USGS Science⌕ Search

SEARCH · USGS Science

Results for “Complexity”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 1,657 records · Page 92Linked to original sources

Elemental, isotopic, and geochronological variability in Mogollon-Datil volcanic province archaeological obsidian, southwestern USA: Solving issues of intersource discrimination

Solving issues of intersource discrimination in archaeological obsidian is a recurring problem in geoarchaeological investigation, particularly since the number of known sources of archaeological obsidian worldwide has grown nearly exponentially in the last few decades, and the complexity of archaeological questions asked has grown equally so. These two parallel aspects of archaeological investigation have required more exacting understanding of the geological relationship between sources and the more accurate analysis of these sources of archaeological obsidian. This is particularly the case in the North American Southwest where the frequency of archaeological investigation is some of the highest in the world, and the theory and method used to interpret that record has become increasingly nuanced. Here, we attempt to unravel the elemental similarity of archaeological obsidian in the Mogollon-Datil volcanic province of southwestern New Mexico where some of the most important and extensively distributed sources are located and the elemental similarity between the sources is great even though the distance between the sources is large. Uniting elemental, isotopic, and geochronological analyses as an intensive pilot study, we unpack this complexity to provide greater understanding of these important sources of archaeological obsidian.

New Mexico↗

Evaluating the importance of characterizing soil structure and horizons in parameterizing a hydrologic process model

Incorporating the influence of soil structure and horizons into parameterizations of distributed surface water/groundwater models remains a challenge. Often, only a single soil unit is employed, and soil-hydraulic properties are assigned based on textural classification, without evaluating the potential impact of these simplifications. This study uses a distributed physics-based model to assess the influence of soil horizons and structure on effective parameterization. This paper tests the viability of two established and widely used hydrogeologic methods for simulating runoff and variably saturated flow through layered soils: (1) accounting for vertical heterogeneity by combining hydrostratigraphic units with contrasting hydraulic properties into homogeneous, anisotropic units and (2) use of established pedotransfer functions based on soil texture alone to estimate water retention and conductivity, without accounting for the influence of pedon structures and hysteresis. The viability of this latter method for capturing the seasonal transition from runoff-dominated to evapotranspiration-dominated regimes is also tested here. For cases tested here, event-based simulations using simplified vertical heterogeneity did not capture the state-dependent anisotropy and complex combinations of runoff generation mechanisms resulting from permeability contrasts in layered hillslopes with complex topography. Continuous simulations using pedotransfer functions that do not account for the influence of soil structure and hysteresis generally over-predicted runoff, leading to propagation of substantial water balance errors. Analysis suggests that identifying a dominant hydropedological unit provides the most acceptable simplification of subsurface layering and that modified pedotransfer functions with steeper soil-water retention curves might adequately capture the influence of soil structure and hysteresis on hydrologic response in headwater catchments.

Hydrological Processes↗

Hillslope groundwater discharges provide localized ecosystem buffers from regional PFAS contamination in a gaining coastal stream

Emerging groundwater contaminants such as per- and polyfluoroalkyl substances (PFAS) may impact surface-water quality and groundwater-dependent ecosystems of gaining streams. Although complex near-surface hydrogeology of stream corridors challenges sampling efforts, recent advances in heat tracing of discharge zones enable efficient and informed data collection. For this study we used a combination of streambed temperature push-probe and thermal infrared methods to guide a discharge-zone-oriented sample collection along approximately 6 km of a coastal trout stream on Cape Cod, MA where groundwater discharge constitutes approximately 95% of total streamflow. Eight surface-water locations and discharging groundwater from 24 streambed and bank seepages were analyzed for dissolved oxygen, specific conductance, stable water isotopes, and a range of PFAS compounds which are contaminants of emerging concern in aquatic environments. The results indicate a complex system of groundwater discharge source flowpaths, where the sum of concentrations of six PFAS compounds (Environmental Protection Agency third Unregulated Contaminant Monitoring Rule UCMR 3) showed a median concentration of 52 331 (SD) ng/L with two higher outliers and three discharges with non-detection of PFAS. Higher UCMR 3 PFAS concentration was related -0.66 (Spearman Rank, p<0.001) to discharging groundwater that showed an evaporative signature (deuterium excess), indicating flow through at least one upgradient kettle lake. Therefore, more regional groundwater flowpaths originating from outside the local river corridor tended to show higher PFAS concentrations as evaluated at their respective discharge zones. Conversely, UCMR 3 PFAS concentrations were typically low at discharges that did not indicate evaporation and were adjacent to steep hillslopes and, therefore, were classified as locally recharged groundwater. Previous research at this stream found that the native brook trout favor discharge points of groundwater recharged on local hillslopes for spawning, likely in response to generally higher levels of dissolved oxygen compared to discharge zones located further away from hillslopes. Our study shows that the trout may thereby be avoiding emerging contaminants such as PFAS in groundwater recharged farther from the stream.

