented by SEA in favour of raptors as indicator species for enhanced levels of biodiversity remains inconclusive. 4. Synthesis and application. Ecologists should pay greater attention to sampling design and analysis in animal population estimation. Species richness estimation means sampling a community. Samples should be representative for the community studied and the sampling fraction among communities compared should be the same on average, otherwise formal estimation approaches must be applied to avoid misleading inference.

Journal of Applied Ecology↗

Downscaling future climate change projections over Puerto Rico using a non-hydrostatic atmospheric model

We present results from 20-year “high-resolution” regional climate model simulations of precipitation change for the sub-tropical island of Puerto Rico. The Japanese Meteorological Agency Non-Hydrostatic Model (NHM) operating at a 2-km grid resolution is nested inside the Regional Spectral Model (RSM) at 10-km grid resolution, which in turn is forced at the lateral boundaries by the Community Climate System Model (CCSM4). At this resolution, the climate change experiment allows for deep convection in model integrations, which is an important consideration for sub-tropical regions in general, and on islands with steep precipitation gradients in particular that strongly influence local ecological processes and the provision of ecosystem services. Projected precipitation change for this region of the Caribbean is simulated for the mid-twenty-first century (2041–2060) under the RCP8.5 climate-forcing scenario relative to the late twentieth century (1986–2005). The results show that by the mid-twenty-first century, there is an overall rainfall reduction over the island for all seasons compared to the recent climate but with diminished mid-summer drought (MSD) in the northwestern parts of the island. Importantly, extreme rainfall events on sub-daily and daily time scales also become slightly less frequent in the projected mid-twenty-first-century climate over most regions of the island.

Puerto Rico↗

Mapping research on hydropower and sustainability in the Brazilian Amazon: Advances, gaps in knowledge and future directions

In the last twenty years, multiple large and small hydroelectric dams have begun to transform the Amazonian region, spawning a growing volume of academic research across diverse disciplinary and interdisciplinary fields. In this article, we offer a critical review of recent research related to hydropower and sustainability with a focus on the Brazilian Amazon. We revisit the sustainability concept to include the contribution of various knowledge fields and perspectives for understanding, managing and making decisions about social-ecological systems transformed by dams. We conducted a literature review in Web of Science of academic publications centered in the past 5 years (2014–2019), on diverse aspects of hydropower planning, construction, operation and monitoring in the Brazilian Amazon. We present results of a co-occurrence network analysis of publications, highlighting bridging fields, network disconnections, and opportunities for interdisciplinary research. Finally, we report recent advances in the understanding and management of social-ecological systems in Amazonian watersheds, including biophysical, socio-economic, governance and development processes linked to hydropower planning and implementation. This review identifies knowledge gaps and future research directions, highlighting opportunities for improved communication among scientists, practitioners, decision-makers, indigenous peoples and local communities.

Amazon↗

Cold-seep habitat mapping: high-resolution spatial characterization of the Blake Ridge Diapir seep field

Relationships among seep community biomass, diversity, and physiographic controls such as underlying geology are not well understood. Previous efforts to constrain these relationships at the Blake Ridge Diapir were limited to observations from piloted deep-submergence vehicles. In August 2012, the autonomous underwater vehicle (AUV) Sentry collected geophysical and photographic data over a 0.131 km2 area at the Blake Ridge Diapir seeps. A nested survey approach was used that began with a regional or reconnaissance-style survey using sub-bottom mapping systems to locate and identify seeps and underlying conduits. This survey was followed by AUV-mounted sidescan sonar and multibeam echosounder systems mapping on a mesoscale to characterize the seabed physiography. At the most detailed survey level, digital photographic imaging was used to resolve sub-meter characteristics of the biology. Four pockmarks (25–70 m diameter) were documented, each supporting chemosynthetic communities. Concentric zonation of mussels and clams suggests the influence of chemical gradients on megafaunal distribution. Data collection and analytical techniques used here yield high-resolution habitat maps that can serve as baselines to constrain temporal evolution of seafloor seeps, and to inform ecological niche modeling and resource management.

