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Seal body condition and atmospheric circulation patterns influence polar bear body condition, recruitment, and feeding ecology in the Chukchi Sea

Polar bears ( Ursus maritimus ) are experiencing loss of sea ice habitats used to access their marine mammal prey. Simultaneously, ocean warming is changing ecosystems that support marine mammal populations. The interactive effects of sea ice and prey are not well understood yet may explain spatial‐temporal variation in the response of polar bears to sea ice loss. Here, we examined the potential combined effects of sea ice, seal body condition and atmospheric circulation patterns on the body condition, recruitment, diet, and feeding probability of 469 polar bears captured in the Chukchi Sea, 2008‐2017. The body condition of ringed seals ( Pusa hispida ), the primary prey of females and subadults, was related to dietary proportions of ringed seal, feeding probability, and the body condition of females and cubs. In contrast, adult males consumed more bearded seals ( Erignathus barbatus ) and exhibited better condition when bearded seal body condition was higher. The litter size, number of yearlings per adult female, and the condition of dependent young were higher following winters characterized by low Arctic Oscillation (AO) conditions, consistent with a growing number of studies. Body condition, recruitment, and feeding probability were either not associated or negatively associated with sea ice conditions, suggesting that, unlike some subpopulations, Chukchi Sea bears are not currently limited by sea ice availability. However, spring sea ice cover declined 2% per year during our study reaching levels not previously observed in the satellite record and resulting in the loss of polar bear hunting and seal pupping habitat. Our study suggests that the status of ice seal populations is likely an important factor that can either compound or mitigate the response of polar bears to sea ice loss over the short‐term. In the long‐term, neither polar bears nor their prey are likely robust to limitless loss of their sea ice habitat.

Alaska↗

Life history and ecology of Cambarus halli (Hobbs)

The life history of Cambarus halli, a crayfish endemic to the Tallapoosa River Basin, GA, was studied at four sites within the Tallapoosa River. Two sites had allopatric populations of C. halli, and two sites had populations of C. halli sympatric with C. englishi. Three age classes existed across sites. For Cambarus halli, total number of pleopodal eggs was positively related to carapace length, but egg size was only weakly positively related to carapace length. Cambarus halli were smaller across age classes at sympatric sites, but had greater growth rates than at allopatric sites. Cambarus halli density estimates were lower at sympatric sites, while proportions of reproductively active age-1 and age-2 individuals were higher at allopatric sites (63% vs. 33%).

Southeastern Naturalist↗

Status and ecology of kittiwakes ( Rissa tridactyla and R. brevirostris ) in the North Pacific

Black-legged Kittiwakes ( Rissa tridactyla ) are widely distributed in the subarctic North Pacific and adjacent seas, with a total breeding population of about 2.6 million individuals. Red-legged Kittiwakes ( R. brevirostris ) breed in four locations, and at least 95% of their estimated world population of 230,000 birds nest on one island (St. George, Pribilof Islands). Compared to Black-legged Kittiwakes in Britain, both species in Alaska have exhibited poor productivity since at least the mid-1970s. The situation worsened during the 1980s, with recent (1985-1989) estimates of annual productivity averaging 0.19 young per nest. The frequency of "colony failures" (<0.1 young per nest) exceeded 50% in Alaska between 1985 and 1989. Low productivity has involved, to varying degrees, the failure of many birds to lay eggs, reduced clutch sizes, low hatching success, and poor chick survival. There is evidence of population declines in some colonies of Black-legged Kittiwakes, but other colonies appear to be stable or increasing. High adult survival may account for the relative stability of Black-legged Kittiwakes, but widespread declines are anticipated unless productivity improves. The evidence suggests that poor productivity results from low surface availability of key prey species.

