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At least 145 records · Page 8Linked to original sources

Influence of various land uses on windbreak selection by nesting Mississippi kites

Contemporary land-use practices have dramatically altered breeding habitats of birds of prey (Cramp, pp. 9-11 in World Conf. Birds of Prey, R. D. Chancellor, ed., ICPB, London, England, 1977). Some land uses appear to influence strongly both the nesting activity (White, Trans. North Am. Wild. Nat. Resour. Conf. 39:301-312, 1974) and abundance (Olendorff and Stoddart, pp. 44-48 in Management of Raptors, F. N. Jamerstrom, B. E. Harrel, and R. R. Olendorff, eds., Proc. Conf. Raptor Conserv. Tech., Raptor Rep. 2, Fort Collins, Colorado, 1974) of raptors. The Mississippi Kite ( Ictinia mississippiensis ) is a locally common raptor of the south-central plains of North America. In the prairie grasslands of western Oklahoma and south-western Kansas, kites commonly nest in tree plantings designed as windbreaks, irrespective of windbreak width, age, or tree species compositions (Parker, Ph.D. Diss., Univ. Kansas, Lawrence, Kansas, 1974; Love and Knopf, Proc. Ann. Meet. For. Comm. Great Plains Agric. Counc. 30:69-77, 1978). Much of the potential nesting habitat within this region, however, is not used by kits (Parker and Ogden, Am. Birds 33:119-129, 1979). In this paper, we assess the potential influence of various land-use practices on windbreak selection by nesting Mississippi Kites.

The Wilson Bulletin

Multilevel learning in the adaptive management of waterfowl harvests: 20 years and counting

In 1995, the U.S. Fish and Wildlife Service implemented an adaptive harvest management program (AHM) for the sport harvest of midcontinent mallards ( Anas platyrhynchos ). The program has been successful in reducing long-standing contentiousness in the regulatory process, while integrating science and policy in a coherent, rigorous, and transparent fashion. After 20 years, much has been learned about the relationship among waterfowl populations, their environment, and hunting regulations, with each increment of learning contributing to better management decisions. At the same time, however, much has been changing in the social, institutional, and environmental arenas that provide context for the AHM process. Declines in hunter numbers, competition from more pressing conservation issues, and global-change processes are increasingly challenging waterfowl managers to faithfully reflect the needs and desires of stakeholders, to account for an increasing number of institutional constraints, and to (probabilistically) predict the consequences of regulatory policy in a changing environment. We review the lessons learned from the AHM process so far, and describe emerging challenges and ways in which they may be addressed. We conclude that the practice of AHM has greatly increased an awareness of the roles of social values, trade-offs, and attitudes toward risk in regulatory decision-making. Nevertheless, going forward the waterfowl management community will need to focus not only on the relationships among habitat, harvest, and waterfowl populations, but on the ways in which society values waterfowl and how those values can change over time.

Wildlife Society Bulletin

Monitoring black-tailed prairie dog colonies with high-resolution satellite imagery

The United States Fish and Wildlife Service has determined that the black-tailed prairie dog (Cynomys ludovicianus) warrants listing as a threatened species under the Endangered Species Act. Central to any conservation planning for the black-tailed prairie dog is an appropriate detection and monitoring technique. Because coarse-resolution satellite imagery is not adequate to detect black-tailed prairie dog colonies, we examined the usefulness of recently available high-resolution (1-m) satellite imagery. In 6 purchased scenes of national grasslands, we were easily able to visually detect small and large colonies without using image-processing algorithms. The Ikonos (Space Imaging(tm)) satellite imagery was as adequate as large-scale aerial photography to delineate colonies. Based on the high quality of imagery, we discuss a possible monitoring program for black-tailed prairie dog colonies throughout the Great Plains, using the species' distribution in North Dakota as an example. Monitoring plots could be established and imagery acquired periodically to track the expansion and contraction of colonies.

