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Development of a Land Use Database for the Little Blackwater Watershed, Dorchester County, Maryland

Many agricultural and forested areas in proximity to National Wildlife Refuges (NWR) are under increasing economic pressure to develop lands for commercial or residential development. The upper portion of the Little Blackwater River watershed - a 27 square mile area within largely low-lying Dorchester County, Maryland, on the eastern shore of the Chesapeake Bay - is important to the U.S. Fish and Wildlife Service (USFWS) because it flows toward the Blackwater National Wildlife Refuge (BNWR), and developmental impacts of areas upstream from the BNWR are unknown. One of the primary concerns for the refuge is how storm-water runoff may affect living resources downstream. The Egypt Road project (fig. 1), for which approximately 600 residential units have been approved, has the potential to markedly change the land use and land cover on the west bank of the Little Blackwater River. In an effort to limit anticipated impacts, the Maryland Department of Natural Resources (Maryland DNR) recently decided to purchase some of the lands previously slated for development. Local topography, a high water table (typically 1 foot or less below the land surface), and hydric soils present a challenge for the best management of storm-water flow from developed surfaces. A spatial data coordination group was formed by the Dorchester County Soil and Conservation District to collect data to aid decisionmakers in watershed management and on the possible impacts of development on this watershed. Determination of streamflow combined with land cover and impervious-surface baselines will allow linking of hydrologic and geologic factors that influence the land surface. This baseline information will help planners, refuge managers, and developers discuss issues and formulate best management practices to mitigate development impacts on the refuge. In consultation with the Eastern Region Geospatial Information Office, the dataset selected to be that baseline land cover source was the June-July 2005 National Agricultural Imagery Program (NAIP) 1-meter resolution orthoimagery of Maryland. This publicly available, statewide dataset provided imagery corresponding to the closest in time to the installation of a U.S. Geological Survey (USGS) Water Resources Discipline gaging station on the Little Blackwater River. It also captures land cover status just before major residential development occurs. This document describes the process used to create a land use database for the Little Blackwater watershed.

Open-File Report↗

Evaluation of groundwater levels in the South Platte River alluvial aquifer, Colorado, 1953-2012, and design of initial well networks for monitoring groundwater levels

