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Composite estimation to combine spatially overlapping environmental monitoring surveys

Long-term environmental monitoring surveys are designed to achieve a desired precision (measured by variance) of resource conditions based on natural variability information. Over time, increases in resource variability and in data use to address issues focused on small areas with limited sample sizes require bolstering of attainable precision. It is often prohibitive to do this by increasing sampling effort. In cases with spatially overlapping monitoring surveys, composite estimation offers a statistical way to obtain a precision-weighted combination of survey estimates to provide improved population estimates (more accurate) with improved precisions (lower variances). We present a composite estimator for overlapping surveys, a summary of compositing procedures, and a case study to illustrate the procedures and benefits of composite estimation. The study uses the two terrestrial monitoring surveys administered by the Bureau of Land Management (BLM) that entirely overlap. Using 2015–18 data and 13 land-health indicators, we obtained and compared survey and composite indicator estimates of percent area meeting land-health standards for sagebrush communities in Wyoming’s Greater Sage-Grouse ( Centrocercus urophasianus ) Core and NonCore conservation areas on BLM-managed lands. We statistically assessed differences in indicator estimates between the conservation areas using composite estimates and estimates of the two surveys individually. We found composite variance to be about six to 24 units lower than 37% of the survey variances and composite estimates to differ by about six to 10 percentage points from six survey estimates. The composite improvements resulted in finding 11 indicators to statistically differ ( p <0.05) between the conservation areas compared to only six and seven indicators for the individual surveys. Overall, we found composite estimation to be an efficient and useful option for improving environmental monitoring information where two surveys entirely overlap and suggest how this estimation method could be beneficial where environmental surveys partially overlap and in small area applications.

Wyoming↗

Management and the conservation of freshwater ecosystems

Riparian areas are the terrestrial environment adjacent to water that both influences and is influenced by the aquatic feature (Gregory et al ., 1991; Naiman et al ., 2010). Riparian areas along streams provide shade, sources of wood and organic matter, contribute to bank stability, filter sediments, take up excess nutrients from groundwater inputs, and other key processes that protect freshwaters (e.g. Naiman et al ., 2010; Richardson & Danehy, 2007; Figure 9.1). Riparian areas also increase biodiversity through habitat complexity and close juxtaposition of aquatic and terrestrial environments (Quinn et al ., 2004; Naiman et al ., 2010). Alterations to riparian areas, despite their small area relative to the landscape, have disproportionate effects on habitats and fish communities (Naiman et al ., 2010; Wipfli & Baxter, 2010). Key habitat losses and alterations are derived from modification of riparian areas by reducing instream habitat complexity (Bilby & Ward, 1989; Fausch & Northcote, 1992; Naiman et al ., 2010), diminishing the productive basis of freshwater food webs (Belsky et al ., 1999; Quinn et al ., 2004), increasing nutrient, contaminant and sediment intrusion (Muscutt et al ., 1993; Daniels & Gilliam, 1996; Nguyen et al ., 1998; Waters, 1999). Riparian and freshwater ecosystems are typically tightly coupled, especially in their natural states, and the linkages that couple them frequently exert strong influence on their associated invertebrate and fish fauna (e.g. Gregory et al ., 1991; Naiman et al ., 2010). Riparian habitats, and the condition of these habitats, further plays a key role in the ecology of these fresh waters, influencing critical processes such as water, nutrient and sediment delivery and dynamics; prey resources for fish and other consumers, and other organic materials exchanged between aquatic and terrestrial habitats (Nakano et al ., 1999; Naiman et al ., 2010); light and water temperature dynamics that in turn affect food web processes and fish metabolism and growth; aquatic physical habitat (wood); and terrestrial consumers that prey upon fishes (Bisson & Bilby, 1998; Naiman et al ., 2010; Wipfli & Baxter, 2010). These processes in turn directly or indirectly influence fishes in freshwater systems (Wang et al ., 2001; Pusey & Arthington, 2003; Allan, 2004; Richardson et al ., 2010a).