Conference Paper↗

Editorial: Contributions of behavior and physiology to conservation biology

Conservation biology is a rapidly evolving discipline, with its synthetic, multidisciplinary framework expanding extensively in recent years. Seemingly disparate disciplines, such as behavior and physiology, are being integrated into this discipline's growing portfolio, resulting in diverse tools that can help develop conservation solutions. Behavior and physiology have traditionally been considered separate fields, yet their integration can provide a more comprehensive approach to developing solutions to conservation and management problems. However, demonstrations are needed of how behavior and physiology—either separately or combined—have contributed to conservation success. Examining species' vulnerabilities to extinction through the lenses of behavior and physiology can provide insight into the mechanisms that drive population declines and extirpations. Our goal is to increase awareness of the benefit of combining behavioral and physiological tools to improve conservation management decisions. Such studies can also help strengthen the basis for evidence-based conservation which, in some cases, has been previously lacking. The diverse studies in our Research Topic illustrate key examples of ways that behavior and physiology can be incorporated into conservation biology. Three main themes emerged from the invited papers with respect to their relevance to conservation: (1) Stress physiology, (2) indicators of health and disease dynamics, (3) and movement ecology. But these themes were also intertwined, thus showing the importance of integrating multiple fields of research to successfully address questions about conservation biology. Two mini reviews discuss the importance of examining how stress physiology may affect individual fitness and capacity to cope with change which, ultimately, affects the resiliency of populations. Walls and Gabor, in their mini review, promoted combining studies of behavior and physiology to aid in developing conservation strategies for amphibians, which could provide conservation managers with workable solutions to global environmental change. Walls and Gabor also pointed out that studies of behavior are useful to understand how native amphibian species respond to invasive predators. This is supported by Roznik et al. who combined physiology and behavior for a more holistic understanding of the impacts of competition between native and invasive frogs. These authors found that invasive Cuban tree frogs outperformed two native species in jump length and speed, offsetting the costs of dehydration. This work also ties in well to a review by Joly, who indicated the importance of exploring movement ecology (on multiple spatial scales) of invasive species to provide insights for invasive species management. Walls and Gabor also emphasized that more studies on phenological shifts of species in response to recent climate change are needed, as explored by Bókony et al. with birds. These authors found that bird species varied their migratory behaviors in response to contemporary climate change which, in turn, influenced subsequent trends in population size.

Frontiers in Ecology and Evolution↗

Post-hatch ecology, diet, and first migration of juvenile Alaskan Bar-tailed Godwits

Life stages between hatching and adult recruitment are poorly described for most migratory shorebird species and represent a critical knowledge gap in understanding long-term population dynamics. We conducted a pilot study on the Seward Peninsula, Alaska, to assess the feasibility of following juvenile Bar-tailed Godwits Limosa lapponica baueri from their breeding grounds to their non-breeding grounds in New Zealand and Australia. Radio-tracked broods were highly mobile and moved hundreds to thousands of meters per day. They used low-elevation wetlands with dense shrub cover when younger, and more open, tundra-dominated ridgetops when older. Using DNA metabarcoding analysis of fecal samples, we found that chick diet consisted largely of flying insects (e.g. Tenthredinidae and Ichneumonidae) and small gastropods and appeared to increase in diversity with chick age. We followed one brood to near-fledging (ca. 26 days old) and deployed 5-g satellite transmitters on three chicks. One of these subsequently moved to the Yukon-Kuskokwim Delta, from where it flew 11 days and an estimated 13,391 km to Tasmania, which is the longest non-stop flight recorded for landbirds. These results provide the first information on the ecology of pre- and post-fledging young Bar-tailed Godwits in Alaska, and will inform future efforts to study this important life stage.

Alaska↗

Coffee plantations, hurricanes and avian resiliency: Insights from occupancy, and local colonization and extinction rates in Puerto Rico