Wildlife Society Bulletin

Minimizing extinction risk in the face of uncertainty: Developing conservation strategies for 2 rapidly declining forest bird species on Kaua‘i Island

Many species around the world are declining precipitously as a result of multiple threats and changing climate. Managers tasked with protecting species often face difficult decisions in regard to identifying which threats should be addressed, given limited resources and uncertainty in the success of any identified management action. On Kaua‘i Island, Hawai‘i, USA, forest bird species have experienced accelerated declines over the last 20 years, and 2 species, the ‘akikiki ( Oreomystis bairdi ) and ‘akeke‘e ( Loxops caeruleirostris ), are now at the brink of extinction. Both species face multiple threats, and managers face difficult decisions on whether to mitigate threats in the wild, establish a captive population as insurance against extinction, translocate birds to novel locations, or some combination of these actions. Each set of actions (alternatives) would require substantial resources with considerable uncertainty in success. In 2014, we brought together 14 experts representing biologists and managers familiar with the species and island to develop a conservation strategy under a structured decision making (SDM) framework, an approach for making complex decisions under uncertainty. The group's challenge was to identify a set of alternatives that reduces the risk of extinction, set the foundation for one or more genetically viable, reproducing, stable to increasing populations in 10 years, and promote conditions for long-term persistence in the wild. Multiple alternatives were evaluated, via expert judgement, in terms of the probability they would achieve the objectives concerning immediate extinction risk, near-term viability, and adequacy of habitat. Factors that might impede the success of each action were also evaluated. The process identified the establishment of a captive population and efforts to stabilize the existing wild population as the approach most likely to meet the objectives of preventing imminent extinction and ensuring long-term viability.

Hawaii

Assessment of gully-control structures in the Rio Nutria watershed, Zuni reservation, New Mexico

During the latter part of the 19th century and the early part of the 20th century, a major cycle of erosion, arroyo cutting, and gullying occurred in the southwestern United States. Since this erosion cycle began, many projects to control erosion, such as the Civilian Conservation Corps projects in the 1930s, were initiated. However, in the Southwestern United States few studies have documented the effect of these structures in reducing erosion or their effect on gully systems. As part of a watershed rehabilitation project on the Zuni Reservation, New Mexico, 47 structures made either of earth or rocks and 23 rock and brush structures were assessed. Sixty percent of the 47 earth or rock structures have breached and relative to dam height, 65 percent of 47 structures are more than 50 percent silted. Of the 23 rock and brush structures, 22 percent have breached or are close to breaching. Reasons for breaching of all structural types may be piping, scour immediately below the structures, large runoff and large drainage area, poor maintenance, headcutting, and active arroyo deepening and widening. In most cases, documentation does not exist on structure design, the specific purpose for a structure, or when these structures were built.