Massachusetts↗

A review of models and micrometeorological methods used to estimate wetland evapotranspiration

Within the past decade or so, the accuracy of evapotranspiration (ET) estimates has improved due to new and increasingly sophisticated methods. Yet despite a plethora of choices concerning methods, estimation of wetland ET remains insufficiently characterized due to the complexity of surface characteristics and the diversity of wetland types. In this review, we present models and micrometeorological methods that have been used to estimate wetland ET and discuss their suitability for particular wetland types. Hydrological, soil monitoring and lysimetric methods to determine ET are not discussed. Our review shows that, due to the variability and complexity of wetlands, there is no single approach that is the best for estimating wetland ET. Furthermore, there is no single foolproof method to obtain an accurate, independent measure of wetland ET. Because all of the methods reviewed, with the exception of eddy covariance and LIDAR, require measurements of net radiation (Rn) and soil heat flux (G), highly accurate measurements of these energy components are key to improving measurements of wetland ET. Many of the major methods used to determine ET can be applied successfully to wetlands of uniform vegetation and adequate fetch, however, certain caveats apply. For example, with accurate Rn and G data and small Bowen ratio (??) values, the Bowen ratio energy balance method can give accurate estimates of wetland ET. However, large errors in latent heat flux density can occur near sunrise and sunset when the Bowen ratio ?? ??? - 1??0. The eddy covariance method provides a direct measurement of latent heat flux density (??E) and sensible heat flux density (II), yet this method requires considerable expertise and expensive instrumentation to implement. A clear advantage of using the eddy covariance method is that ??E can be compared with Rn-G H, thereby allowing for an independent test of accuracy. The surface renewal method is inexpensive to replicate and, therefore, shows particular promise for characterizing variability in ET as a result of spatial heterogeneity. LIDAR is another method that has special utility in a heterogeneous wetland environment, because it provides an integrated value for ET from a surface. The main drawback of LIDAR is the high cost of equipment and the need for an independent ET measure to assess accuracy. If Rn and G are measured accurately, the Priestley-Taylor equation can be used successfully with site-specific calibration factors to estimate wetland ET. The 'crop' cover coefficient (Kc) method can provide accurate wetland ET estimates if calibrated for the environmental and climatic characteristics of a particular area. More complicated equations such as the Penman and Penman-Monteith equations also can be used to estimate wetland ET, but surface variability and lack of information on aerodynamic and surface resistances make use of such equations somewhat questionable. ?? 2004 John Wiley and Sons, Ltd.