Insights on impacts and resiliency of avian species with respect to hurricanes in the Caribbean have largely focused on responses measured in protected habitats. We assessed avian responses in non-protected habitat, specifically shade-restored coffee plantations, because their structural complexity retains many attributes of secondary forests, and may contribute to landscape scale species resiliency. We tallied species richness, and estimated occupancy probability of 12 resident avian species, after adjusting for imperfect detection, to assess the impact of hurricane Maria (20 September 2017) in the context of two stages of shade-restored coffee plantations. For 5 of those species, we also estimated local colonization and extinction probabilities to assess their prospect of rebounding (resiliency). We used survey data collected March-June 2015-2017 (pre-hurricane) and 2018 (post-hurricane) in 58 coffee farms and satellite imagery to assess vegetation structure. Restored farms were grouped into two categories based on time-since-restoration: newly-restored and fully-restored. We predicted that mean percent forest cover in fully-restored farms (~30-40%) would revert to levels in newly-restored farms (<15%), with concomitant changes in occupancy by avian species. As predicted, mean percent forest cover (16.17 4.27%) in fully-restored farms post-hurricane reverted to pre-hurricane levels in newly-restored farms (15.00 5.61%). The loss represented 30-38% relative to the pre-hurricane cover levels. Detections of focal species dropped an average of 41% post-hurricane, with associated reductions in occupancy for 9/11 species. Occupancy of the Puerto Rican Bullfinch and Puerto Rican Spindalis reverted to levels detected in newly-restored plantations prior to the hurricane as predicted. Prospects of rebounding were more likely for species with invariant or increases in colonization probability (e.g., Yellow-faced Grassquit, Northern Mockingbird, Puerto Rican Spindalis). Rebounding for frugivores like the Puerto Rican Bullfinch would be protracted given that colonization rates dropped from 0.56 0.12 (pre-hurricane) to 0.04 0.2 (post-hurricane), regardless of restoration stage. Our work showed that the avian community associated with restored coffee farms exhibited as high degree of ecological resistance as the similarity in species composition before and after the hurricane was 81%, and all 12 focal species continued to occupy farms under both restoration stages. The prospect of the focal species to rebound (resiliency) was specific-specific, and in some cases, mediated by their affinity to a particular farm restoration stage. The strength of hurricanes is projected to intensify with global warming. Pockets of undamaged or partially damaged shade-grown or fully-restored coffee plantations may contribute to species resiliency by increasing landscape level habitat redundancy, and facilitate habitat shifts to secure food resources or harbor source populations to colonize recovering, hurricane-damaged habitat tracts.

Greater Antilles↗

Spatial and temporal heterogeneity of infectious hematopoietic necrosis virus in Pacific Northwest salmonids

The aquatic rhaboviral pathogen infectious hematopoietic necrosis virus (IHNV) causes acute disease in juvenile fish of a number of populations of Pacific salmonid species. Heavily managed in both marine and freshwater environments, these fish species are cultured during the juvenile stage in freshwater conservation hatcheries, where IHNV is one of the top three infectious diseases that cause serious morbidity and mortality. Therefore, a comprehensive study of viral genetic surveillance data representing 2590 field isolates collected between 1958 and 2014 was conducted to determine the spatial and temporal patterns of IHNV in the Pacific Northwest of the contiguous United States. Prevalence of infection varied over time, fluctuating over a rough 5–7 year cycle. The genetic analysis revealed numerous subgroups of IHNV, each of which exhibited spatial heterogeneity. Within all subgroups, dominant genetic types were apparent, though the temporal patterns of emergence of these types varied among subgroups. Finally, the affinity or fidelity of subgroups to specific host species also varied, where UC subgroup viruses exhibited a more generalist profile and all other subgroups exhibited a specialist profile. These complex patterns are likely synergistically driven by numerous ecological, pathobiological, and anthropogenic factors. Since only a few anthropogenic factors are candidates for managed intervention aimed at improving the health of threatened or endangered salmonid fish populations, determining the relative impact of these factors is a high priority for future studies.

Infection, Genetics and Evolution↗

Invasive predatory fish occupies highest trophic position leading to expansion of isotopic niches in a riverine food web