The South Platte River and underlying alluvial aquifer form an important hydrologic resource in northeastern Colorado that provides water to population centers along the Front Range and to agricultural communities across the rural plains. Water is regulated based on seniority of water rights and delivered using a network of administration structures that includes ditches, reservoirs, wells, impacted river sections, and engineered recharge areas. A recent addendum to Colorado water law enacted during 2002-2003 curtailed pumping from thousands of wells that lacked authorized augmentation plans. The restrictions in pumping were hypothesized to increase water storage in the aquifer, causing groundwater to rise near the land surface at some locations. The U.S. Geological Survey (USGS), in cooperation with the Colorado Water Conservation Board and the Colorado Water Institute, completed an assessment of 60 years (yr) of historical groundwater-level records collected from 1953 to 2012 from 1,669 wells. Relations of "high" groundwater levels, defined as depth to water from 0 to 10 feet (ft) below land surface, were compared to precipitation, river discharge, and 36 geographic and administrative attributes to identify natural and human controls in areas with shallow groundwater. Averaged per decade and over the entire aquifer, depths to groundwater varied between 24 and 32 ft over the 60-yr record. The shallowest average depth to water was identified during 1983-1992, which also recorded the highest levels of decadal precipitation. Average depth to water was greatest (32 ft) during 1953-1962 and intermediate (30 ft) in the recent decade (2003-2012) following curtailment of pumping. Between the decades 1993-2002 and 2003-2012, groundwater levels declined about 2 ft across the aquifer. In comparison, in areas where groundwater levels were within 20 ft of the land surface, observed groundwater levels rose about 0.6 ft, on average, during the same period, which demonstrated preferential rise in areas with shallow groundwater. Approximately 29 percent of water-level observations were identified as high groundwater in the South Platte River alluvial aquifer over the 60-yr record. High groundwater levels were found in 17 to 33 percent of wells examined by decade, with the largest percentages occurring over three decades from 1963 to 1992. The recent decade (2003-2012) exhibited an intermediate percentage (25 percent) of wells with high groundwater levels but also had the highest percentage (30 percent) of high groundwater observations, although results by observations were similar (26-29 percent) over three decades prior, from 1963 to 1992. Major sections of the aquifer from north of Sterling to Julesburg and areas near Greeley, La Salle, and Gilcrest were identified with the highest frequencies of high groundwater levels. Changes in groundwater levels were evaluated using Kendal line and least trimmed squares regression methods using a significance level of 0.01 and statistical power of 0.8. During 2003-2012, following curtailment of pumping, 88 percent of wells and 81 percent of subwatershed areas with significant trends in groundwater levels exhibited rising water levels. Over the complete 60-yr record, however, 66 percent of wells and 57 percent of subwatersheds with significant groundwater-level trends still showed declining water levels; rates of groundwater-level change were typically less than 0.125 ft/yr in areas near the South Platte River, with greater declines along the southern tributaries. In agreement, 58 percent of subwatersheds evaluated between 1963-1972 and 2003-2012 showed net declines in average decadal groundwater levels. More areas had groundwater decline in upgradient sections to the west and rise in downgradient sections to the east, implying a redistribution of water has occurred in some areas of the aquifer. Precipitation was identified as having the strongest statistically significant correlations to river discharge over annual and decadal periods (Pearson correlation coefficients of 0.5 and 0.8, respectively, and statistical significance defined by p-values less than 0.05). Correlation coefficients between river discharge and frequency of high groundwater levels were statistically significant at 0.4 annually and 0.6 over decadal periods, indicating that periods of high river flow were often coincident with high groundwater conditions. Over seasonal periods in five of the six decades examined, peak high groundwater levels occurred after spring runoff from July to September when administrative structures were most active. Between 1993-2002 and 2003-2012, groundwater levels rose while river discharge decreased, in part from greater reliance on surface water and curtailed pumping from wells without augmentation plans. Geographic attributes of elevation and proximity to streams and rivers showed moderate correlations to high groundwater levels in wells used for observing groundwater levels (correlation coefficients of 0.3 to 0.4). Local depressions and regional lows within the aquifer were identified as areas of potential shallow groundwater. Wells close to the river regularly indicated high groundwater levels, while those within depleted tributaries tended to have low frequencies of high groundwater levels. Some attributes of administrative structures were spatially correlated to high groundwater levels at moderate to high magnitudes (correlation coefficients of 0.3 to 0.7). The number of affected river reaches or recharge areas that surround a well where groundwater levels were observed and its distance from the nearest well field showed the strongest controls on high groundwater levels. Influences of administrative structures on groundwater levels were in some cases local over a mile or less but could extend to several miles, often manifesting as diffuse effects from multiple surrounding structures. A network of candidate monitoring wells was proposed to initiate a regional monitoring program. Consistent monitoring and analysis of groundwater levels will be needed for informed decisions to optimize beneficial use of water and to limit high groundwater levels in susceptible areas. Finalization of the network will require future field reconnaissance to assess local site conditions and discussions with State authorities.

Colorado↗

Science support for evaluating natural recovery of polychlorinated biphenyl concentrations in fish from Crab Orchard Lake, Crab Orchard National Wildlife Refuge, Illinois