Deep-Sea Research Part II: Topical Studies in Ocea↗

Digital database of microfossil localities in Alameda and Contra Costa Counties, California

The eastern San Francisco Bay region (Contra Costa and Alameda Counties, California) is a geologically complex area divided by faults into a suite of tectonic blocks. Each block contains a unique stratigraphic sequence of Tertiary sediments that in most blocks unconformably overlie Mesozoic sediments. Age and environmental interpretations based on analysis of microfossil assemblages are key factors in interpreting geologic history, structure, and correlation of each block. Much of this data, however, is distributed in unpublished internal reports and memos, and is generally unavailable to the geologic community. In this report the U.S. Geological Survey microfossil data from the Tertiary sediments of Alameda and Contra Costa counties are analyzed and presented in a digital database, which provides a user-friendly summary of the micropaleontologic data, locality information, and biostratigraphic and ecologic interpretations.

California↗

Age, growth rates, and paleoclimate studies of deep sea corals

Deep-water corals are some of the slowest growing, longest-lived skeletal accreting marine organisms. These habitat-forming species support diverse faunal assemblages that include commercially and ecologically important organisms. Therefore, effective management and conservation strategies for deep-sea corals can be informed by precise and accurate age, growth rate, and lifespan characteristics for proper assessment of vulnerability and recovery from perturbations. This is especially true for the small number of commercially valuable, and potentially endangered, species that are part of the black and precious coral fisheries (Tsounis et al. 2010). In addition to evaluating time scales of recovery from disturbance or exploitation, accurate age and growth estimates are essential for understanding the life history and ecology of these habitat-forming corals. Given that longevity is a key factor for population maintenance and fishery sustainability, partly due to limited and complex genetic flow among coral populations separated by great distances, accurate age structure for these deep-sea coral communities is essential for proper, long-term resource management.

Report↗

Structure and vulnerability of Pacific Northwest tidal wetlands – A summary of wetland climate change research by the Western Ecology Division, U.S. EPA

Climate change poses a serious threat to the tidal wetlands of the Pacific Northwest (PNW) region of the U.S. In response to this threat, scientists at the Western Ecology Division of the U.S. EPA at and the Western Fisheries Research Center of the U.S. Geological Survey, along with other partners, initiated a series of studies on the structure and vulnerability of tidal wetlands to climate change. One research thrust was to evaluate community structure of PNW marshes, experimentally assess the vulnerability of marsh plants to inundation and salinity stress (as would happen with sea level rise), and evaluate the utility of the National Wetland Inventory (NWI) classification system. Another research thrust was to develop tools that provide insights into possible impacts of climate change. This effort included enhancing the Sea Level Affecting Marshes Model (SLAMM) to predict the effects of sea level rise on submerged aquatic vegetation (Zostera marina) distributions, evaluating changes in river flow into coastal estuaries in response to precipitation changes, and synthesizing Pacific Coast estuary, watershed, and climate data in a downloadable tool. Because the research resulting from these efforts was published in multiple venues, we summarized them in this document. We anticipate that future research efforts by the U.S. EPA will continue with a focus on climate change impacts on a regional scale.

California, Oregon, Washington↗

Rigorously valuing the role of coral reefs in coastal protection: An example from Maui, Hawaii, U.S.A.

The degradation of coastal habitats, particularly coral reefs, raises risks by exposing communities to flooding hazards. The protective services of these natural defenses are not assessed in the same rigorous, economic terms as artificial defenses such as seawalls, and therefore often not considered in decision-making. Here we present a new methodology that combines economic, ecological, and engineering tools to provide a rigorous financial valuation of the coastal protection benefits of coral reefs off Maui, Hawaii, USA. We follow risk-based valuation guidelines to quantitatively estimate the risk reduction benefits from coral reefs in terms of annual expected benefits in economic terms. Our ultimate goal is to identify how, where, and when coral reefs provide the most flood reduction benefits under current and future climates to inform reef conservation and management priorities.