Invasive species are drivers of ecological change with the potential to reshape the structure and function of terrestrial and aquatic ecosystems. The invasive flathead catfish ( Pylodictis olivaris ) is an opportunistic predator that has established a rapidly growing population in the Susquehanna River, Pennsylvania, USA, since they were first detected in 2002. Although the predatory effects of invasive catfishes on native fish communities have been documented, the effects of invasion on riverine food webs are poorly understood. This study quantified the effects of invasive flathead catfish on the trophic position (TP) and isotopic niche of the river's food web by comparing invaded and non-invaded sites. In addition to flathead catfish, the food web components examined included crayfish, minnows, and two ecologically and socioeconomically important fish species: the smallmouth bass ( Micropterus dolomieu ) and channel catfish ( Ictalurus punctatus ). We found that flathead catfish occupied the highest TP, with a posterior mean TP of 3.08 (95% credible interval = [2.71, 3.42]), exceeding that of the two resident fish predators, the smallmouth bass and channel catfish. The TP of the resident channel catfish, which occupies a similar ecological niche, declined after flathead catfish invasion. In fact, there was a 0.92 posterior probability that channel catfish TP was lower in invaded sites than at non-invaded sites. Using a Bayesian bivariate ellipses analysis, we found overwhelming evidence of isotopic niche expansion and overlap for all components of the food web in the presence of flathead catfish. These findings support the “trophic disruption hypothesis,” where an introduced species prompts resident species to change diets in an attempt to avoid competition and predation following invasion. Our results indicate that flathead catfish invasion is altering food web structure and energy flow in a large riverine ecosystem and contributes to the breadth of knowledge regarding how ecosystems may respond to the introduction of a large predatory fish species.

Pennsylvania↗

Using social values in the prioritization of research: Quantitative examples and generalizations

Identifying critical uncertainties about ecological systems can help prioritize research efforts intended to inform management decisions. However, exclusively focusing on the ecological system neglects the objectives of natural resource managers and the associated social values tied to risks and rewards of actions. I demonstrate how to prioritize research efforts for a harvested population by applying expected value of perfect information (EVPI) to harvest decisions made with a density-independent matrix population model. Research priorities identified by EVPI diverge from priorities identified by matrix elasticity analyses that ignore social utility. Using a density-dependent harvest model, the value of information about the intrinsic productivity of a population is shown to be sensitive to the socially determined penalty for implementing a harvest rate that deviates from the goal because of imperfection in estimation. Synthesis and applications . The effect of including social values into harvest decision-making depends on the assumed population model, uncertainty in population vital rates, and the particular form of the utility function used to represent risk/reward of harvest. EVPI analyses that include perceived utility of different outcomes can be used by managers seeking to optimize monitoring and research spending. Collaboration between applied ecologists and social scientists that quantitatively measure peoples' values is needed in many structured decision-making processes.

Ecology and Evolution↗

Estimating distemper virus dynamics among wolves and grizzly bears using serology and Bayesian state‐space models

Many parasites infect multiple hosts, but estimating the transmission across host species remains a key challenge in disease ecology. We investigated the within and across host species dynamics of canine distemper virus (CDV) in grizzly bears ( Ursus arctos ) and wolves ( Canis lupus ) of the Greater Yellowstone Ecosystem (GYE). We hypothesized that grizzly bears may be more likely to be exposed to CDV during outbreaks in the wolf population because grizzly bears often displace wolves while scavenging carcasses. We used serological data collected from 1984 to 2014 in conjunction with Bayesian state‐space models to infer the temporal dynamics of CDV. These models accounted for the unknown timing of pathogen exposure, and we assessed how different testing thresholds and the potential for testing errors affected our conclusions. We identified three main CDV outbreaks (1999, 2005, and 2008) in wolves, which were more obvious when we used higher diagnostic thresholds to qualify as seropositive. There was some evidence for increased exposure rates in grizzly bears in 2005, but the magnitude of the wolf effect on bear exposures was poorly estimated and depended upon our prior distributions. Grizzly bears were exposed to CDV prior to wolf reintroduction and during time periods outside of known wolf outbreaks, thus wolves are only one of several potential routes for grizzly bear exposures. Our modeling approach accounts for several of the shortcomings of serological data and is applicable to many wildlife disease systems, but is most informative when testing intervals are short. CDV circulates in a wide range of carnivore species, but it remains unclear whether the disease persists locally within the GYE carnivore community or is periodically reintroduced from distant regions with larger host populations.

Ecology and Evolution↗

Mourning dove productivity in California during 1992-95: Was it sufficient to balance mortality?