Water Resources Bulletin

Ground-water resources of Kansas

Introduction: Water is a necessity of life. Accordingly, every person is deeply interested in the subject of water supply. He knows that he must have water to drink. He depends indirectly on water for all his food and clothing. He may want water in which to wash. Civilized man has learned also that water serves admirably for a large and ever enlarging list of uses that depend on its easy convertibility from a liquid to a solid or gaseous state and its adaptability as a chemical solvent, a medium for transfer of matter or energy, and a regulator of temperature. The average consumption of water in towns and cities of the United States amounts to about 100 gallons per person per day. Because of long familiarity with never-failing supplies of water provided by nature, or equally, because of unthinking dependence on others, many individuals are probably unaware of their interest in water, but let water become difficult or impossible to obtain, or let the quality of water be greatly changed, and there is immediate concern. Many Kansas persons — without doubt too many — give little thought to the subject of water when rainfall is normal and when ponds and streams are full, but not too full. Kansas has a smaller natural water supply than many other regions, but we are used to these conditions, and it is strongly marked departures from what we regard as normal that cause anxiety. Periods of excessive heat and drought such as have recurred in Kansas, especially during the last half-dozen years, bring hardships to very many persons, particularly dwellers on the farm. Alarm is felt when field crops and pasture shrivel from lack of moisture and from heat, when there is insufficient water for the stock, when wells go dry, and when even some towns and cities must haul water in tank cars. Everyone is then water-conscious, as is true also under reverse conditions, when overabundance of rainfall produces disastrous floods. It is obvious, however, that the subject of water supply should not be given attention only in times of deficiency or overabundance. All citizens of Kansas should have enduring interest in quests of water control and conservation that will make for equable supply. No individual or government agency can increase or diminish the annual rainfall, nor safeguard wholly against floods. It is possible, on the other hand, largely to avoid the distress due to severe shortage of water in recent years. This statement calls attention to the subject of water in the ground, or as commonly known, ground water. I have been asked to discuss the underground water resources of Kansas. I am asked to give answers to such questions as: In what places and under what conditions may water that is suitable for domestic and stock use be obtained from wells? Why are some water wells in Kansas never-failing large producers of excellent waters, whereas other yield only small amounts of poor water and readily go dry? What improvements are possible in methods of finding and utilizing the ground-water resources that exist in Kansas? What provisions can be made to safeguard best against effects of prolonged drought? These questions call for a discussion of some general principles that apply to accumulation and movement of water beneath the surface of in Kansas, and especially to the various geologic conditions that are fundamental factors in controlling variation in water supply from the below ground. It will be desirable also to consider the characteristics of various districts in Kansas that may be differentiated as natural ground-water provinces, pointing out the distinguishing features of these districts. The basis for these distinctions is a difference in water-supply conditions that depends mainly on variation in underground rock structure. Importance of ground-water resources. — The importance of Kansas' ground-water resources may be emphasized from various viewpoints and in different ways. More than three-fourths of the public water supplies of Kansas are obtained from wells. In 1939, only 60 out of 375 municipal water supplies in Kansas, which is 16 percent, utilized surface waters. If the water wells of the cities and those located on all privately owned land in the state were suddenly destroyed, making it necessary to go to streams, springs, lakes (which are almost all artificial), and ponds for water supply domestic, stock, and industrial use, there would be almost incalculable difficulty and expense. If one could not go to springs, or dig new wells, or use any surface water derived from underground flow, much of Kansas would become uninhabitable. These suggested conditions seem absurd, but they emphasize our dependence on ground-water resources. Fromm a quantitative standpoint, ground-water supplies existent in Kansas far outweigh surface waters that are present in the state at any one time. No exact figures for such comparison can be given, but, taking 384 square miles as the total surface water area of the state and estimating an average water depth of five feet, the computed volume of surface waters is found to be 1/100th of that of the conservatively estimated ground-water storage in Kansas. The latter takes account only of potable fresh water and is based on an assumed mean thickness of ten feet of reservoir having an effective porosity of twenty percent. It is to be remembered, however, that most of the surface water is run-off, which soon leaves the state, stream valleys being replenished from rainfall and flow from ground-water reservoirs. Most of the ground-water supplies, on the other hand, have existed for many years with almost no appreciable movement--in fact, it is reasonably certain that some well water drawn from beneath the surface of Kansas in 1940 represents rainfall in this region at time before the first white man entered Kansas, even before the visit of Coronado in the 16th century. Most ground water is to be regarded as water in storage rather than water in transit.

Kansas

Mount St. Helens a decade after the 1980 eruptions: magmatic models, chemical cycles, and a revised hazards assessment