Introduction Crab Orchard Lake in southern Illinois is one of the largest and most popular recreational lakes in the state. Construction of the nearly 7,000-acre reservoir in the late 1930s created employment opportunities through the Works Progress Administration, and the lake itself was intended to supply water, control flooding, and provide recreational opportunities for local communities (Stall, 1954). In 1942, the Department of War appropriated or purchased more than 20,000 acres of land around Crab Orchard Lake and constructed the Illinois Ordnance Plant, which manufactured bombs and anti-tank mines during World War II. After the war, an Act of Congress transferred the property to the U.S. Department of the Interior. Crab Orchard National Wildlife Refuge was established on August 5, 1947, for the joint purposes of wildlife conservation, agriculture, recreation, and industry. Production of explosives continued, but new industries also moved onsite. More than 200 tenants have held leases with Crab Orchard National Wildlife Refuge and have operated a variety of manufacturing plants (electrical components, plated metal parts, ink, machined parts, painted products, and boats) on-site. Soils, water, and sediments in several areas of the refuge were contaminated with hazardous substances from handling and disposal methods that are no longer acceptable environmental practice (for example, direct discharge to surface water, use of unlined landfills). Polychlorinated biphenyl (PCB) contamination at the refuge was identified in the 1970s, and a PCB-based fish-consumption advisory has been in effect since 1988 for Crab Orchard Lake. The present advisory covers common carp ( Cyprinus carpio ) and channel catfish ( Ictalurus punctatus ); see Illinois Department of Public Health (2017). Some of the most contaminated areas of the refuge were actively remediated, and natural ecosystem recovery processes are expected to further reduce residual PCB concentrations in the lake. The U.S. Fish and Wildlife Service sought technical support to understand environmental drivers of current (2017) PCB residues in fish tissue and patterns in PCB residues through time to inform the fish-consumption advisory for Crab Orchard Lake. This project is planned in two phases (Tasks 1 and 2); the first phase is included in this report. Task 1, reported here, includes a review of existing literature and a brief overview focused on environmental and biochemical/physiological processes that drive PCB residues in fish tissue. This review specifically targets processes that are relevant for freshwater lacustrine environments such as those at Crab Orchard Lake. In addition to discussions of environmental fate, metabolism, and accumulation of PCBs, this review includes a brief scientifically based explanation of approaches used to establish fish-consumption advisories. A planned second task (Task 2) will include a compilation and summary of existing data on PCB residues in fish tissue samples from Crab Orchard Lake. This summary will also place Crab Orchard Lake data in a broader geographic context through a comparison with fish data from other Midwestern lakes. When Task 1 and Task 2 are complete, resource managers will have (a) a synthesis of existing literature that characterizes the processes influencing the fate of residual PCBs remaining in systems such as Crab Orchard Lake, (b) a summary of natural PCB attenuation processes for use in risk communication with the public, and (c) a summary of existing data on PCBs in fish tissues from Crab Orchard Lake, including exploratory plots of tissue residues through time. Overall, this project will provide data to help resource managers better understand the ecological and public health consequences of residual PCBs in Crab Orchard Lake.

Illinois↗

Vegetation associations in a rare community type - Coastal tallgrass prairie

The coastal prairie ecoregion is located along the northwestern coastal plain of the Gulf of Mexico in North America. Because of agricultural and urban development, less than 1% of the original 3.4 million ha of this ecosystem type remains in native condition, making it one of the most endangered ecosystems in North America. The objective of this study was to characterize the vegetation and environmental relationships in a relatively pristine example of lowland coastal prairie in order to provide information for use in conservation and restoration. The study area was a small, isolated prairie located near the southern boundary of the coastal prairie region. Samples were taken along three parallel transects that spanned the prairie. Parameters measured included species composition, elevation, soil characteristics, indications of recent disturbance, above-ground biomass, and light penetration through the plant canopy. Fifty-four species were found in the 107 0.25-m2 plots and a total of 96 species were found at the site. Only two non-native species occurred in sample plots, both of which were uncommon. Cluster analysis was used to identify six vegetation groups, which were primarily dominated by members of the Poaceae or Asteraceae. A conspicuous, natural edaphic feature of the prairie was the presence of 'mima' mounds, which are raised areas approximately 0.5 to 1 m high and 5 to 10 m across. Indicator species analysis revealed a significant number of species that were largely restricted to mounds and these were predominately upland and colonizing species. Ordination was performed using nonmetric, multidimensional scaling. The dominant environmental influence on species composition was found to be elevation and a host of correlated factors including those associated with soil organic content. A secondary group of factors, consisting primarily of soil cations, was found to explain additional variance among plots. Overall, this prairie was found to contain plant associations that are now rare in the surrounding landscape. Within the prairie, plant groups were largely separated by a suite of environmental conditions associated with topography. These results suggest that conservation and restoration efforts will need to carefully consider local topographic influences in order to be successful.