Mourning dove ( Zenaida macroura ) populations have declined steadily in the western United States since 1966. We investigated the role of recruitment in this long-term problem by studying nesting ecology of mourning doves from March to September 1992-95, in the northern Central Valley, California, USA. We studied nesting doves in blue oak woodlands ( Quercus douglasii ), willow-cottonwood riparian habitats ( Salix spp., Populus fremontii ), and commercial walnut, prune, pistachio, and cherry orchards. We used 3,047 nests for our analyses. Doves initiated nests from 14 March to 28 August; nesting season lengths ranged from 105 to 158 days. Only 2-5% of nests remained active after 1 September each year, and latest dates that young fledged ranged from 28 August to 21 September. Mayfield estimates of nest success rates varied inconsistently among study areas; annual success rates ranged from 35-59% for incubation, 49-79% for brooding, and 22-45% for total. Akaike's Information Criteria (AIC) analysis showed that total nest success was higher during years with relatively warm-dry springs (March-May, 1992 and 1994 [35-45% success]) than years with relatively cool-wet springs (1993 and 1995 [22-37% success]). Additionally, AIC analysis showed that fledglings produced/pair and fledglings/nesting attempt were highest during the warm-dry years. Likewise, we recorded more total pairs, nests, and total fledglings, and longer nesting seasons during the warm-dry years. The lower limit of the 95% confidence interval for fledglings produced/pair for all years exceeded the value of 2.5 previously estimated with banding data from 1967-74 as the value required to maintain breeding populations in California. Thus, if our productivity estimates reflected the general population, and annual survival rates had not changed, recruitment should have been adequate to produce an increasing population. Since this was not occurring, managers should complement population surveys with annual banding and harvest surveys to enable thorough examination of the relationships among survival, productivity, and abundance.

California↗

Potential strategies for recovery of lake whitefish and lake herring stocks in eastern Lake Erie

Lake Erie sustained large populations of ciscoes ( Salmonidae : Coregoninae ) 120 years ago. By the end of the 19 th century, abundance of lake whitefish ( Coregonus clupeaformis ) had declined drastically. By 1925, the lake herring (a cisco) population (Coregonus artedii) had collapsed, although a limited lake herring fishery persisted in the eastern basin until the 1950s. In the latter part of the 20 th century, the composition of the fish community changed as oligotrophication proceeded. Since 1984, a limited recovery of lake whitefish has occurred, however no recovery was evident for lake herring. Current ecological conditions in Lake Erie probably will not inhibit recovery of the coregonine species. Recovery of walleye ( Sander vitreus ) and efforts to rehabilitate the native lake trout ( Salvelinus namaycush ) in Lake Erie will probably assist recovery because these piscivores reduce populations of alewife ( Alosa psuedoharengus ) and rainbow smelt ( Osmerus mordax ), which inhibit reproductive success of coregonines. Although there are considerable spawning substrates available to coregonine species in eastern Lake Erie, eggs and fry would probably be displaced by storm surge from most shoals. Site selection for stocking or seeding of eggs should consider the reproductive life cycle of the stocked fish and suitable protection from storm events. Two potential sites in the eastern basin have been identified. Recommended management procedures, including commercial fisheries, are suggested to assist in recovery. Stocking in the eastern basin of Lake Erie is recommended for both species, as conditions are adequate and the native spawning population in the eastern basin is low. For lake herring, consideration should be given to match ecophenotypes as much as possible. Egg seeding is recommended. Egg seeding of lake whitefish should be considered initially, with fingerling or yearling stocking suggested if unsuccessful. Spawning stocks of whitefish in the western basin of Lake Erie could be utilized.

Journal of Great Lakes Research↗

Ecological hierarchies and self-organisation - Pattern analysis, modelling and process integration across scales

A continuing discussion in applied and theoretical ecology focuses on the relationship of different organisational levels and on how ecological systems interact across scales. We address principal approaches to cope with complex across-level issues in ecology by applying elements of hierarchy theory and the theory of complex adaptive systems. A top-down approach, often characterised by the use of statistical techniques, can be applied to analyse large-scale dynamics and identify constraints exerted on lower levels. Current developments are illustrated with examples from the analysis of within-community spatial patterns and large-scale vegetation patterns. A bottom-up approach allows one to elucidate how interactions of individuals shape dynamics at higher levels in a self-organisation process; e.g., population development and community composition. This may be facilitated by various modelling tools, which provide the distinction between focal levels and resulting properties. For instance, resilience in grassland communities has been analysed with a cellular automaton approach, and the driving forces in rodent population oscillations have been identified with an agent-based model. Both modelling tools illustrate the principles of analysing higher level processes by representing the interactions of basic components.The focus of most ecological investigations on either top-down or bottom-up approaches may not be appropriate, if strong cross-scale relationships predominate. Here, we propose an 'across-scale-approach', closely interweaving the inherent potentials of both approaches. This combination of analytical and synthesising approaches will enable ecologists to establish a more coherent access to cross-level interactions in ecological systems. ?? 2010 Gesellschaft f??r ??kologie.