Hydrological Processes↗

Assessing flood water infiltration and storage in a restored floodplain

In urban areas, floodplain restoration is gaining prominence as a strategy for restoring the natural functions of floodplain ecosystems and reducing flood risk. This has spurred research into potential interactions between floodwaters, the hyporheic zone, and the floodplain aquifer. An urban restored stream in Wisconsin, USA, was used as a case study to examine four methods to estimate floodplain infiltration and storage during overbank floods. We characterised flood-related infiltration over a 4-year period from 2018 through 2021 by simultaneously and continuously measuring groundwater levels and vertical temperature profiles with stream water levels linked to high-resolution flood inundation maps. High-resolution topographic data helped to quantify surface floodplain storage and the unsaturated soil volume relative to flood stage. Infiltration estimates from the simple methods align well with those from the more complex methods; however, the complex methods provide additional insights about the factors influencing infiltration. Results from all methods indicate that the volume of water that vertically infiltrates during floods is likely small relative to the total volume of the flood, with 0.08%–0.52% of flood water infiltrating into the floodplain, on average. Spatially variable vertical hydraulic gradients, driven by flood depth, groundwater level, and permeability, imply heterogeneous patterns of infiltration across the floodplain. Gradients favourable for infiltration typically occurred during the onset of flooding but, over the study period, were mostly (98% of the time) favourable for groundwater discharge to the channel (non-flood periods). These findings highlight the importance of considering surface-groundwater dynamics, floodplain soils, and unsaturated floodplain volume in defining the benefits of floodplain infiltration for flood attenuation.

Wisconsin↗

Surface-water and groundwater interactions in an extensively mined watershed, upper Schuylkill River, Pennsylvania, USA

Streams crossing underground coal mines may lose flow, while abandoned mine drainage (AMD) restores flow downstream. During 2005-12, discharge from the Pine Knot Mine Tunnel, the largest AMD source in the upper Schuylkill River Basin, had near-neutral pH and elevated concentrations of iron, manganese, and sulfate. Discharge from the tunnel responded rapidly to recharge but exhibited a prolonged recession compared to nearby streams, consistent with rapid infiltration and slow release of groundwater from the mine. Downstream of the AMD, dissolved iron was attenuated by oxidation and precipitation while dissolved CO 2 degassed and pH increased. During high-flow conditions, the AMD and downstream waters exhibited decreased pH, iron, and sulfate with increased acidity that were modeled by mixing net-alkaline AMD with recharge or runoff having low ionic strength and low pH. Attenuation of dissolved iron within the river was least effective during high-flow conditions because of decreased transport time coupled with inhibitory effects of low pH on oxidation kinetics. A numerical model of groundwater flow was calibrated using groundwater levels in the Pine Knot Mine and discharge data for the Pine Knot Mine Tunnel and the West Branch Schuylkill River during a snowmelt event in January 2012. Although the calibrated model indicated substantial recharge to the mine complex took place away from streams, simulation of rapid changes in mine pool level and tunnel discharge during a high flow event in May 2012 required a source of direct recharge to the Pine Knot Mine. Such recharge produced small changes in mine pool level and rapid changes in tunnel flow rate because of extensive unsaturated storage capacity and high transmissivity within the mine complex. Thus, elimination of stream leakage could have a small effect on the annual discharge from the tunnel, but a large effect on peak discharge and associated water quality in streams.

Pennsylvania↗

A novel approach to assessing natural resource injury with Bayesian networks

Quantifying the effects of environmental stressors on natural resources is problematic because of complex interactions among environmental factors that influence endpoints of interest. This complexity, coupled with data limitations, propagates uncertainty that can make it difficult to causally associate specific environmental stressors with injury endpoints. The Natural Resource Damage Assessment and Restoration (NRDAR) regulations under the Comprehensive Environmental Response, Compensation, and Liability Act and Oil Pollution Act aim to restore natural resources injured by oil spills and hazardous substances released into the environment; exploration of alternative statistical methods to evaluate effects could help address NRDAR legal claims. Bayesian networks (BNs) are statistical tools that can be used to estimate the influence and interrelatedness of abiotic and biotic environmental variables on environmental endpoints of interest. We investigated the application of a BN for injury assessment using a hypothetical case study by simulating data of acid mine drainage (AMD) affecting a fictional stream-dwelling bird species. We compared the BN-generated probability estimates for injury with a more traditional approach using toxicity thresholds for water and sediment chemistry. Bayesian networks offered several distinct advantages over traditional approaches, including formalizing the use of expert knowledge, probabilistic estimates of injury using intermediate direct and indirect effects, and the incorporation of a more nuanced and ecologically relevant representation of effects. Given the potential that BNs have for natural resource injury assessment, more research and field-based application are needed to determine their efficacy in NRDAR. We expect the resulting methods will be of interest to many US federal, state, and tribal programs devoted to the evaluation, mitigation, remediation, and/or restoration of natural resources injured by releases or spills of contaminants