Plant Ecology↗

Selective concentration of cesium in analcime during hydrothermal alteration, Yellowstone National Park, Wyoming

Chemical and mineralogical studies of fresh and hydrothermally altered rhyolitic material in Upper and Lower Geyser Basins, Yellowstone National Park, show that all the altered rocks are enriched in Cs and that Cs is selectively concentrated in analcime. The Cs content of unaltered rhyolite lava flows, including those from which the altered sediments are derived, ranges from 2.5 to 7.6 ppm. The Cs content of analcime-bearing altered sedimentary rocks is as high as 3000 ppm, and in clinoptilolite-bearing altered sedimentary rocks Cs content is as high as 180 ppm. Altered rhyolite lava flows which were initially vitrophyres, now contain up to 250 ppm Cs, and those which were crystallized prior to hydrothermal alteration contain up to 14 ppm. Mineral concentrates of analcime contain as much as 4700 ppm Cs. The Cs must have been incorporated into the analcime structure during crystallization, rather than by later cation substitution, because analcime does not readily exchange Cs. The Cs Cl "> CsCl of the fluids circulating through the hydrothermal system varies, suggesting that Cs is not always a conservative ion and that Cs is lost from upflowing thermal waters due to water-rock interaction resulting in crystallization of Cs-bearing analcime. The source of Cs for Cs enrichment of the altered rocks is from leaching of rhyolitic rocks underlying the geyser basins, and from the top of the silicic magma chamber that underlies the area. Analcime is an important natural Cs sink, and the high Cs concentrations reported here may prove to be an important indicator of the environment of analcime crystallization.

Geochimica et Cosmochimica Acta↗

Disease in a dynamic landscape: host behavior and wildfire reduce amphibian chytrid infection

Disturbances are often expected to magnify effects of disease, but these effects may depend on the ecology, behavior, and life history of both hosts and pathogens. In many ecosystems, wildfire is the dominant natural disturbance and thus could directly or indirectly affect dynamics of many diseases. To determine how probability of infection by the aquatic fungus Batrachochytrium dendrobatidis (Bd) varies relative to habitat use by individuals, wildfire, and host characteristics, we sampled 404 boreal toads ( Anaxyrus boreas boreas ) across Glacier National Park, Montana (USA). Bd causes chytridiomycosis, an emerging infectious disease linked with widespread amphibian declines, including the boreal toad. Probability of infection was similar for females and the combined group of males and juveniles. However, only 9% of terrestrial toads were infected compared to >30% of aquatic toads, and toads captured in recently burned areas were half as likely to be infected as toads in unburned areas. We suspect these large differences in infection reflect habitat choices by individuals that affect pathogen exposure and persistence, especially in burned forests where warm, arid conditions could limit Bd growth. Our results show that natural disturbances such as wildfire and the resulting diverse habitats can influence infection across large landscapes, potentially maintaining local refuges and host behaviors that facilitate evolution of disease resistance.

Montana↗

Wetlands in intermittently closed estuaries can build elevations to keep pace with sea-level rise

Sea-level rise is a threat to coastal ecosystems, which have important conservation and economic value. While marsh response to sea-level rise has been well characterized for perennially open estuaries, bar-built intermittently-closed estuaries and their sea-level rise response are seldom addressed in the literature – despite being common globally. We seek to advance the conceptual understanding of sea-level rise response of marshes by incorporating the unique nature of intermittently-closed estuaries in a marsh model. We hypothesize that intermittently-closed-estuary marshes may be more resilient to sea-level rise than open-estuary marshes due to greater initial elevation capital and higher accretion rates due to closure events. Using California, USA as a case study, spatial analysis shows that marshes in intermittently-closed-estuaries had significantly greater elevations (x̄ = 1.93 m ± 0.2 standard error, n = 14) than marshes in permanently open estuaries (x̄ = 0.94 m ± 0.1 standard error, n = 8; P = 0.003). We then used a process-based model to determine marsh elevation change under 840 simulated responses to sea-level rise to 2100. Our modeling shows that regular annual mouth closure can promote accretion rates and increase marsh elevations fast enough to match even high rates of sea-level rise, as fluvial sediment pulses can be captured in the estuary. Modeled suspended sediment concentration had the strongest effect on accretion, followed by probability of annual mouth closure. Intermittently closed estuaries are critical environments where marshes may be sustained under high rates of sea-level rise, thus reducing the anticipated global loss of these important ecosystems. Our results begin to fill an important gap in the knowledge about marsh accretion and identify research needs to inform coastal management.