Book chapter↗

Range-wide assessment of livestock grazing across the sagebrush biome

Domestic livestock grazing occurs in virtually all sagebrush habitats and is a prominent disturbance factor. By affecting habitat condition and trend, grazing influences the resources required by, and thus, the distribution and abundance of sagebrush-obligate wildlife species (for example, sage-grouse Centrocercus spp.). Yet, the risks that livestock grazing may pose to these species and their habitats are not always clear. Although livestock grazing intensity and associated habitat condition may be known in many places at the local level, we have not yet been able to answer questions about use, condition, and trend at the landscape scale or at the range-wide scale for wildlife species. A great deal of information about grazing use, management regimes, and ecological condition exists at the local level (for individual livestock management units) under the oversight of organizations such as the Bureau of Land Management (BLM). However, the extent, quality, and types of existing data are unknown, which hinders the compilation, mapping, or analysis of these data. Once compiled, these data may be helpful for drawing conclusions about rangeland status, and we may be able to identify relationships between those data and wildlife habitat at the landscape scale. The overall objective of our study was to perform a range-wide assessment of livestock grazing effects (and the relevant supporting data) in sagebrush ecosystems managed by the BLM. Our assessments and analyses focused primarily on local-level management and data collected at the scale of BLM grazing allotments (that is, individual livestock management units). Specific objectives included the following: 1. Identify and refine existing range-wide datasets to be used for analyses of livestock grazing effects on sagebrush ecosystems. 2. Assess the extent, quality, and types of livestock grazing-related natural resource data collected by BLM range-wide (i.e., across allotments, districts and regions). 3. Compile and synthesize recommendations from federal and university rangeland science experts about how BLM might prioritize collection of different types of livestock grazing-related natural resource data. 4. Investigate whether range-wide datasets (Objective 1) could be used in conjunction with remotely sensed imagery to identify across broad scales (a) allotments potentially not meeting BLM Land Health Standards (LHS) and (b) allotments in which unmet standards might be attributable to livestock grazing. Objective 1: We identified four datasets that potentially could be used for analyses of livestock grazing effects on sagebrush ecosystems. First, we obtained the most current spatial data (typically up to 2007, 2008, or 2009) for all BLM allotments and compiled data into a coarse, topologically enforced dataset that delineated grazing allotment boundaries. Second, we obtained LHS evaluation data (as of 2007) for all allotments across all districts and regions; these data included date of most recent evaluation, BLM determinations of whether region-specific standards were met, and whether BLM deemed livestock to have contributed to any unmet standards. Third, we examined grazing records of three types: Actual Use (permittee-reported), Billed Use (BLM-reported), and Permitted Use (legally authorized). Finally, we explored the possibility of using existing Natural Resources Conservation Service (NRCS) Ecological Site Description (ESD) data to make up-to-date estimates of production and forage availability on BLM allotments. Objective 2: We investigated the availability of BLM livestock grazing-related monitoring data and the status of LHS across 310 randomly selected allotments in 13 BLM field offices. We found that, relative to other data types, the most commonly available monitoring data were Actual Use numbers (permittee-reported livestock numbers and season-of-use), followed by Photo Point, forage Utilization, and finally, Vegetation Trend measurement data. Data availability and frequency of data collection varied across allotments and field offices. Analysis of the BLM's LHS data indicated 67 percent of allotments analyzed were meeting standards. For those not meeting standards, livestock were considered the causal factor in 45 percent of cases (about 15 percent of all allotments). Objective 3: We sought input from 42 university and federal rangeland science experts about how best to prioritize rangeland monitoring activities associated with ascertaining livestock impacts on vegetation resources. When we presented a hypothetical scenario to these scientists and asked them to prioritize monitoring activities, the most common response was to measure ground and vegetation cover, a variable that in many cases (10 of 13 field offices sampled) BLM had already identified as a monitoring priority. Experts identified several other traditional (for example, photo points) and emerging approaches (for example, high-resolution aerial photography) to monitoring. Objective 4: We used spatial allotment data (described in Objective 1) and remotely sensed vegetation data (sagebrush cover, herbaceous vegetation cover, litter and bare soil) to assess differences in allotment LHS status ("Not met" vs. "Met"; if "Not met" - livestock-caused vs. not). We then developed logistic regression models, using vegetation variables to predict LHS status of BLM allotments in sagebrush steppe habitats in Wyoming and portions of Montana and Colorado. In general, we found that more consistent data collection at the local level might improve suitability of data for broad-scale analyses of livestock impacts. As is, data collection methodologies varied across field offices and States, and we did not find any local-level monitoring data (Actual Use, Utilization, Vegetation Trend) that had been collected consistently enough over time or space for range-wide analyses. Moreover, continued and improved emphasis on monitoring also may aid local management decisions, particularly with respect to effects of livestock grazing. Rangeland science experts identified ground cover as a high monitoring priority for assessing range condition and emphasized the importance of tracking livestock numbers and grazing dates. Ultimately, the most effective monitoring program may entail both increased data collection effort and the integration of alternative monitoring approaches (for example, remote sensing or monitoring teams). In the course of our study, we identified three additional datasets that could potentially be used for range-wide analyses: spatial allotment boundary data for all BLM allotments range-wide, LHS evaluations of BLM allotments, and livestock use data (livestock numbers and grazing dates). It may be possible to use these spatial datasets to help prioritize monitoring activities over the extensive land areas managed by BLM. We present an example of how we used spatial allotment boundary data and LHS data to test whether remotely sensed vegetation characteristics could be used to predict which allotments met or did not meet LHS. This approach may be further improved by the results of current efforts by BLM to test whether more intensive (higher resolution) LHS assessments more accurately describe land health status. Standardized data collection in more ecologically meaningful land units may improve our ability to use local-level data for broad-scale analyses.

Open-File Report↗

Drought of 1980-82 in southeast Florida with comparison to the 1961-62 and 1970-71 droughts

South-central Florida (the Kissimmee Basin) experienced a severe drought during 1980-82, causing Lake Okeechobee--the largest surface-water storage area in south Florida--to reach the lowest stage ever recorded, 9.75 feet above sea level, on July 29, 1981. A prolonged period of deficient rainfall extended from June 1980 to March 1982. On the southeast coast, drought conditions were mitigated on August 16, 1981, when rainfall from Tropical Storm Dennis replenished the coastal aquifers and filled the water conservation areas to near scheduled levels. South Dade County was the only area in south Florida not affected by the drought. Rainfall in the southeast coastal areas had a statistical recurrence ranging from 5 to 20 years whereas the recurrence intervals from some stations in south-central Florida were in excess of 100 years. The 1980-81 drought in southeast Flrodia was not as severe as the 1961-62 or the 1970-71 droughts in terms of rainfall conditions or the effect on water levels. The effects of the drought were less severe because of a combination of water-management practices and periodic rainfall during the otherwise rain-deficient period. (USGS)