Integrated Environmental Assessment and Management↗

Selection of nest-site habitat by interior least terns in relation to sandbar construction

Federally endangered interior least terns ( Sternula antillarum ) nest on bare or sparsely vegetated sandbars on midcontinent river systems. Loss of nesting habitat has been implicated as a cause of population declines, and managing these habitats is a major initiative in population recovery. One such initiative involves construction of mid-channel sandbars on the Missouri River, where natural sandbar habitat has declined in quantity and quality since the late 1990s. We evaluated nest-site habitat selection by least terns on constructed and natural sandbars by comparing vegetation, substrate, and debris variables at nest sites ( n = 798) and random points ( n = 1,113) in bare or sparsely vegetated habitats. Our logistic regression models revealed that a broader suite of habitat features was important in nest-site selection on constructed than on natural sandbars. Odds ratios for habitat variables indicated that avoidance of habitat features was the dominant nest-site selection process on both sandbar types, with nesting terns being attracted to nest-site habitat features (gravel and debris) and avoiding vegetation only on constructed sandbars, and avoiding silt and leaf litter on both sandbar types. Despite the seemingly uniform nature of these habitats, our results suggest that a complex suite of habitat features influences nest-site choice by least terns. However, nest-site selection in this social, colonially nesting species may be influenced by other factors, including spatial arrangement of bare sand habitat, proximity to other least terns, and prior habitat occupancy by piping plovers ( Charadrius melodus ). We found that nest-site selection was sensitive to subtle variation in habitat features, suggesting that rigor in maintaining habitat condition will be necessary in managing sandbars for the benefit of least terns. Further, management strategies that reduce habitat features that are avoided by least terns may be the most beneficial to nesting least terns.

Missouri River↗

A matter of tradeoffs: reintroduction as a multiple objective decision

Decision making in guidance of reintroduction efforts is made challenging by the substantial scientific uncertainty typically involved. However, a less recognized challenge is that the management objectives are often numerous and complex. Decision makers managing reintroduction efforts are often concerned with more than just how to maximize the probability of reintroduction success from a population perspective. Decision makers are also weighing other concerns such as budget limitations, public support and/or opposition, impacts on the ecosystem, and the need to consider not just a single reintroduction effort, but conservation of the entire species. Multiple objective decision analysis is a powerful tool for formal analysis of such complex decisions. We demonstrate the use of multiple objective decision analysis in the case of the Florida non-migratory whooping crane reintroduction effort. In this case, the State of Florida was considering whether to resume releases of captive-reared crane chicks into the non-migratory whooping crane population in that state. Management objectives under consideration included maximizing the probability of successful population establishment, minimizing costs, maximizing public relations benefits, maximizing the number of birds available for alternative reintroduction efforts, and maximizing learning about the demographic patterns of reintroduced whooping cranes. The State of Florida engaged in a collaborative process with their management partners, first, to evaluate and characterize important uncertainties about system behavior, and next, to formally evaluate the tradeoffs between objectives using the Simple Multi-Attribute Rating Technique (SMART). The recommendation resulting from this process, to continue releases of cranes at a moderate intensity, was adopted by the State of Florida in late 2008. Although continued releases did not receive support from the International Whooping Crane Recovery Team, this approach does provide a template for the formal, transparent consideration of multiple, potentially competing, objectives in reintroduction decision making.