Estuarine, Coastal and Shelf Science↗

Assessing water-quality changes in agricultural drainages: Examples from oxbow lake tributaries in Mississippi, USA and simulation-based power analyses

Hydrology and water quality (suspended sediment, total nitrogen, ammonia, total Kjeldahl nitrogen, nitrate plus nitrite, and total phosphorus (TP)) were monitored in two small agricultural drainages in northwestern Mississippi to document changes in water quality that coincided with the implementation of BMPs in upstream drainages. Using an event-based dataset and bootstrapping techniques, we tested for difference and equivalence in median event concentration and differences in concentration-discharge (C-Q) relationships between an early and late period at each site, where most of the major BMP implementation occurred during the early period. Results for one site were inconclusive. None of the constituents had statistically different or equivalent event concentrations between the periods, indicating a lack of evidence to tell whether water quality had changed or stayed the same, and only TP had a significantly higher C-Q slope during the late period. At the other site, more than half the constituents had a significantly different median, slope, or intercept between periods, indicating a 35% or more decrease in event concentration following a period of intense BMP implementation. These mixed results could be due to variety of differences between the sites including BMP implementation, production practices, and crops. We also used the monitoring data to generate synthetic data and perform a simulation-based power analysis to explore the ability to detect change under 25 scenarios of sampled event counts and hypothetical percent changes. The simulation-based power analysis indicated that high natural variability in event concentration and flow hindered our ability to detect change. Based on our monitoring, data analysis, and power analysis, we provide recommendations for future monitoring.

Mississippi↗

Vascular plant and vertebrate species richness in national parks of the eastern United States

Given the estimates that species diversity is diminishing at 50-100 times the normal rate, it is critical that we be able to evaluate changes in species richness in order to make informed decisions for conserving species diversity. In this study, we examined the potential of vascular plant species richness to be used as a surrogate for vertebrate species richness in the classes of amphibians, reptiles, birds, and mammals. Vascular plants, as primary producers, represent the biotic starting point for ecological community structure and are the logical place to start for understanding vertebrate species associations. We used data collected by the United States (US) National Park Service (NPS) on species presence within parks in the eastern US to estimate simple linear regressions between plant species richness and vertebrate richness. Because environmental factors may also influence species diversity, we performed simple linear regressions of species richness versus natural logarithm of park area, park latitude, mean annual precipitation, mean annual temperature, and human population density surrounding the parks. We then combined plant species richness and environmental variables in multiple regressions to determine the variables that remained as significant predictors of vertebrate species richness. As expected, we detected significant relationships between plant species richness and amphibian, bird, and mammal species richness. In some cases, plant species richness was predicted by park area alone. Species richness of mammals was only related to plant species richness. Reptile species richness, on the other hand, was related to plant species richness, park latitude and annual precipitation, while amphibian species richness was related to park latitude, park area, and plant species richness. Thus, plant species richness predicted species richness of different vertebrate groups to varying degrees and should not be used exclusively as a surrogate for vertebrate species richness. Plant species richness should be included with other variables such as area and climate when considering strategies to manage and conserve species in US National Parks. It is not always appropriate to draw conclusions about analyses of taxonomic surrogates from one area to another. Two patterns evident from the linear regressions were the increase in species richness with the increase of park area and with increase of vascular plant species richness. To test whether there were differences in these patterns among networks, we used analysis of covariance (ANCOVA). Differences among networks were detected only in bird species richness versus plant species richness and for all taxa except mammals for vertebrate species richness versus park area. Some of these results may be due to small sample size among networks, and therefore, low statistical power. Other factors that could have contributed to these results were differences in average park area and habitat heterogeneity among networks, latitudinal gradients, low variation in mean annual precipitation, and different use of vegetation by migratory species. Based on these results we recommend that management of biodiversity be approached from local and site specific criteria rather than applying management directives derived from other regions of the US. It is also recommended that analyses similar to those presented here be conducted for all national parks, once data become available for all networks in the US, to gain a better understanding of how vascular plant species richness, area, and vertebrate species richness are related in the US.