Available geophysical and geologic data provide a simplified model of the current magmatic plumbing system of Mount St. Helens (MSH). This model and new geochemical data are the basis for the revised hazards assessment presented here. The assessment is weighted by the style of eruptions and the chemistry of magmas erupted during the past 500 years, the interval for which the most detailed stratigraphic and geochemical data are available. This interval includes the Kalama (A. D. 1480-1770s?), Goat Rocks (A.D. 1800-1857), and current eruptive periods. In each of these periods, silica content decreased, then increased. The Kalama is a large amplitude chemical cycle (SiO2: 57%-67%), produced by mixing of arc dacite, which is depleted in high field-strength and incompatible elements, with enriched (OIB-like) basalt. The Goat Rocks and current cycles are of small amplitude (SiO2: 61%-64% and 62%-65%) and are related to the fluid dynamics of magma withdrawal from a zoned reservoir. The cyclic behavior is used to forecast future activity. The 1980-1986 chemical cycle, and consequently the current eruptive period, appears to be virtually complete. This inference is supported by the progressively decreasing volumes and volatile contents of magma erupted since 1980, both changes that suggest a decreasing potential for a major explosive eruption in the near future. However, recent changes in seismicity and a series of small gas-release explosions (beginning in late 1989 and accompanied by eruption of a minor fraction of relatively low-silica tephra on 6 January and 5 November 1990) suggest that the current eruptive period may continue to produce small explosions and that a small amount of magma may still be present within the conduit. The gas-release explosions occur without warning and pose a continuing hazard, especially in the crater area. An eruption as large or larger than that of 18 May 1980 (???0.5 km3 dense-rock equivalent) probably will occur only if magma rises from an inferred deep (???7 km), relative large (5-7 km3) reservoir. A conservative approach to hazard assessment is to assume that this deep magma is rich in volatiles and capable of erupting explosively to produce voluminous fall deposits and pyroclastic flows. Warning of such an eruption is expectable, however, because magma ascent would probably be accompanied by shallow seismicity that could be detected by the existing seismic-monitoring system. A future large-volume eruption (???0.1 km3) is virtually certain; the eruptive history of the past 500 years indicates the probability of a large explosive eruption is at least 1% annually. Intervals between large eruptions at Mount St. Helens have varied widely; consequently, we cannot confidently forecast whether the next large eruption will be years decades, or farther in the future. However, we can forecast the types of hazards, and the areas that will be most affected by future large-volume eruptions, as well as hazards associated with the approaching end of the current eruptive period. ?? 1992 Springer-Verlag.

Bulletin of Volcanology

Avian response to conservation buffers in agricultural landscapes during winter

Native herbaceous vegetation cover along row‐crop field edges (i.e., field buffers) increases breeding densities of many bird species. However, the effect of field buffers on bird species during the non‐breeding season is less understood. We compared density, avian richness, and avian conservation value on row‐crop fields containing buffers strategically designed for wildlife versus fields without buffers in 3 southeastern U.S. states during winter 2007 and 2008. Fields with buffers were enrolled in U.S. Department of Agriculture, Conservation Reserve Program practice Habitat Buffers for Upland Birds (CP33), which targets restoration of northern bobwhite ( Colinus virginianus ) and other upland bird species. Overall species richness did not differ on fields with buffers versus fields without buffers in 2007, but was 29% greater on fields with buffers in 2008. Swamp sparrows ( Melospiza georgiana ), song sparrows ( M. melodia ), field sparrows ( Spizella pusilla ), and red‐bellied woodpeckers ( Melanerpes carolinus ) had greater densities on fields with buffers compared with fields without buffers. Increasing field‐buffer width did not result in greater bird densities. Our results suggest a small change in primary land use (≈7%) produced a disproportionate population response by some grassland‐dependent and woodland bird species during winter. Because field buffers provide a direct source of winter food and cover resources, they may be a pragmatic means to provide critical non‐breeding habitat with little alteration of existing agricultural systems.

Arkansas, Kentucky, Mississippi

Wildlife governance in the 21st century—Will sustainable use endure?

In light of the trajectory of wildlife governance in the United States, the future of sustainable use of wildlife is a topic of substantial interest in the wildlife conservation community. We examine sustainable-use principles with respect to “good governance” considerations and public trust administration principles to assess how sustainable use might fare in the 21st century. We conclude that sustainable-use principles are compatible with recently articulated wildlife governance principles and could serve to mitigate broad values and norm shifts in American society that affect social acceptability of particular uses. Wildlife governance principles emphasize inclusive discourse among diverse wildlife interests, which could minimize isolated exchanges among cliques of like-minded people pursuing their ambitions without seeking opportunity for sharing or understanding diverse views. Aligning governance practices with wildlife governance principles can help avoid such isolation. In summary, sustainable use of wildlife is likely to endure as long as society 1) believes the long-term sustainability of wildlife is not jeopardized, and 2) accepts practices associated with such use as legitimate. These are 2 criteria needing constant attention.