Florida↗

Development of a 14-digit Hydrologic Unit Code Numbering System for South Carolina

A Hydrologic Unit Map showing the cataloging units, watersheds, and subwatersheds of South Carolina has been developed by the U.S. Geological Survey in cooperation with the South Carolina Department of Health and Environmental Control, funded through a U.S. Environmental Protection Agency 319 Grant, and the U.S. Department of Agriculture, Natural Resources Conservation Service. These delineations represent 8-, 11-, and 14-digit Hydrologic Unit Codes, respectively. This map presents information on drainage, hydrography, and hydrologic boundaries of the water-resources regions, subregions, accounting units, cataloging units, watersheds, and subwatersheds. The source maps for the basin delineations are 1:24,000-scale 7.5-minute series topographic maps and the base maps are from 1:100,000-scale Digital Line Graphs; however, the data are published at a scale of 1:500,000. In addition, an electronic version of the data is provided on a compact disc. Of the 1,022 subwatersheds delineated for this project, 1,004 range in size from 3,000 to 40,000 acres (4.69 to 62.5 square miles). Seventeen subwatersheds are smaller than 3,000 acres and one subwatershed, located on St. Helena Island, is larger than 40,000 acres. This map and its associated codes provide a standardized base for use by water-resource managers and planners in locating, storing, retrieving, and exchanging hydrologic data. In addition, the map can be used for cataloging water-data acquisition activities, geographically organizing hydrologic data, and planning and describing water-use and related land-use activities.

South Carolina↗

Postcards from the field

My research focuses on pre-20th century conditions in the Greater Everglades Ecosystem of south Florida to provide the context for resource managers to set targets for restoration. A primary goal of Everglades restoration is to re-establish more natural delivery of freshwater to the wetlands and estuaries in the region. By analyzing biotic assemblages from sediment cores collected from Florida Bay and Biscayne Bay, we can estimate pre-water management salinities and freshwater flow. To interpret the environments represented by the core assemblages, we investigate the environmental requirements of the living organisms. Our recent efforts have focused on the mangrove transition zone and after a pandemic-related hiatus, we were ecstatic to get back in the field in August 2021! Here, I am searching for mollusks and other invertebrates at the base of dwarf mangroves, near Whitewater Bay, Everglades National Park.

Conservation Paleobiology Network Newsletter↗

Preliminary Surficial Geology of the Dove Spring Off-Highway Vehicle Open Area, Mojave Desert, California

Introduction As part of a U.S. Geological Survey (USGS) monitoring plan to evaluate the environmental impact of off-highway vehicle (OHV) use on Bureau of Land Management (BLM) land in California, this report presents results of geologic studies in the Dove Spring OHV Open Area. This study produced baseline data, which when combined with historic and current patterns of land use, forms the basis for vegetation and wildlife monitoring designed to address the following questions: 1. Is the density and length of OHV routes increasing? 2. Are there cumulative effects of past and current OHV use associated with changes in the environmental integrity of soils, plants, and wildlife? 3. Is the spread of invasive species associated with levels of OHV use? 4. Is there a threshold of OHV impact that might be translated to management action by the BLM? The monitoring studies will be used to collect baseline environmental information to determine levels of environmental impact of OHV use. This approach will use a low-impact area as a proxy for pre-impact conditions (substituting space for time) to determine thresholds of OHV impacts beyond which environmental integrity is affected. Indicators of environmental integrity will emphasize factors that are fundamental to ecosystem structure and function and likely to be sensitive to OHV impacts. Surficial geology is studied because material properties such as texture and chemistry strongly control soil moisture and nutrient availability and therefore affect plant growth and distribution. An understanding of surficial geology can be used to predict and extrapolate soil properties and improve understanding of vegetation assemblages and their distribution. In the present study, vegetation associations may be examined as a function of surficial geology as well as other environmental variables such as slope, aspect, NRCS (National Resources Conservation Service) soil classification, elevation, and land-use history. Ground measurements of vegetation, biological soil crusts, compaction, and other information may be correlated with land use to identify possible ecological thresholds in OHV use that require monitoring. Surficial geology is relevant for several other studies of OHV impact, such as soil compaction, dust emissions, and acceleration of erosion. Compaction, reduced infiltration, and accelerated erosion have been documented in Dove Spring Canyon because of OHV use (Snyder and others, 1976) and elsewhere in the Mojave Desert (e.g., Webb, 1983; Langdon, 2000). A surficial geologic map enables the use of geomorphic process models, which when combined with measured soil properties, such as texture, nutrient chemistry, and bulk density, allows spatial extrapolation of the properties. Maps can be produced that predict compaction susceptibility, moisture conditions, dust emissions, flood hazards, and erodibility, among other applications.