Basic and Applied Ecology↗

Drivers of disperser immigration into cooperatively breeding carnivore groups

Dispersal is a fundamental process that shapes social groups by affecting genetic diversity, group composition, and social dynamics through immigration and subsequent settlement. In group-living animals, dispersal involves more than just leaving 1 group and arriving at another because dispersers also need to be accepted at an established group for successful dispersal to occur. Understanding how and why new individuals integrate into established social groups remains a key question, particularly when the benefits to existing members are unclear. This question persists in part because the ecological and social conditions that shape disperser settlement remain poorly understood. We leveraged an existing harvest regime and examined 18 years of life-history data from a wild population of cooperatively breeding gray wolves ( Canis lupus ) to understand immigration dynamics of group-living. Specifically, we tested how social and environmental conditions within groups predicted the likelihood that a disperser successfully immigrated into a group, analyzing how breeder turnover, annual harvest, group size, and genetic relatedness influenced that decision. Turnover of breeding males had the strongest effect on the probability of disperser settlement, suggesting that the loss of key social roles may create opportunities for new individuals to join groups. We also found an interaction between group size and harvest. By quantifying conditions that shape immigrant settlement, we highlight a mechanism influencing the stability and structure of cooperatively breeding groups. Unlike studies focused on individual dispersal decisions, our research highlights how variation in ecological and social conditions shape settlement into groups by dispersers.

Idaho↗

Disease‐structured N‐mixture models: A practical guide to model disease dynamics using count data

Obtaining inferences on disease dynamics (e.g., host population size, pathogen prevalence, transmission rate, host survival probability) typically requires marking and tracking individuals over time. While multistate mark–recapture models can produce high‐quality inference, these techniques are difficult to employ at large spatial and long temporal scales or in small remnant host populations decimated by virulent pathogens, where low recapture rates may preclude the use of mark–recapture techniques. Recently developed N ‐mixture models offer a statistical framework for estimating wildlife disease dynamics from count data. N ‐mixture models are a type of state‐space model in which observation error is attributed to failing to detect some individuals when they are present (i.e., false negatives). The analysis approach uses repeated surveys of sites over a period of population closure to estimate detection probability. We review the challenges of modeling disease dynamics and describe how N ‐mixture models can be used to estimate common metrics, including pathogen prevalence, transmission, and recovery rates while accounting for imperfect host and pathogen detection. We also offer a perspective on future research directions at the intersection of quantitative and disease ecology, including the estimation of false positives in pathogen presence, spatially explicit disease‐structured N ‐mixture models, and the integration of other data types with count data to inform disease dynamics. Managers rely on accurate and precise estimates of disease dynamics to develop strategies to mitigate pathogen impacts on host populations. At a time when pathogens pose one of the greatest threats to biodiversity, statistical methods that lead to robust inferences on host populations are critically needed for rapid, rather than incremental, assessments of the impacts of emerging infectious diseases.