Journal of Wildlife Management↗

Decision analysis for conservation breeding: Maximizing production for reintroduction of whooping cranes

Captive breeding is key to management of severely endangered species, but maximizing captive production can be challenging because of poor knowledge of species breeding biology and the complexity of evaluating different management options. In the face of uncertainty and complexity, decision-analytic approaches can be used to identify optimal management options for maximizing captive production. Building decision-analytic models requires iterations of model conception, data analysis, model building and evaluation, identification of remaining uncertainty, further research and monitoring to reduce uncertainty, and integration of new data into the model. We initiated such a process to maximize captive production of the whooping crane ( Grus americana ), the world's most endangered crane, which is managed through captive breeding and reintroduction. We collected 15 years of captive breeding data from 3 institutions and used Bayesian analysis and model selection to identify predictors of whooping crane hatching success. The strongest predictor, and that with clear management relevance, was incubation environment. The incubation period of whooping crane eggs is split across two environments: crane nests and artificial incubators. Although artificial incubators are useful for allowing breeding pairs to produce multiple clutches, our results indicate that crane incubation is most effective at promoting hatching success. Hatching probability increased the longer an egg spent in a crane nest, from 40% hatching probability for eggs receiving 1 day of crane incubation to 95% for those receiving 30 days (time incubated in each environment varied independently of total incubation period). Because birds will lay fewer eggs when they are incubating longer, a tradeoff exists between the number of clutches produced and egg hatching probability. We developed a decision-analytic model that estimated 16 to be the optimal number of days of crane incubation needed to maximize the number of offspring produced. These results show that using decision-analytic tools to account for uncertainty in captive breeding can improve the rate at which such programs contribute to wildlife reintroductions.

Journal of Wildlife Management↗

Assessing angler effort, catch, and harvest and the efficacy of a use-estimation system on a multi-lake fishery in middle Georgia

Creel surveys are valuable tools in recreational fisheries management. However, multiple‐impoundment fisheries of complex spatial structure can complicate survey designs and pose logistical challenges for management agencies. Marben Public Fishing Area in Mansfield, GA is a multi‐impoundment fishery with many access points, and these features prevent or complicate use of traditional on‐site contact methods such as standard roving‐ or access‐point designs because many anglers may be missed during the survey process. Therefore, adaptation of a traditional survey method is often required for sampling this special case of multi‐lake fisheries to develop an accurate fishery profile. Accordingly, a modified non‐uniform probability roving creel survey was conducted at the Marben PFA during 2013 to estimate fishery characteristics relating to fishing effort, catch, and fish harvest. Monthly fishing effort averaged 7,523 angler‐hours (h) (SD = 5,956) and ranged from 1,301 h (SD = 562) in December to 21,856 h (SD = 5909) in May. A generalized linear mixed model was used to determine that angler catch and harvest rates were significantly higher in the spring and summer (all p < 0.05) than in the other seasons, but did not vary by fishing location. Our results demonstrate the utility of modifying existing creel methodology for monitoring small, spatially complex, intensely managed impoundments that support quality recreational fisheries and provide a template for the assessment and management of similar regional fisheries.

Georgia↗

Submergence responses of cool-season annual plants and potential for fish habitat

Unnatural water regimes of flood control reservoirs limit vegetation establishment in littoral zones and produce mudflats with low structural complexity insufficient for many juvenile fishes. One strategy to enhance habitat on mudflats is to sow cool-season plants to provide submerged structure when inundated. However, how long the structure of these plants persists following inundation has not been evaluated. To investigate the species-specific responses of cool-season plants to inundation, we submerged six cool-season plant species in outdoor flow-through tanks and monitored maximum height and density of plant structures over time. Time-to-event analyses and generalized linear models were used to characterize differences in structural persistence between species over time. Plantings degraded rapidly if inundated before plant maturity. However, mature plants of Marshall Ryegrass Lolium multiflorum and Triticale Triticosecale provided dense structure for periods long enough to provide refuge for juvenile fish. As Ryegrass degraded, stem density decreased producing wide gaps relative to Triticale which remained dense and complex. Differences in plant architecture may influence the quality of habitat and which fish species and age class utilize each planting. Our results indicate that cool-season grasses planted in mudflats can persist after inundation long enough to enhance seasonal fish habitat and differences in plant structural characteristics may allow managers more flexibility to target desirable fish species.