Open-File Report↗

Nutrients, phytoplankton, zooplankton, and macrobenthos

Lower trophic levels support the prey fish on which most sport fish depend. Therefore, understanding the production potential of lower trophic levels is integral to the management of Lake Ontario’s fishery resources. Lower trophic-level productivity differs among offshore and nearshore waters. In the offshore, there is concern about the ability of the lake to support Alewife (Table 1) production due to a perceived decline in productivity of phytoplankton and zooplankton whereas, in the nearshore, there is a concern about excessive attached algal production (e.g., Cladophora) associated with higher nutrient concentrations—the oligotrophication of the offshore and the eutrophication of the nearshore (Mills et al. 2003; Holeck et al. 2008; Dove 2009; Koops et al. 2015; Stewart et al. 2016). Even though the collapse of the Alewife population in Lake Huron in 2003 (and the associated decline in the Chinook Salmon fishery) may have been precipitated by a cold winter (Dunlop and Riley 2013), Alewife had not returned to high abundances in Lake Huron as of 2014 (Roseman et al. 2015). Failure of the Alewife population to recover from collapse has been attributed to declines in lower trophic-level production (Barbiero et al. 2011; Bunnell et al. 2014; but see He et al. 2015). In Lake Michigan, concerns of a similar Alewife collapse led to a decrease in the number of Chinook Salmon stocked. If lower trophic-level production declines in Lake Ontario, a similar management action could be considered. On the other hand, in Lake Erie, which supplies most of the water in Lake Ontario, eutrophication is increasing and so are harmful algal blooms. Thus, there is also a concern that nutrient levels and algal blooms could increase in Lake Ontario, especially in the nearshore. Solutions to the two processes of concern—eutrophication in the nearshore and oligotrophication in the offshore—may be mutually exclusive. In either circumstance, fisheries management needs information on the productivity of lower trophic levels in Lake Ontario. In this chapter, we review the status of lower trophic levels in Lake Ontario with special attention to the current (2008-2013) and previous (2003-2007) reporting periods. During the two reporting periods, three whole-lake surveys of lower trophic levels were conducted: the Lower Trophic Level Assessment (LOLA) in 2003 and 2008 (Makarewicz and Howell 2012; Munawar et al. 2015b) and the Cooperative Science and Management Initiative (CSMI) in 2013. Analyses of the CSMI data are ongoing. In addition to the three one-year sources of information on lower trophic levels, several multi-year sources of information are available, including data from the surveillance program conducted since 1965 by Environment Canada (EC) (Dove 2009), monitoring conducted since 1980 by the U.S. Environmental Protection Agency’s (EPA) Great Lakes National Program Office (GLNPO) (Barbiero et al. 2014; Reavie et al. 2014), sampling for a Bioindex Program at two stations, one offshore and one in the Eastern Basin, assessments of Mysis diluviana (formerly Mysis relicta) conducted since 1980 by Fisheries and Oceans Canada (Johannsson et al. 1998, 2011) and the Ontario Ministry of Natural Resources and Forestry (OMNRF), and monitoring conducted since 1995 by the Biomonitoring Program (BMP) on the New York side of the lake (Holeck et al. 2015b). The BMP is a collaboration of the New York State Department of Environmental Conservation (DEC), U.S. Fish and Wildlife Service, U.S. Geological Survey (USGS), and Cornell University.

Special Publication↗

A spatially referenced regression model (SPARROW) for suspended sediment in streams of the Conterminous U.S.