Wildlife Society Bulletin

Seasonal use of conservation reserve program lands by white-tailed deer in east-central South Dakota

The Conservation Reserve Program (CRP_, a provision of the 1985 Food Security Act, subsidizes landowners to take highly erodible lands out of cultivation and seed them to perennial cover for 10years. In eastern South Dakota, 0.5 million ha were enrolled in the CRP from 1985 to 1990 (Agric. Stabilization and Conserv. Serv., Brookings, S.D., unpubl. Data), which represents the largest change in conservation land-use practices in the region since the 1956 Soil Bank Program (Goetz 1987). Although the CRP is anticipated to produce substantial benefits for some wildlife species, particularly ground-nesting birds, its significance to white-tailed deer ( Odocoileus virginianus ) in the northern Great Plains agricultural region is poorly understood. Higgins et al. (1987) speculated that proliferation of CRP grasslands may provide a missing habitat component in intensively managed farmland, thereby enhancing several species of wildlife, including white-tailed deer. Deer managers in the region have expressed concerns that improved cover associated with DRP plantings on private land could attract deer and reduce hunter success rates or lead to increased depredation of adjacent croplands or stored winter forages (L. Rice, S.D. Dep. Game, Fish, and Parks, Rapid City, pers. comm., 1989). Our objectives were to describe variation in deer use of CRP lands by season, diel period, and deer activity class as a means of assessing seasonal importance of CRP fields to white-tailed deer in agricultural Midwest.

South Dakota

River otter distribution in Nebraska

The river otter ( Lontra canadensis ) was extirpated from Nebraska, USA, in the early 1900s and reintroduced starting in 1986. Information is needed regarding the distribution of river otters in Nebraska before decisions can be made regarding its conservation status. Understanding distribution of a species is critically important for effective management. We investigated river otter distribution in Nebraska with occupancy modeling and maximum entropy (Maxent) modeling using 190 otter sign observations on Nebraska's navigable rivers and 380 historical otter records from November 1977 to April 2014. Both methods identified the Platte River, Elkhorn River, central and eastern Niobrara River, and southern Loup River system as core areas within the distribution of otters in Nebraska. The Maxent model provided more liberal estimates of site occupancy and identified some smaller rivers as being within the distribution of otters in Nebraska, which were not identified using occupancy modeling. We recommend that multiple data sets and analysis methods be used to estimate species distribution because this allows for the broadest geographical coverage and decreases the likelihood of overlooking areas with fewer animal records. If further reintroduction efforts or translocation efforts are to take place in the future, we recommend focusing on areas with high modeled occupancy but few historical and survey records

Nebraska

Gene transcript profiling in desert bighorn sheep

Respiratory disease is a key factor affecting the conservation and recovery of bighorn sheep ( Ovis canadensis ) populations. Innovative, minimally invasive tools such as gene transcription–based diagnostics have the potential to improve our understanding of the broad range of factors that can affect the health of wild sheep. Evaluation of transcript levels for genes representative of multiple internal systems enables measurement of physiological responses of individuals as well as populations to environmental stressors such as pathogens, nutritional deficiency, or contaminants. We developed real‐time polymerase chain reaction assays for 14 genes of interest representing systems including inflammation, cell signaling, detoxification, antiviral, antibacterial, or general stress. Initial results from desert bighorn sheep ( O. c. nelsoni ) sampled from the River, Muddy, and Bare mountains as well as from the Pintwater Range, in southern Nevada, USA, indicated unique transcript profiles associated with each population. This initial study provides the framework from which controlled variable or longitudinal studies can be made, thus augmenting the potential to inform management actions in the future.

Nevada

Critically assessing the utility of portable lead analyzers for wildlife conservation