Natural Resource Technical Report NPS/NCR/NCRO/NRT↗

Assessing the feasibility of using acoustic monitoring for Burbot conservation, management, and production

Burbot Lota lota is the sole freshwater representative of the cod-like fishes and supports subsistence, commercial, and recreational fisheries worldwide above approximately 40° N. It is a difficult species to manage effectively due to its preference for deep-water habitats and spawning activity under the ice in winter. Like other gadiform fishes, Burbot use acoustic signaling as part of their mating system, and while the acoustic repertoire of the species has been characterized under artificial conditions (i.e., net pen suspended under ice in a natural lake), there has been no work to determine whether the species is as vocal in natural spawning aggregations. Our objective was to assess the feasibility of collecting and using acoustic data to characterize the spawning activity and locations of Burbot under field conditions. We recorded audio and video of Burbot spawning aggregations through holes drilled into the ice at known spawning grounds at Moyie Lake in British Columbia, Canada. Acoustic recordings (call counts and audiograms) were analyzed using Raven Pro v 1. 4 software. Acoustic behavior was also related to video data to determine how acoustic activity correlated to any observed spawning behavior. In general, wild Burbot spawning in Moyie Lake did not vocalize as frequently as counterparts spawning under artificial conditions. Further, Burbot vocalizations were not recorded in conjunction with spawning activity. While it may be feasible to use passive acoustic monitoring to locate Burbot spawning grounds and identify periods of activity, it does not seem to hold much promise for locating and quantifying spawning activity in real time.

Cooperator Science Series↗

Suburban wildlife: Lessons, challenges, and opportunities

The United States, as well as most developed and many developing nations worldwide, is becoming increasingly urban and suburban.Although urban, suburban, and commercial development account for less than one percent to just over 20% of land use among states, 50-90% of the residents of those states can be classified as urban or suburban dwellers. The population of the U.S. as a whole has risen from being > 95% rural in the 1790s to about 80% urban-suburban today. With these changes in land use and demographic patterns come changes in values and attitudes; many urbanites and suburbanites view wildlife and nature differently than rural residents. These are among the challenges faced by wildlife biologists and natural resource managers in a rapidly urbanizing world. In 2003, we convened a symposium to discuss issues related to suburban wildlife. The papers presented in this special issue of Urban Ecosystems address the lessons learned from the early and recently rapidly expanding literature, the challenges we face today, and the opportunities that can help deal with what is one of the biggest challenges to conservation in a modernizing world. ?? 2005 Springer Science + Business Media, Inc.

Urban Ecosystems↗

Production of haploid gynogens to inform genomic resource development in the paleotetraploid pallid sturgeon (Scaphirhynchus albus)

Order Acipenseriformes (sturgeons and paddlefishes) is an ancient lineage of osteichthyan fishes (>200 million years old) with most extant species at conservation risk. A relatively basal species, the pallid sturgeon, Scaphirhynchus albus, is a federally endangered species native to the Mississippi and Missouri River basins. Hybridization with sympatric shovelnose sturgeon, S. platorynchus, is one of several threats to pallid sturgeon. Current molecular markers cannot reliably distinguish among pure species and multigenerational backcrosses. This information is critical for implementation of management strategies to increase populations through natural reproduction and artificial propagation. Genotypes from a large panel of unlinked single-nucleotide polymorphisms (SNPs) may provide greater resolution of the two species; however, paralogous sequence variants (PSVs) within individuals resulting from an ancient whole genome duplication event confound SNP development. The aim of this study was to produce pallid sturgeon gynogens that contain 100% homozygous DNA contributed by only the maternal parent and have enough DNA for future SNP marker development. When homozygous gynogens are sequenced, heterozygosity at a locus within an individual indicates the presence of incorrectly aligned sequences that contain PSVs; accurate identification of these multi-locus contigs can facilitate their exclusion when developing disomic markers. In this study, we attempted to produce two types of pallid sturgeon gynogens: a) haploid gynogens produced from the activation of pallid sturgeon eggs with ultraviolet-irradiated sperm from the distantly related paddlefish (Polyodon spathula), and b) doubled haploids produced from the activation of pallid sturgeon eggs with irradiated paddlefish milt followed by thermal shock to suppress the first mitotic division. Production of doubled haploids, gynogens with 100% homozygous DNA and double the genome content of haploid gynogens, was pursued because it was originally unknown if haploid gyongens would survive long enough to attain enough genetic material for SNP marker development. We performed flow cytometry and microsatellite genotyping on the specimens in order to confirm haploid and doubled haploid status. Our study was unable to successfully yield doubled haploids; however, we successfully produced haploid gynogens that contained enough nuclear DNA for our future SNP marker development study. Interestingly, this study also produced paddlefish × pallid sturgeon hybrids in the control groups in two separate years; this is the first study to report viable offspring between the paddlefish and a Scaphirhynchus sturgeon species and reflects on the malleability of the genomes of the species in this order.