Suspended sediment has long been recognized as an important contaminant affecting water resources. Besides its direct role in determining water clarity, bridge scour and reservoir storage, sediment serves as a vehicle for the transport of many binding contaminants, including nutrients, trace metals, semi-volatile organic compounds, a nd numerous pesticides (U.S. Environmental Protection Agency, 2000a). Recent efforts to addr ess water-quality concerns through the Total Maximum Daily Load (TMDL) process have iden tified sediment as the single most prevalent cause of impairment in the Nation’s streams a nd rivers (U.S. Environmental Protection Agency, 2000b). Moreover, sediment has been identified as a medium for the tran sport and sequestration of organic carbon, playing a potentia lly important role in understa nding sources and sinks in the global carbon budget (Stallard, 1998). A comprehensive understanding of sediment fate a nd transport is considered essential to the design and implementation of effective plans for sediment management (Osterkamp and others, 1998, U.S. General Accounting Office, 1990). An exte nsive literature addr essing the problem of quantifying sediment transport has produced a nu mber of methods for estimating its flux (see Cohn, 1995, and Robertson and Roerish, 1999, for us eful surveys). The accuracy of these methods is compromised by uncertainty in the concentration measurements and by the highly episodic nature of sediment movement, particul arly when the methods are applied to smaller basins. However, for annual or decadal flux es timates, the methods are generally reliable if calibrated with extended periods of data (Robertson and Roerish, 1999). A substantial literature also supports the Universal Soil Loss Equation (U SLE) (Soil Conservation Service, 1983), an engineering method for estimating sheet and rill erosion, although the empirical credentials of the USLE have recently been questioned (Tri mble and Crosson, 2000). Conversely, relatively little direct evidence is available concerning the fate of sediment. The common practice of quantifying sediment fate with a sediment deliv ery ratio, estimated from a simple empirical relation with upstream basin area, does not artic ulate the relative importance of individual storage sites within a basin (Wolman, 1977). Rates of sediment deposition in reservoirs and flood plains can be determined from empirical measurement s , but only a limited number of sites have been monitored, and net rates of deposition or loss from other potential sinks and sources is largely unknown (Stallard, 1998). In particular, little is known about how much sediment loss from fields ultimately makes its way to stream channels, and how much sediment is subsequently stored in or lost from th e streambed (Meade and Parker, 1985, Trimble and Crosson, 2000). This paper reports on recent progress made to a ddress empirically the question of sediment fate and transport on a national scale. The model pres ented here is based on the SPAtially Referenced Regression On Watershed attr ibutes (SPARROW) methodology, fi rst used to estimate the distribution of nutrients in str eams and rivers of the United Stat es, and subsequently shown to describe land and stream processes affecting the delivery of nutrients (Smith and others, 1997, Alexander and others, 2000, Preston and Brakeb ill, 1999). The model makes use of numerous spatial datasets, available at the national level, to explain long-term sediment water-quality conditions in major streams and rivers throughou t the United States. Sediment sources are identified using sediment erosion rates from the National Resources I nventory (NRI) (Natural Resources Conservation Service, 2000) and apportioned over the landscape according to 30- meter resolution land-use information from th e National Land Cover Data set (NLCD) (U.S. Geological Survey, 2000a). More than 76,000 reservoirs from the National Inventory of Dams (NID) (U.S. Army Corps of Engin eers, 1996) are identified as pot ential sediment sinks. Other, non-anthropogenic sources and sinks are identified using soil in formation from the State Soil Survey Geographic (STATSGO) data base (Schwarz and Alexander, 1995) and spatial coverages representing surficial rock t ype and vegetative cover. The SPA RROW model empirically relates these diverse spatial datasets to estimates of long-term, mean annual sediment flux computed from concentration and flow measurements co llected over the period 1985 -95 from more than 400 monitoring stations maintained by the Na tional Stream Quality Accounting Network (Alexander and others, 1998), the National Wa ter Quality Assessment Program, and U.S. Geological Survey District offices (Turcios and Gray, in press). Th e calibrated model is used to estimate sediment flux for over 60,000 stream segments included in the River Reach File 1 (RF1) stream network (Alexander and others, 1999). SPARROW uses statis tical methods to calibrate a simple, structural model of riverine water quality, one that imposes mass ba lance in accounting for changes in contaminant flux. As applied here, the mass-balance approach facilitates the interpretation of model results in terms of physical processes affecting sediment transport, and makes possible the estimation of various rates of sediment generation and loss associated with stream channels and features of the landscape. The statistical approach provides a basi s for assessing the error of these inferred rates and of the error in extrapolated estimates of sediment flux made for streams in the RF1 network. An important implication of the holistic modeling approach adopted in this analysis is that estimates of sediment production and loss ar e based on, and therefore consistent with, measurements of in-stream flux. Other ancillary information, such as direct measurements of long-term sediment storage and release from rese rvoirs (Steffen, 1996), is incorporated into the analysis by specifying additional equations expl aining these ancillary variables. The imposition of cross-equation constraints affords this info rmation a statistically consistent weight in explaining in-stream sediment flux. Thus, the me thodology described here represents a general framework for synthesizing a wide spectrum of available information relevant to the understanding of sediment fate and transport.

Conterminous United States↗

A holistic strategy for adaptive land management

Adaptive management is widely applied to natural resources management (Holling 1973; Walters and Holling 1990). Adaptive management can be generally defined as an iterative decision-making process that incorporates formulation of management objectives, actions designed to address these objectives, monitoring of results, and repeated adaptation of management until desired results are achieved (Brown and MacLeod 1996; Savory and Butterfield 1999). However, adaptive management is often criticized because very few projects ever complete more than one cycle, resulting in little adaptation and little knowledge gain (Lee 1999; Walters 2007). One significant criticism is that adaptive management is often used as a justification for undertaking actions with uncertain outcomes or as a surrogate for the development of specific, measurable indicators and monitoring programs (Lee 1999; Ruhl 2007).

Journal of Soil and Water Conservation↗

Final project memorandum: Southeast Climate Adaptation Science Center Project

Low-lying public lands along the northern Gulf of Mexico coast are vulnerable to sea-level rise. Coastal planners and resource managers in the region have requested customized information that can be used to concisely communicate local sea-level rise scenarios and identify potential impacts to the missions of management agencies. In this project, researchers worked with the Northern Gulf of Mexico Sentinel Site Cooperative to develop information sheets outlining potential sea-level rise scenarios for the region through 2100 including their potential impact on the missions of federally-managed lands. Researchers drew from existing information on regional and global sea-level rise scenarios to develop customized information sheets for 54 federally-managed lands in the region (e.g., National Wildlife Refuges, National Park Service lands, National Estuarine Research Reserves) (Chivoiu et al. 2020). This project was developed in response to a request for customized sea-level rise scenario products from partners at the Northern Gulf of Mexico Sentinel Site Cooperative and the U.S. Fish and Wildlife Service’s Gulf Restoration Program. The results of this project support the conservation stewardship missions of the U.S. Fish and Wildlife Service and National Park Service by providing science to inform management of their lands along the Gulf of Mexico.

Alabama, Florida, Louisiana, Mississippi, Texas↗

Invasion of annual grasses following wildfire corresponds to maladaptive habitat selection by a sagebrush ecosystem indicator species