Lead (Pb) exposure in wildlife is a widespread management and conservation concern. Quantitative determination of Pb concentrations in wildlife tissues is the foundation for estimating exposure and risk. Development of low‐cost, portable instruments has improved access and cost‐effectiveness of determining Pb concentrations in blood samples, while also facilitating the ability for wildlife researchers to conduct near real‐time Pb testing. However, these instruments, which use anodic stripping voltammetry (ASV) methodology, may produce an analytical bias in wildlife‐blood Pb concentrations. Additionally, their simplicity invites use without appropriate quality‐assurance–quality‐control measures. Together, these factors can reduce data quality and hamper the ability to evaluate it, raising concerns about use of these instruments to inform important conservation issues. We document the extent to which this bias is addressed in the wildlife toxicology literature, develop quantitative approaches for correcting the bias, and provide recommendations to ensure robust data quality when using these instruments. Of the 25 studies we reviewed that referenced ASV use for determining Pb exposure in wildlife, only 32% acknowledged the existence of bias from the instrument. Importantly, another 20% of the studies actually reported ASV and spectroscopic‐based results together without acknowledging their lack of equivalence. Using a multispecies data set of avian blood Pb concentrations, we found that ASV‐based estimates of paired blood Pb concentrations were 30–38% lower than those from standard spectrometric‐based methods. We provide regression equations based on this analysis of 453 blood samples to allow users of ASV instruments to adjust Pb concentrations to spectrometric‐equivalent values, and propose a series of guidelines to follow when using these instruments to improve data validity.

Wildlife Society Bulletin

Migratory bird hunter opinions regarding potential management strategies for controlling light goose populations

We expanded the Nebraska Light Goose Conservation Order (LGCO) harvest survey (NE, USA) in spring 2012 to assess migratory bird hunter opinions regarding future management strategies for controlling light goose populations. Although hunters strongly agreed that population control of light geese was an important wildlife management issue, they were generally unsupportive of wildlife officials using forms of direct control methods to control light goose populations. Respondents who indicated participation in the 2012 LGCO were also less supportive of any form of direct control compared with migratory bird hunters who did not participate in the LGCO. When presented with alternative methods by wildlife officials for future light goose population control, respondents were most supportive of wildlife agencies selectively shooting light geese on migration and wintering areas and least supportive of wildlife officials using bait with approved chemicals to euthanize light geese. A clear understanding of public perception of various potential direct-control options will likely assist wildlife biologists in making informed decisions on how to proceed with population control of light geese.

Wildlife Society Bulletin

Smartphone technologies and Bayesian networks to assess shorebird habitat selection

Understanding patterns of habitat selection across a species’ geographic distribution can be critical for adequately managing populations and planning for habitat loss and related threats. However, studies of habitat selection can be time consuming and expensive over broad spatial scales, and a lack of standardized monitoring targets or methods can impede the generalization of site-based studies. Our objective was to collaborate with natural resource managers to define available nesting habitat for piping plovers ( Charadrius melodus ) throughout their U.S. Atlantic coast distribution from Maine to North Carolina, with a goal of providing science that could inform habitat management in response to sea-level rise. We characterized a data collection and analysis approach as being effective if it provided low-cost collection of standardized habitat-selection data across the species’ breeding range within 1–2 nesting seasons and accurate nesting location predictions. In the method developed, >30 managers and conservation practitioners from government agencies and private organizations used a smartphone application, “iPlover,” to collect data on landcover characteristics at piping plover nest locations and random points on 83 beaches and barrier islands in 2014 and 2015. We analyzed these data with a Bayesian network that predicted the probability a specific combination of landcover variables would be associated with a nesting site. Although we focused on a shorebird, our approach can be modified for other taxa. Results showed that the Bayesian network performed well in predicting habitat availability and confirmed predicted habitat preferences across the Atlantic coast breeding range of the piping plover. We used the Bayesian network to map areas with a high probability of containing nesting habitat on the Rockaway Peninsula in New York, USA, as an example application. Our approach facilitated the collation of evidence-based information on habitat selection from many locations and sources, which can be used in management and decision-making applications.

U.S Atlantic Coast

Mitochondrial DNA in wildlife forensic science: Species identification of tissues