Hawaii↗

Isohaline position as a habitat indicator for estuarine populations

Populations of native and introduced aquatic organisms in the San Francisco Bay/Sacramento-San Joaquin Delta Estuary ("Bay/Delta") have undergone significant declines over the past two decades. Decreased river inflow due to drought and increased freshwater diversion have contributed to the decline of at least some populations. Effective management of the estuary's biological resources requires a sensitive indicator of the response to freshwater inflow that has ecological significance, can be measured accurately and easily, and could be used as a "policy" variable to set standards for managing freshwater inflow. Positioning of the 2% (grams of salt per kilogram of seawater) bottom salinity value along the axis of the estuary was examined for this purpose. The 2% bottom salinity position (denoted by X 2 ) has simple and significant statistical relationships with annual measures of many estuarine resources, including the supply of phytoplankton and phytoplankton-derived detritus from local production and river loading; benthic macroinvertebrates (molluscs); mysids and shrimp; larval fish survival; and the abundance of planktivorous, piscivorous, and bottom-foraging fish. The actual mechanisms are understood for only a few of these populations. X 2 also satisfies other recognized requirements for a habitat indicator and probably can be measured with greater accuracy and precision than alternative habitat indicators such as net freshwater inflow into the estuary. The 2% value may not have special ecological significance for other estuaries (in the Bay/Delta, it marks the locations of an estuarine turbidity maximum and peaks in the abundance of several estuarine organisms), but the concept of using near-bottom isohaline position as a habitat indicator should be widely applicable. Although X 2 is a sensitive index of the estuarine community's response to net freshwater inflow, other hydraulic features of the estuary also determine population abundances and resource levels. In particular, diversion of water for export from or consumption within the estuary can have a direct effect on population abundance independent of its effect on X 2 . The need to consider diversion, in addition to X 2 , for managing certain estuarine resources is illustrated using striped bass survival as an example. The striped bass survival data were also used to illustrate a related important point: incorporating additional explanatory variables may decrease the prediction error for a population or process, but it can increase the uncertainty in parameter estimates and management strategies based on these estimates. Even in cases where the uncertainty is currently too large to guide management decisions, an uncertainty analysis can identify the most practical direction for future data acquisition.

California↗

Predicting what helminth parasites a fish species should have using Parasite Co-occurrence Modeler (PaCo)

Fish pathologists are often interested in which parasites would likely be present in a particular host. Parasite Co-occurrence Modeler (PaCo) is a tool for identifying a list of parasites known from fish species that are similar ecologically, phylogenetically, and geographically to the host of interest. PaCo uses data from FishBase (maximum length, growth rate, life span, age at maturity, trophic level, phylogeny, and biogeography) to estimate compatibility between a target host and parasite species–genera from the major helminth groups (Acanthocephala, Cestoda, Monogenea, Nematoda, and Trematoda). Users can include any combination of host attributes in a model. These unique features make PaCo an innovative tool for addressing both theoretical and applied questions in parasitology. In addition to predicting the occurrence of parasites, PaCo can be used to investigate how host characteristics shape parasite communities. To test the performance of the PaCo algorithm, we created 12,400 parasite lists by applying any possible combination of model parameters (248) to 50 fish hosts. We then measured the relative importance of each parameter by assessing their frequency in the best models for each host. Host phylogeny and host geography were identified as the most important factors, with both present in 88% of the best models. Habitat (64%) was identified in more than half of the best models. Among ecological parameters, trophic level (41%) was the most relevant while life span (34%), growth rate (32%), maximum length (28%), and age at maturity (20%) were less commonly linked to best models. PaCo is free to use at www.purl.oclc.org/fishpest .