North American Journal of Fisheries Management↗

Influence of channel morphology and flow regime on larval drift of pallid sturgeon in the Lower Missouri River

The transition from drifting free embryo to exogenously feeding larvae has been identified as a potential life-stage bottleneck for the endangered Missouri River pallid sturgeon. Previous studies have indicated that river regulation and fragmentation may contribute to the mortality of larval pallid sturgeon by reducing the extent of free-flowing river available to free embryos to complete ontogenetic development. Calculations of total drift distance based on mean velocity, however, do not address the potential for complex channels and flow patterns to increase retention or longitudinal dispersion of free embryos. We use a one-dimensional advection&ndash;dispersion model to estimate total drift distance and employ the longitudinal dispersion coefficient as a metric to quantify the tendency towards dispersion or retention of passively drifting larvae. We describe the effects of different styles of channel morphology on larval dispersion and consider the implications of flow regime modifications on retention of free embryos within the Lower Missouri River. The results illustrate the complex interactions of local morphology, engineered structures, and hydraulics that determine patterns of dispersion in riverine environments and inform how changes to channel morphology and flow regime may alter dispersion of drifting organisms.

River Research and Applications↗

Riverine turtles select habitats maintained by natural discharge regimes in an unimpounded large river

Turtle populations are imperiled worldwide, but limited ecological information from unaltered systems hampers science‐based management and conservation of some species, especially riverine turtles such as the spiny softshell ( Apalone spinifera ). We therefore investigated movements and spatial habitat selection of 54 A . spinifera in 633 river kilometres (rkm) of the least‐altered river in the conterminous United States—the Yellowstone River in Montana—from 2005 to 2009. Movement rates and home ranges were smaller than in fragmented, altered river systems because nesting and overwintering habitats were common and in close proximity. Habitat selection also differed. A . spinifera in the Yellowstone River overwintered in unaltered bluff pools and summered in complex reaches with side channels, islands, and diverse habitats. However, those in the highly altered Missouri River used deep alluvial pools for overwintering and flooded, inundated, or backwatered tributary mouths in spring and summer. Importantly, selected habitats in both rivers were functionally similar, including complex river reaches (with multiple channels, islands, and diverse habitats) and natural pool types. Unfortunately, these are the very habitats that are limited in rivers affected by dams, bank stabilization, and channelization. Therefore, preservation of natural and diverse riverine habitats—and the fluvial dynamics that maintain them—may enhance conservation of A . spinifera in large rivers.

Montana, North Dakota, South Dakota, Wyoming↗

Associations between riparian plant morphological guilds and fluvial sediment dynamics along the regulated Colorado River in Grand Canyon

Effects of riparian vegetation on fluvial sediment dynamics depend on morphological traits of the constituent species. Determining the effects of different morphological guilds on sedimentation rates, as influenced by multiple aspects of dam operations, can help identify viable strategies for streamflow and vegetation management to achieve riparian resource goals. Plants of increasing size and branching density or complexity have been found to have greater effects on sedimentation in free‐flowing systems; however, this relationship could differ in regulated rivers. We tested the hypothesis that plant guilds of increasing height and branching complexity would be positively associated with sedimentation rates on 23 sandbars deposited in zones of recirculating flow (eddies) along the Colorado River in Grand Canyon. We used an image‐based vegetation classification and digital elevation models from annual topographic surveys to track associations between six plant morphological guilds and topographic change over 5 years. Vegetation had significant associations with deposition after accounting for geomorphic setting, but the ordinal guild scale was not positively correlated with deposition magnitude. Instead, low‐statured rhizomatous and herbaceous guilds were particularly effective at capturing sediment in the separation zone of sandbars, whereas tall herbs and large shrubs were most effective at capturing sediment in reattachment zones. These nuanced interactions between geomorphic position and morphological guild may be a direct consequence of flow regulation through modifications to physical deposition and erosion processes. Flow regulation may also select for a narrow subset of morphological guilds, reducing the diversity of vegetation feedbacks on sedimentation and emphasizing geomorphic drivers.