Ecology and Evolution↗

Seasonal spatial ecology of Lake Trout in Lake Erie

Objective Lake Trout Salvelinus namaycush are native coldwater apex predators that play an important role in maintaining ecosystem functionality and diversity in the Laurentian Great Lakes. Following population collapses, rehabilitation efforts were widely initiated in the Great Lakes to reestablish self‐sustaining Lake Trout populations. Lake Erie may pose a challenge to these rehabilitation efforts due to limited availability of appropriate oxythermal habitat. Our goal was to investigate seasonal habitat use of adult Lake Trout in Lake Erie to inform management and rehabilitation efforts. Methods We used acoustic telemetry in Lake Erie, which was equipepd with a lake‐wide acoustic receiver grid, to quantify Lake Trout seasonal region occupancy, dispersal distances, bottom depth occupancy, space use extent, and space use overlap. Result We found that 32% of fish tagged in the eastern basin and all fish from the western basin dispersed more than 100 km from their tagging location, which represents a greater proportion of the population moving long distances than what has been previously documented in the Great Lakes. During stratification, Lake Trout were detected almost exclusively in the offshore eastern basin in areas where water depth exceeded 25 m. During nonstratified seasons, fish used other regions of the lake, occupying areas of highly variable depths. During fall, most fish tagged in the eastern basin occupied habitat along the southern shore of the eastern basin. Fish tagged in the western basin returned to this region in the fall of subsequent years despite occupying the offshore eastern basin during stratification and having depth occupancy, home range size, and overlap similar to that of eastern basin‐tagged fish. Fish size was positively correlated with receiver depth during winter and spring, and with home range overlap during spring and summer. Conclusion The results of this study can begin to inform management decisions regarding stocking locations, harvest regulations, and habitat restoration to facilitate the continued rehabilitation of this important native species.

Lake Erie↗

Trade-offs in osmoregulation and parallel shifts in molecular function follow ecological transitions to freshwater in the Alewife

Adaptation to freshwater may be expected to reduce performance in seawater because these environments represent opposing selective regimes. We tested for such a trade-off in populations of the Alewife ( Alosa pseudoharengus ). Alewives are ancestrally anadromous, and multiple populations have been independently restricted to freshwater (landlocked). We conducted salinity challenge experiments, whereby juvenile Alewives from one anadromous and multiple landlocked populations were exposed to freshwater and seawater on acute and acclimation timescales. In response to acute salinity challenge trials, independently derived landlocked populations varied in the degree to which seawater tolerance has been lost. In laboratory-acclimation experiments, landlocked Alewives exhibited improved freshwater tolerance, which was correlated with reductions in seawater tolerance and hypo-osmotic balance, suggesting that trade-offs in osmoregulation may be associated with local adaptation to freshwater. We detected differentiation between life-history forms in the expression of an ion-uptake gene ( NHE3 ), and in gill Na + /K + -ATPase activity. Trade-offs in osmoregulation, therefore, may be mediated by differentiation in ion-uptake and salt-secreting pathways.

Evolution↗

Land use and land cover change in the Greater Yellowstone Ecosystem: 1975-1995

Shifts in the demographic and economic character of the Greater Yellowstone Ecosystem (GYE) are driving patterns of land cover and land use change in the region. Such changes may have important consequences for ecosystem functioning. The objective of this paper is to quantify the trajectories and rates of change in land cover and use across the GYE for the period 1975-1995 using satellite imagery. Spectral and geographic variables were used as inputs to classification tree regression analysis (CART) to find "rules" which defined land use and land cover classes on the landscape. The resulting CART functions were used to map land cover and land use across seven Landsat TM scenes for 1995. We then used a thresholding technique to identify locations that differed in spectral properties between the 1995 and 1985 time periods. These "changed" locations were classified using CART functions derived from spectral and geographic data from 1985. This was similarly done for the year 1975 based on Landsat MSS data. Differences between the 1975, 1985, and 1995 maps were considered change in land cover and use. We calibrated and tested the accuracy of our models using data acquired through manual interpretation of aerial photos. Elevation and vegetative indices derived from the remotely sensed satellite imagery explained the most variance in the land use and land cover classes (-i.e., defined the "rules" most often). Overall accuracies from our study were good, ranging from 94% at the coarsest level of detail to 74% at the finest. The largest changes over the study period were the increases in burned, urban, and mixed conifer-herbaceous classes and decreases in woody deciduous, mixed woody deciduous-herbaceous, and conifer habitats. These changes have important implications for ecological function and biodiversity. The expansion of mixed conifer classes may increase fuel loads and enhance risk to the growing number of rural homes. The reduction of woody deciduous cover types is likely reducing population sizes for the numerous plant and animal species that specialize on this habitat type. Some of these species are also negatively influenced by the increase of rural homes in and near woody deciduous habitats.

Idaho, Montana, Wyoming↗