Journal of Parasitology↗

The future of nearshore processes research

The nearshore is the transition region between land and the continental shelf including (from onshore to offshore) coastal plains, wetlands, estuaries, coastal cliffs, dunes, beaches, surf zones (regions of wave breaking), and the inner shelf (Figure ES-1). Nearshore regions are vital to the national economy, security, commerce, and recreation. The nearshore is dynamically evolving, is often densely populated, and is under increasing threat from sea level rise, long-term erosion, extreme storms, and anthropogenic influences. Worldwide, almost one billion people live at elevations within 10 m of present sea level. Long-term erosion threatens communities, infrastructure, ecosystems, and habitat. Extreme storms can cause billions of dollars of damage. Degraded water quality impacts ecosystem and human health. Nearshore processes, the complex interactions between water, sediment, biota, and humans, must be understood and predicted to manage this often highly developed yet vulnerable nearshore environment. Over the past three decades, the understanding of nearshore processes has improved. However, societal needs are growing with increased coastal urbanization and threats of future climate change, and significant scientific challenges remain. To address these challenges, members of academia, industry, and federal agencies (USGS, USACE, NPS, NOAA, FEMA, ONR) met at the “The Past and Future of Nearshore Processes Research: Reflections on the Sallenger Years and a New Vision for the Future” workshop to develop a nearshore processes research vision where societal needs and science challenges intersect. The resulting vision is comprised of three broad research themes: Long-term coastal evolution due to natural and anthropogenic processes: As global climate change alters the rates of sea level rise and potentially storm patterns and coastal urbanization increases over the coming decades, an understanding of coastal evolution is critical. Improved knowledge of long-term morphological, ecological, and societal processes and their interactions will result in an improved ability to simulate coastal change. This will enable proactive solutions for resilient coasts and better guidance for reducing coastal vulnerability. Extreme Events: Flooding, erosion, and the subsequent recovery: Hurricane Sandy caused flooding and erosion along hundreds of miles of shoreline, flooded New York City, and impacted communities and infrastructure. Overall U.S. coastal extreme event related economic losses have increased substantially. Furthermore, climate change may cause an increase in coastal extreme events and rising sea levels could increase the occurrence of extreme events. Addressing this research theme will result in an improved understanding of the physical processes during extreme events, leading to improved models of flooding, erosion, and recovery. The resulting societal benefit will be more resilient coastal communities. The physical, biological and chemical processes impacting human and ecosystem health: Nearshore regions are used for recreation, tourism, and human habitation, and provide habitat and valuable ecosystem services. These areas must be sustained for future generations, however overall coastal water quality is declining due to microbial pathogens, fertilizers, pesticides, and heavy metal contamination, threatening ecosystem and human health. To ensure sustainable nearshore regions, predictive real-time water- and sediment-based based pollutant modeling capabilities must be developed, which requires expanding our knowledge of the physics, chemistry, and biology of the nearshore. The resulting societal benefits will include better beach safety, healthier ecosystems, and improved mitigation and regulatory policies. The scientists and engineers of the U.S. nearshore community are poised to make significant progress on these research themes, which have significant societal impact. The U.S. nearshore community, including academic, government, and industry colleagues, recommends multi-agency investment into a coordinated development of observational and modeling research infrastructure to address these themes, as discussed in the whitepaper. The observational infrastructure should include development of new sensors and methods, focused observational programs, and expanded nearshore observing systems. The modeling infrastructure should include improved process representation, better model coupling, incorporation of data assimilation techniques, and testing of real-time models. The observations will provide test beds to compare and improve models.