Numerous wildlife species within semi-arid shrubland ecosystems across western North America are experiencing substantial habitat loss and fragmentation. These changes in habitat are often attributed to a diverse suite of factors including prolonged and increasingly severe droughts, conifer expansion, anthropogenic development, domestic and feral livestock grazing, and invasion of exotic annual grasses, which promotes increased wildfire frequency and severity. Greater sage-grouse ( Centrocercus urophasianus ; hereafter, sage-grouse) are considered an indicator of sagebrush ecosystem health and have experienced widespread population decline associated with habitat loss and degradation, as well as changes in predator communities. Our objectives were to model and map sage-grouse habitat selection and survival during the important brood-rearing life stage in relation to landscape-scale environmental predictors. Furthermore, we sought to understand impacts of wildfire and annual grass invasion on brood habitat, as these accelerated disturbance regimes are a primary cause of habitat loss within the Great Basin region of the USA. We used a hierarchical Bayesian modeling framework to estimate resource selection functions and survival for early and late brood-rearing stages of sage-grouse in relation to a broad suite of habitat characteristics evaluated at multiple spatial scales within the Great Basin from 2009 to 2019. Sage-grouse selected for greater perennial grass cover, higher relative elevations, and areas closer to springs and wet meadows during both early and late brood-rearing. Terrain characteristics, including heat load and aspect, were important in survival models, as was variation in shrub height. We also found strong evidence for higher survival for both early and late broods within previously burned areas, but survival within burned areas decreased as annual grass cover (i.e. cheatgrass , Bromus tectorum ) increased. This interaction effect demonstrates how invasion of annual grasses into burned areas, which has become prevalent in Great Basin sagebrush ecosystems, can lead to maladaptive habitat selection by brood-rearing greater sage-grouse. Understanding these complex relationships aids wildlife conservation and habitat management as wildfire and annual grass cycles continue to accelerate across western ecosystems.

California, Nevada↗

U.S. Geological Survey science for the Wyoming Landscape Conservation Initiative—2014 annual report

This is the seventh report produced by the U.S. Geological Survey (USGS) for the Wyoming Landscape Conservation Initiative (WLCI) to detail annual activities conducted by the USGS for addressing specific management needs identified by WLCI partners. In FY2014, there were 26 projects, including a new one that was completed, two others that were also completed, and several that entered new phases or directions. The 26 projects fall into several categories: (1) synthesizing and analyzing existing data to identify current conditions on the landscape and using the data to develop models for projecting past and future landscape conditions; (2) monitoring indicators of ecosystem conditions and the effectiveness of on-the-ground habitat projects; (3) conducting research to elucidate the mechanisms underlying wildlife and habitat responses to changing land uses; (4) managing and making accessible the large number of databases, maps, and other products being developed; and (5) coordinating efforts among WLCI partners, helping them use USGS-developed decision-support tools, and integrating WLCI outcomes with future habitat enhancement and research projects. The new (completed) project was the development and publication of a public outreach piece for visitors of Fossil Butte National Monument. The final product was a USGS Fact Sheet that capitalized on previously collected elk-monitoring data to interpret the ecology of the Monument&rsquo;s elk population and the importance of the Monument&rsquo;s habitats to this highly visible wildlife species. One of the completed projects entailed developing and evaluating a synthetic approach to high-resolution satellite imagery for use in effectiveness monitoring, which culminated in a journal article. The other completed project was a coalescing of two similar tasks under data and information management that pertain to Web application development and the development of outreach and graphic products into a single integrated project that focuses on developing and maintaining/upgrading Web applications and other tools for visualizing, mapping, and using geospatial data. Major accomplishments for FY2014 included several publications, including Part B of an energy resources map that (with Part A) depicts coal, wind, oil, gas, oil shale, uranium, and solar energy production in the WLCI region. Two published works associated with sage-grouse included a Wildlife Monograph on prioritizing species&rsquo; habitats across large landscapes, multiple seasons, and novel areas (using sage-grouse in Wyoming as an example), and a USGS Data Series report that includes both the data used in the habitat-prioritization models and the habitat prioritization models developed for sage-grouse. Our Science Team also published a framework for conducting large, collaborative projects that rely on geospatial data, and a paper that describes the efficacy of fusing satellite data collected at various resolutions for measuring and monitoring vegetation changes. These products are all invaluable tools for maximizing the efficiency and effectiveness of managing species of concern, conducting future landscape-scale assessments, and monitoring status and trends of landscape conditions. Other highlights of FY2014 included a renewed effort to gather and analyze wildlife and habitat status and trend data for the WLCI Interagency Monitoring Database (IAMD) to assess long-term trends and cumulative effects associated with land-use and climate changes. Water-monitoring efforts included drilling four new groundwater-monitoring wells in the Green and New Fork River basins near the proposed Normally Pressured Lance Formation energy development, and continued data collection at established water-monitoring sites. Three additional wells were sampled as part of the Wyoming Groundwater Monitoring Network, bringing the total to 19 Network wells sampled in the WLCI region since 2010. Combined, these water-monitoring efforts can help to identify potential changes in water quality or levels that may result from land-use changes. Major terrestrial monitoring accomplishments included processing satellite imagery from 1985&minus;2010 to develop a historical perspective of long-term vegetation changes, which can serve as a basis for monitoring current and future trends in sagebrush steppe. Such data are crucial tools for agencies tasked with sage-grouse management and conservation. The USGS WLCI Science Team also continued monitoring and testing methods for evaluating WLCI habitat treatments designed to promote aspen regeneration and enhance sage-grouse habitat, and to assess how those treatments influence invasive species distributions and ungulate herbivory. Highlights included analyzing field data collected to elucidate the relationships between sage-grouse habitat use and the proximity of energy infrastructure, and using new instruments to measure productivity responses of aspen woodlands to various factors. Numerous FY2014 accomplishments specifically addressed agency needs to manage and conserve Wyoming&rsquo;s wildlife species of concern. A pygmy rabbit habitat model and Wyoming distribution map were completed to identify factors associated with rabbit habitat occupancy. Previous work on sage-grouse population dynamics was expanded to better understand the factors that drive long-term viability of sage-grouse populations and to develop a tool that helps to identify key factors limiting sage-grouse persistence in Wyoming. Field work and data analyses continued for elucidating the relationships between sagebrush songbird abundance and productivity, the intensity of energy development, and community dynamics of nest predators. For the mule deer study, mixed mountain shrublands important to migrating and wintering mule deer were mapped and delivered to WLCI partners. Additionally, the relationships between energy development and crucial winter habitat for mule deer were evaluated, and a new phase of work was implemented to better understand relationships between plant phenology and mule deer migration movements. Finally, initial analyses of data collected to evaluate fish-community composition in relation to habitat quality indicate that water quality, as measured by concentrations of hydrocarbons, water temperature, and others parameters, has been diminished in subwatersheds with higher levels of energy development. Overall, the outcomes and products of these wildlife studies contribute significantly to the information and tools needed for addressing effects of land-use changes on Wyoming&rsquo;s species of concern. Finally, capabilities of the WLCI Web site and the USGS ScienceBase infrastructure were maintained and upgraded to help ensure access to and efficient use of all the WLCI data, products, assessment tools, and outreach materials that have been developed. Of particular note is the completion of three Web applications developed for mapping (1) the 1900&minus;2008 progression of oil and gas development;(2) the predicted distributions of Wyoming&rsquo;s Species of Greatest Conservation Need; and (3) the locations of coal and wind energy production, sage-grouse distribution and core management areas, and alternative routes for transmission lines within the WLCI region. Collectively, these applications tools provide WLCI planners and managers with powerful tools for better understanding the distributions of wildlife species and potential alternatives for energy development.