Louisiana, Arkansas, Missouri, Nebraska, North Dak↗

An overview of raptor conservation in Latin America

Prior to the last decade, biological studies of raptorial birds in Latin America were almost nonexistent. For many species little more was known than their general range and habitat type. The last few years have seen the opening of a door to what will surely be a flood of scientific investigations. Ultimately, the survival of raptor communities in Latin America depends not only on research but also on several other equally significant conservation efforts. These typically appear in the following order: first, appropriate legislation must be enacted and enforced to provide legal protection; second, the public must be educated concerning the value of wildlife; third, substantial blocks of favourable habitat must be identified and preserved; fourth, economic incentives must be generated so that the local human populations actually benefit from the preservation of vulnerable wildlife and natural habitats; and finally, the long-term success of all of these efforts in each nation depends on the attainment of political, economic and social stability.

Birds of Prey Bulletin↗

Sea otters in the northern Pacific Ocean

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

Book chapter↗

Landscape determinants of nonindigenous fish invasions

Much has been written about the influence of exotic or nonindigenous species on natural habitats and communities of organisms, but little is known of the physical or biological conditions that lead to successful invasion of native habitats and communities by exotics. We studied invasivity factors in headwater streams of the Susquehanna River West Branch, which drains portions of the northern Appalachian Plateau. A replicated (two major tributaries) 3 × 3 factorial design was used to determine landscape effects of size (stream order) and quality (land use) on abiotic (physical and chemical) and biotic (fish community structure and function) stream attributes. Seven (21%) of thirty-four fish species (brown trout, common carp, mimic shiner, bluegill, smallmouth bass, fantail darter, and banded darter) collected in the eighteen streams sampled were nonindigenous to the basin. Watershed size (stream orders 1, 3, and 5) significantly affected stream geomorphologic and habitat variables (gradient, width, depth, current velocity, diel water temperature, bank overhang, canopy cover, and woody debris density) but not water-quality variables, while land use in watersheds (conservation, mining, and agriculture) significantly affected measured water-quality variables (alkalinity and concentrations of manganese, calcium, chloride, nitrate, and total dissolved solids) but not stream physical or habitat quality. Both watershed size and land use affected fish-community variables such as presence of particular species, species density, species diversity, tolerance diversity, and mean fish size, but in both cases the effect was transparent to native-origin status of fish species. No relationships were found between occurrence of nonindigenous species in watersheds and trophic structure or functional diversity. Therefore, the hypothesis that reduced species diversity increases vulnerability to nonindigenous species was not supported. However, the spatial variation associated with both water-quality and habitat-quality factors was greater in streams with mixed (those with nonindigenous species) than with exclusively native assemblages. These findings suggest that the mechanism for successful invasion by nonindigenous or exotic species is through change in water or habitat quality associated with human or natural disturbances, such as agriculture and mining activities in watersheds. Biotic factors appear to play no or a lesser role in the invasibility of northern Appalachian lotic systems.