A common problem in wildlife law enforcement is identifying the species of origin of carcasses, meat, or blood when morphological characters such as hair or bones are not available. Immunological and protein electrophoretic (allozyme or general protein) procedures have been used in species identification with considerable success (Bunch et al. 1976, McClymont et al. 1982, Wolfe 1983, Mardini 1984, Pex and Wolfe 1985, Dratch 1986), However, immunological tests often are not sensitive enough to distinguish closely related species. Furthermore, electrophoretically detectable protein polymorphisms may be lacking in certain populations or species and may not be species-specific. Analysis of DNA in human and wildlife forensics has been shown to be a potentially powerful tool for identification of individuals (Jeffreys et al. 1985, Vassartet al. 1987, Thommasen et al. 1989). Differences in copy number and nucleotide sequence of repetitive sequences in the nuclear (chromosomal) DNA result in hypervariability and individual-specific patterns which have been termed DNA "fingerprints." However, these patterns may be too variable for species identification necessitating analyses of more conservative parts of the genome. Mitochondrial DNA (mtDNA) is haploid, maternally inherited, similar in nucleotide sequence among conspecifics from the same geographic region, and more suitable for species identification, in contrast to hypervariable DNA fingerprints. MtDNA has several characteristics which make it useful as a species-specific marker. In mammals, individuals have a single mtDNA genotype shared by all tissues. Because mtDNA is haploid and reflects only maternal ancestry, the mtDNA gene number in a population is 4 times less than the nuclear gene number (Birky et al. 1983). This can result in relatively rapid loss or fixation of mtDNA genotypes so that all individuals in a population may be descended from a single ancestral female in as few as 4N ( N = population size) generations (Avise et al., 1984). This suggests there is great potential for identification of species-specific or population-specific mtDNA genotypes, Within species, mtDNA genotypes are thought to be selectively neutral, i.e., there is little evidence that genotypes differ in fitness (Nigro and Prout 1990).

Wildlife Society Bulletin

Informing sea turtle outreach efforts to maximize effectiveness

Most sea turtle (Cheloniidae) species worldwide are endangered or threatened, with threats causing harm to sea turtles predominantly human‐induced. Thus, prevention of further declines to these imperiled species will require alteration of human behaviors. Regulations, incentives, and environmental education are 3 strategies that could be used to alter human behavior. Our goal was to determine how to maximize effectiveness of one of these strategies—education efforts. We investigated knowledge deficiencies and light pollution behaviors of individuals living in a region with nesting sea turtles, in an effort to determine the best approach to promote sea turtle conservation. During 2014, we mailed a survey to 3,000 property owners in 4 coastal counties in Florida, USA, to achieve 3 objectives: assess what topic areas were misunderstood; discern who had knowledge deficiencies; and determine who had adopted turtle‐friendly lighting practices. The best predictors of knowledge included geographic factors (county, proximity of residences to the beach), demographic characteristics (age), and behaviors (individual's beach visitation rates). One practice that can reduce harm to sea turtles was common: use of window treatments to reduce light pollution. However, other practices harmful to sea turtles were prevalent, including long durations of use of outdoor lighting and use of light bulbs with wavelengths that can disturb sea turtles. Our results suggest that educational efforts could be enhanced by specifically focusing on increasing awareness of the effects of human actions on sea turtles, targeting individuals who visit the beach infrequently and live far from it to foster greater connection with these ecosystems, and publicizing a variety of options that could reduce harm to sea turtles so individuals feel a sense of freedom of choice.

Florida

Using Landsat imagery to detect, monitor, and project net landscape change

Detailed landscape information is a necessary component to bird habitat conservation planning. The U.S. Geological Survey (USGS) Earth Resources Observation and Science (EROS) Center has been providing information on the Earth’s surface for over 40 years via the continuous series of Landsat satellites. In addition to operating, processing, and disseminating satellite images, EROS is the home to nationwide and global landscape mapping, monitoring, and projection products, including: National Land Cover Database (NLCD) – the definitive land cover dataset for the U.S., with updates occurring at five-year intervals; Global Land Cover Monitoring – producing 30m resolution global land cover; LANDFIRE – Landscape Fire and Resource Management Planning Tools–EROS is a partner in this joint program between U.S. Department of Agriculture and Department of Interior that produces consistent, comprehensive, geospatial data and databases that describe vegetation, wildland fuel, and fire regimes across the U.S.; Land Cover Trends – a landscape monitoring and assessment effort to understand the rates, trends, causes, and consequences of contemporary U.S. land use and land cover change; and Land Use and Land Cover (LULC) Modeling – a project extending contemporary databases of landscape change forward and backward in time through moderate-resolution land cover projections.

All Bird Bulletin