Wyoming↗

Relation of Environmental characteristics to the composition of aquatic assemblages along a gradient of urban land use in New Jersey, 1996-98

Community data from 36 watersheds were used to evaluate the response of fish, invertebrate, and algal assemblages in New Jersey streams to environmental characteristics along a gradient of urban land use that ranged from 3 to 96 percent. Aquatic assemblages were sampled at 36 sites during 1996-98, and more than 400 environmental attributes at multiple spatial scales were summarized. Data matrices were reduced to 43, 170, and 103 species of fish, invertebrates, and algae, respectively, by means of a predetermined joint frequency and relative abundance approach. White sucker (Catostomus commersoni) and Tessellated darter (Etheostoma olmstedi) were the most abundant fishes, accounting for more than 20 and 17 percent, respectively, of the mean abundance. Net-spinning caddisflies (Hydropsychidae) were the most commonly occurring benthic invertebrates and were found at all but one of the 36 sampling sites. Blue-green (for example, Calothrix sp. and Oscillatoria sp.) and green (for example, Protoderma viride) algae were the most widely distrib-uted algae; however, more than 81 percent of the algal taxa collected were diatoms. Principal-component and correlation analyses were used to reduce the dimensionality of the environmental data. Multiple linear regression analysis of extracted ordination axes then was used to develop models that expressed effects of increasing urban land use on the structure of aquatic assemblages. Significant environmental variables identified by using multiple linear regression analysis then were included in a direct gradient analysis. Partial canonical correspondence analysis of relativized abundance data was used to restrict further the effects of residual natural variability, and to identify relations among the environmental variables and the structure of fish, invertebrate, and algal assemblages along an urban land-use gradient. Results of this approach, combined with the results of the multiple linear regression analyses, were used to identify human population density (311-37,594 persons/km2), amount and type of impervious surface cover (0.12-1,350 km2), nutrient concentrations (for example, 0.01-0.29 mg/L of phosphorus), hydrologic instability (for example, 100-8,955 ft3/s for 2-year peak flow), the amount of forest and wetlands in a basin (0.01-6.25 km2), and substrate quality (0-87 percent cobble substrate) as variables that are highly correlated with aquatic-assemblage structure. Species distributions in ordination space clearly indicate that tolerant species are more abundant in the streams impaired by urbanization and sensitive taxa are more closely associated with the least impaired basins. The distinct differences in aquatic assemblages along the urban land-use gradient demonstrate the deleterious effects of urbanization on assemblage structure and indicate that conserving landscape attributes that mitigate anthropogenic influences (for example, stormwater-management practices emphasizing infiltration and preservation of existing forests, wetlands, and riparian corridors) will help to maintain the relative abundance of sensitive taxa. Complementary multiple linear regression models indicate that aquatic community indices were correlated with many of the anthropogenic factors that were found to be significant along the urban land-use gradient. These indices appear to be effective in differentiating the moderately and severely impaired streams from the minimally impaired streams. Evaluation of disturbance thresholds for aquatic assemblages indicates that moderate to severe impairment is detectable in New Jersey streams when impervious surface cover in the drainage basin reaches approximately 18 percent.