Report↗

Workshop: Nature-based solutions to ecological and economic problems caused by extreme precipitation events in the Upper Mississippi River Basin

Future climate conditions in the Upper Mississippi River Basin are projected to include many more extreme precipitation events. These intense periods of rain can lead to flooding of the Mississippi River itself, as well the small streams and rivers that feed it. This flooding presents a challenge for local communities, farmers, small businesses, river users, and the ecosystems and wildlife in the area. To reduce the damage done by these extreme rainfall events, ‘natural solutions’ are often helpful. This might include preserving forests and grasslands to absorb rainwater before it arrives at streams or restoring wetlands to slow and clean runoff water. For river and natural resource managers to adapt to future climate by using these natural solutions, however, they require accurate information about the projected increase in extreme rainfall events and the effectiveness and costs of a variety of solutions. To provide this information, researchers must understand the decisions that managers are making and the challenges they face. In this project, researchers will host a workshop to facilitate knowledge sharing between natural resource managers, climate modelers, and scientists studying natural solutions. Participants will discuss climate projections related to extreme precipitation events in the region, as well as the management implications and decision-making challenges associated with these events. These conversations will cultivate collaborative relationships between managers and researchers to address critical knowledge gaps and improve future management efforts in the Upper Mississippi River Basin.

Upper Mississippi River basin↗

Impacts of mountaintop mining on terrestrial ecosystem integrity: Identifying landscape thresholds for avian species in the central Appalachians, United States

Context Mountaintop removal/valley fill (MTR/VF) mining in the central Appalachians is a major driver of landscape change within terrestrial ecosystems. Objective We quantified avian community and individual taxa thresholds in response to changing landscapes from MTR/VF using a Threshold Indicator Taxa Analysis approach. Methods We conducted 50-m fixed radius avian surveys (n = 707) within forest adjacent to mine lands in 2012–2013 and obtained data for additional surveys (n = 905) sampled using comparable methods during 2008–2013. We quantified positive and negative community, habitat guild, and species thresholds in abundance and occurrence for each of five landscape metrics within a 1-km radius of each survey point. Results Reclaimed mine-dominated landscapes (less forest and more grassland/shrubland cover) elicited more negative (57 %) than positive (39 %) species responses. Negative thresholds for each landscape metric generally occurred at lower values than positive thresholds, thus negatively responding species were detrimentally affected before positively responding species benefitted. Forest interior birds generally responded negatively to landscape metric thresholds, interior edge species responses were mixed, and early successional birds responded positively. The forest interior guild declined most at 4 % forest loss, while the shrubland guild increased greatest after 52 % loss. Based on random forest importance ranks, total amount of landscape grassland/shrubland had the most influence, although this varied by guild. Conclusions Because of little overlap in habitat requirements, managing landscapes simultaneously to maximally benefit both guilds may not be possible. Our avian thresholds identify single community management targets accounting for scarce species. Guild or individual species thresholds allow for species-specific management.

Kentucky, Tennessee, Virginia, West Virginia↗

Comparison of bird community indices for riparian restoration planning and monitoring

The use of a bird community index that characterizes ecosystem integrity is very attractive to conservation planners and habitat managers, particularly in the absence of any single focal species. In riparian areas of the western USA, several attempts at arriving at a community index signifying a functioning riparian bird community have been made previously, mostly resorting to expert opinions or national conservation rankings for species weights. Because extensive local and regional bird monitoring data were available for Nevada, we were able to develop three different indices that were derived empirically, rather than from expert opinion. We formally examined the use of three species weighting schemes in comparison with simple species richness, using different definitions of riparian species assemblage size, for the purpose of predicting community response to changes in vegetation structure from riparian restoration. For the three indices, species were weighted according to the following criteria: (1) the degree of riparian habitat specialization based on regional data, (2) the relative conservation ranking of landbird species, and (3) the degree to which a species is under-represented compared to the regional species pool for riparian areas. To evaluate the usefulness of these indices for habitat restoration planning and monitoring, we modeled them using habitat variables that are expected to respond to riparian restoration efforts, using data from 64 sampling sites in the Walker River Basin in Nevada and California. We found that none of the species-weighting schemes performed any better as an index for evaluating overall habitat condition than using species richness alone as a community index. Based on our findings, the use of a fairly complete list of 30–35 riparian specialists appears to be the best indicator group for predicting the response of bird communities to the restoration of riparian vegetation.

Nevada↗