Biological Invasions↗

Flood control problems

Throughout the world, alluvial soils are among the most fertile and easiest cultivated. Alluvial valleys are routes for transportation either by water or by road and railroad. Rivers are sources of water, a necessity of life. But these river valleys and alluvial deposits, which have so many desirable characteristics and which have increased so greatly in population, are periodically occupied by the river in performing its task of removing the excess of precipitation from the land area and carrying away the products of erosion. How a river behaves and how the river flood plain appears depend on the relationships between water and sediment combined with the existing topography. Thus rivers and their alluvial deposits provide an endless variety of forms which are shaped, to a large extent, by the river flow during periods of rapid removal of debris and of excessive rainfall. The mechanics of river formation are such, however, that the highest discharges are not contained within a limited channel. How much water a channel will carry depends upon the frequency of occurrence of a flow. Low flows, which occur very frequently, are not important in channel formation. Neither are the infrequent discharges of very great magnitude which, although powerful, do not occur often enough to shape the channel. Channel characteristics, are dependent on those discharges of moderate size which combine power with frequency of occurrence to modify the channel from. In the highest discharges of a stream, water rises above the confines of its banks and flows over the flood plain. It must be considered, therefore, that floods are natural phenomena which are characteristic of all rivers. They perform a vital function in the maintenance of river forms and out of bank flow may be expected with a reasonable degree of regularity.

Journal of Soil and Water Conservation in India↗

Black bears alter movements in response to anthropogenic features with time of day and season

Background With the growth and expansion of human development, large mammals will increasingly encounter humans, elevating the likelihood of human-wildlife conflicts. Understanding the behavior and movement of large mammals, particularly around human development, is important for crafting effective conservation and management plans for these species. Methods We used GPS collar data from American black bears ( Ursus americanus ) to determine how seasonal food resources and human development affected bear movement patterns and resource use across the Commonwealth of Massachusetts. Results We found that though bears moved more and avoided human development during crepuscular and daylight hours than at night, bears preferentially moved through human dominated areas at night. This indicates bears were mitigating the risk of human development by altering their behavior to exploit these areas when human activity is low. This behavioral shift was most prominent in the spring, when natural foods are scarce, and fall, when energetic demands are high. We also observed a high degree of inter-individual variability among our sample of bears. Bears with a higher density of houses in their home ranges (~ 75 houses/km2) displayed less avoidance of human development than more rural bears. Furthermore, bear movement models had different explanatory variables, with preference or avoidance of a variable being dependent on the individual bear. To account for this individuality in our predictive surfaces, we projected the probability of movement for each season and time of day using a spatially weighted surface centered on each bear’s home range. Conclusions We found that black bears in Massachusetts are operating in a landscape of fear and are altering their movement patterns to use developed areas when human activity is low. We also found seasonal and diel differences among individual bears in resource selection during movement. Accounting for these individual, seasonal, and diel differences when assessing movement for large mammals is especially important if predictive surfaces are to be used in identifying areas for conservation and management.

Movement Ecology↗

A comparison of plant communities in restored, old field, and remnant coastal prairies

Temperate grasslands are experiencing worldwide declines due to habitat conversion. Grassland restoration efforts are employed to compensate for these losses. However, there is a need to better understand the ecological effects of grassland restoration and management practices. We investigated the effects of three different grassland management regimes on plant communities of coastal prairie ecosystems in southwest Louisiana (USA). We compared old fields, prairie remnants, and restored prairies. Coastal prairies are a unique type of grassland historically present across southeast Texas and southwest Louisiana. Old fields represent former coastal prairie habitats allowed to revegetate naturally without active management. Remnant coastal prairies are small, isolated patches of comparatively intact prairie. Restored coastal prairies have been actively restored by planting native coastal prairie vegetation and managed with prescribed burning, mowing, and/or removal of invasive non‐native species. Our work was conducted in 3 old fields, 4 remnants, and 4 restored prairies. Old fields were dominated by non‐native species with low conservation value, whereas remnant prairies were dominated by native species with high conservation value. Remnants had a mean species richness of 75 species per site, which is higher than most other tallgrass prairie ecosystems in North America. Restored sites were dominated by native species with high conservation value, although the composition differed between restored and remnant sites. Collectively, our results: (1) reinforce the importance of identifying and preserving remnant coastal prairies; and (2) show that restoration of degraded coastal prairies is a viable strategy for supporting the persistence of these unique grassland ecosystems.

Louisiana↗