Water-Resources Investigations Report↗

Analysis of changes in water-level dynamics at selected sites in the Florida Everglades

The historical modification and regulation of the hydrologic patterns in the Florida Everglades have resulted in changes in the ecosystem of South Florida and the Florida Everglades. Since the 1970s, substantial focus has been given to the restoration of the Everglades ecosystem. The U.S. Geological Survey through its Greater Everglades Priority Ecosystem Science and National Water-Quality Assessment Programs has been providing scientific information to resource managers to assist in the Everglades restoration efforts. The current investigation included development of a simple method to identify and quantify changes in historical hydrologic behavior within the Everglades that could be used by researchers to identify responses of ecological communities to those changes. Such information then could be used by resource managers to develop appropriate water-management practices within the Everglades to promote restoration. The identification of changes in historical hydrologic behavior within the Everglades was accomplished by analyzing historical time-series water-level data from selected gages in the Everglades using (1) break-point analysis of cumulative Z-scores to identify hydrologic changes and (2) cumulative water-level frequency distribution curves to evaluate the magnitude of those changes. This analytical technique was applied to six long-term water-level gages in the Florida Everglades. The break-point analysis for the concurrent period of record (1978–2011) identified 10 common periods of changes in hydrologic behavior at the selected gages. The water-level responses at each gage for the 10 periods displayed similarity in fluctuation patterns, highlighting the interconnectedness of the Florida Everglades hydrologic system. While the patterns were similar, the analysis also showed that larger fluctuations in water levels between periods occurred in Water Conservation Areas 2 and 3 in contrast to those in Water Conservation Area 1 and the Everglades National Park. Results from the analysis indicate that the cumulative Z-score curve, in conjunction with cumulative water-level frequency distribution curves, can be a useful tool in identifying and quantifying changes in historical hydrologic behavior within the Everglades. In addition to the analysis, a spreadsheet application was developed to assist in applying these techniques to time-series water-level data at gages within the Everglades and is included with this report.

Florida↗

A guide to environmental DNA extractions for non-molecular trained biologists, ecologists, and conservation scientists

Ecologists, biologists, and conservation scientists are increasingly interested in the use of environmental DNA (eDNA) data for research and potentially decision-making. While commercial DNA extraction kits are typically user-friendly and accessible, they may fail to deliver the desired results with inherently complex eDNA samples, necessitating protocol optimization or educated selection of alternative approaches. To this end, knowledge of the basic steps and principles of DNA extractions is essential, but traditional education tracks in ecology, conservation, and environmental management typically do not include in-depth training in molecular methods. The primary objective of this paper is to enable scientists with an ecological background and limited molecular training to understand the four key steps of eDNA isolations, and to use this expertise to their advantage. We describe the purpose of commonly used reagents and chemicals, point out alternatives for each key step, explain the impact of certain choices regarding isolation approaches on DNA integrity and purity, and highlight the possibility of a tailor-made “mix and match” approach. We anticipate that this paper will enable field ecologists to develop a deeper understanding of the mechanisms and chemistry underlying eDNA extractions, thus allowing them to make informed decisions regarding the best eDNA extraction method for their research goals. Our intention is not to provide comprehensive, step-by-step protocols, but to offer guiding principles while highlighting alternative solutions. Finally, we hope that this paper will act as a useful resource to support knowledge transfer and teaching.

Environmental DNA↗

Ecosystem-engineered infections: Beaver-modified wetlands are associated with conflicting drivers of amphibian pathogen prevalence

Beavers are ecosystem engineers and keystone species that protect freshwater resources and increase biodiversity. Beaver reintroductions are promoted for amphibian conservation, yet their impact on Batrachochytrium dendrobatidis (Bd), a pathogen linked with amphibian population declines worldwide, remains unclear. We investigated the abiotic and biotic drivers of Bd prevalence in Columbia spotted frogs ( Rana luteiventris ) and western toads ( Anaxyrus boreas ) in 20 beaver-modified and 23 non-beaver wetlands in Glacier National Park, USA. We found that beavers increased wetland hydroperiod, which was associated with higher Bd prevalence. However, beavers also reduced wetland canopy cover, which was associated with lower Bd prevalence. Our models also predicted higher Bd prevalence associated with higher adult density of both species of amphibians, although species’ densities were similar in beaver-modified and non-beaver wetlands. These results suggest that beavers have a cumulatively negligible net effect on Bd prevalence owing to their effects on both hydroperiod and canopy cover, which is encouraging for amphibian conservation. Our findings also suggest that decreasing canopy cover may be a potential management option to reduce Bd prevalence. In addition, these findings indicate that beaver-mimicking restoration projects may harm amphibian populations if they increase wetland hydroperiods without reducing canopy cover.

Montana↗

Oak mistletoe ( Phoradendron villosum ) is linked to microhabitat availability and avian diversity in Oregon white oak ( Quercus garryana ) woodlands

Mistletoes are parasitic or hemi-parasitic flowering plants that parasitize woody plants around the globe. Important food and cover resources provided by mistletoes have been related to strong patterns of positive association between wildlife diversity and mistletoe density. Mistletoes also create microhabitat features known to be important to wildlife by causing deformations in their host trees. However, links between availability of mistletoe-formed microhabitat and wildlife diversity has not been well studied. We investigated this relationship by quantifying microhabitat features and avian abundance and diversity related to infection by Oak Mistletoe (Phoradendron villosum) in Oregon White Oak (Quercus garryana). Q. garryana woodlands support several avian species of conservation concern, so an understanding of the influence of mistletoe on wildlife habitat is critical. Our results suggest that 1) structural heterogeneity within tree crowns; 2) avian species richness and abundance are positively associated with mistletoe load; and 3) P. villosum fruit, available is an important food for western bluebird (Sialia mexicana) and other wildlife in late autumn and early winter. If a goal of restoration is to maintain habitat for oak-associated bird species, managers should consider the retention of some oaks hosting mistletoe.

Oregon↗