Arizona↗

Quantifying and mapping inundation regimes within a large river‐floodplain ecosystem for ecological and management applications

Spatial information on the distribution of ecosystem patterns and processes can be a critical component of designing and implementing effective management programs in river‐floodplain ecosystems. For example, translating how flood pulses detected within a stream gauge record are spatially manifested across a river‐valley bottom can be used to evaluate whether the current distribution of physical conditions has the potential to support priority habitats or if intervention is needed to meet desired goals. The size and complexity of large river‐floodplain systems can make mapping inundation dynamics a challenging task. We used a geospatial model to simulate 40 years (1972–2011) of daily surface‐water inundation depths for 11,331 km 2 of the Upper Mississippi River System floodplain. We identified discrete inundation events at each 4‐m × 4‐m pixel in the model as sequential days of submergence. We then quantified and mapped four aspects of inundation regime – event frequency, duration, magnitude, and timing – for each pixel. The spatial distribution of inundation regime attributes varied within and among multiple levels of river organization, including navigation pools and geomorphic reaches, but only event timing exhibited a strong down‐river trend. Non‐linear relations among inundation attributes and their geospatial distributions likely reflect complex interactions among topographic, hydrologic, and anthropogenic constraints on flooding dynamics. Together, our results reveal spatial gradients in inundation dynamics not captured by hydrologic data alone. Characterizing such diversity in inundation dynamics is important for testing hypotheses about ecological processes, developing models of ecosystem functions, and informing management actions.

Illinois, Indiana, Iowa, Minnesota, Missouri, Wisc↗

Rivers are social–ecological systems: Time to integrate human dimensions into riverscape ecology and management

Incorporation of concepts from landscape ecology into understanding and managing riverine ecosystems has become widely known as riverscape ecology. Riverscape ecology emphasizes interactions among processes at different scales and their consequences for valued ecosystem components, such as riverine fishes. Past studies have focused strongly on understanding the ecological processes in riverscapes and how human actions modify those processes. It is increasingly clear, however, that an understanding of the drivers behind actions that lead to human modification also merit consideration, especially regarding how those drivers influence management efficacy. These indirect drivers of riverscape outcomes can be understood in the context of a diverse array of social processes, which we collectively refer to as human dimensions. Like ecological phenomena, social processes also exhibit complex interactions across spatiotemporal scales. Greater emphasis on feedbacks between social and ecological processes will lead scientists and managers to more completely understand riverscapes as complex, dynamic, interacting social–ecological systems. Emerging applications in riverscapes, as well as studies of other ecosystems, provide examples that can lead to stronger integration of social and ecological science. We argue that conservation successes within riverscapes may not come from better ecological science, improved ecosystem service analyses, or even economic incentives if the fundamental drivers of human behaviors are not understood and addressed in conservation planning and implementation.

WIREs Water↗

Grasshopper sparrow reproductive success and habitat use on reclaimed surface mines varies by age of reclamation

We studied 3 mountaintop mining&ndash;valley fill (MTMVF) complexes in southern West Virginia, USA to examine grasshopper sparrow ( Ammodramus savannarum pratensis ) demographic response to different age classes of mine land reclamation. For 71 nests monitored during the 2001&ndash;2002 breeding seasons, overall nest success (36%) was within the range of nest success rates previously reported for this species, but it was highest on more recently reclaimed sites (56%). Nest density and clutch size did not differ ( P &thinsp;>&thinsp;0.30) among reclamation age classes, whereas number of fledglings was greater ( P&thinsp; =&thinsp;0.01) on more recently reclaimed sites. We measured vegetation variables at 70 nest subplots and at 96 systematic subplots to compare nest vegetation with vegetation available on the plots. We found that nests occurred in areas with more bare ground near the nest, greater vegetation height&ndash;density surrounding the nest site, lower grass height, and fewer woody stems, similar to previous studies. As postreclamation age increased, vegetation height&ndash;density and maximum grass height increased, and sericea ( Lespedeza cuneata ) became more dominant. Nest success declined with increasing vegetation height&ndash;density at the nest. The grasslands available on these reclaimed mine complexes are of sufficient quality to support breeding populations of grasshopper sparrows, but nest success decreased on the older reclaimed areas. Without active management, grasslands on reclaimed MTMVF mines become less suitable for nesting grasshopper sparrows about 10 years after reclamation.

West Virginia↗