USGS Science⌕ Search

SEARCH · USGS Science

Results for “Environmental Conservation”

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 1,747 records · Page 97Linked to original sources

Movement beyond the mean: decoupling sources of individual variation in brook trout movement across seasons

Movement is an important eco-evolutionary process that can shape population and ecosystem structure and function. Accordingly, a firm understanding of species movement ecology is often foundational to effective management and conservation. However, despite movement being an inherently individual-level behavior, there remains a tendency to describe dispersal and migration patterns using simple population-level processes and effects. Overlooking within- and among-individual variation in movement risks incomplete understanding of the intrinsic and extrinsic factors that govern dispersal dynamics and could potentially result in inadequate management of critical behavioral phenotypes. In this study, we monitored movement of over 100 brook trout ( Salvelinus fontinalis ) and quantified the effect of individual-level traits, season, and their interactions to better understand factors that influence vagility. Our results suggest that movement was higher in fall than in summer, particularly for fish in poor condition. But we found no significant main effects for sex, providing no evidence for sex-biased dispersal. To better understand sources of individual variation, we also allowed for sex- and season-specific residual standard deviations. In doing so, we found that, on average, movement was more variable in fall compared to summer, and that females were more variable than males in vagility. Taken together, these results demonstrate how intrinsic, individual-level traits can interact with abiotic environmental conditions to determine movement. They also highlight the potential for simple explanations of movement ecology to overlook important traits that may help predict individual-level behaviors.

Pennsylvania↗

Factors associated with succession of abandoned agricultural lands along the Lower Missouri River, U.S.A

The 1993 flood of the Missouri River led to the abandonment of agriculture on considerable land in the floodplain. This abandonment led to a restoration opportunity for the U.S. Federal Government, purchasing those lands being sold by farmers. Restoration of this floodplain is complicated, however, by an imperfect understanding of its past environmental and vegetative conditions. We examined environmental conditions associated with the current placement of young forests and wet prairies as a guide to the potential successional trajectory for abandoned agricultural land subject to flooding. We used Bayesian mixed-effects logistic regression to examine the effects of flood frequency, soil drainage, distance from the main channel, and elevation on whether a site was in wet prairie or in forest. Study site was included as a random effect, controlling for site-specific differences not measured in our study. We found, after controlling for the effect of site, that early-successional forest sites were closer to the river and at a lower elevation but occurred on drier soils than wet prairie. In a regulated river such as the lower Missouri River, wet prairie sites are relatively isolated from the main channel compared to early-successional forest, despite occurring on relatively moister soils. The modeled results from this study may be used to predict the potential successional fate of the acquired agricultural lands, and along with information on wildlife assemblages associated with wet prairie and forest can be used to predict potential benefit of these acquisitions to wildlife conservation. ?? 2009 Society for Ecological Restoration International.

Restoration Ecology↗

Activity-specific ecological niche models for planning reintroductions of California condors (Gymnogyps californianus)

Ecological niche models can be a useful tool to identify candidate reintroduction sites for endangered species but have been infrequently used for this purpose. In this paper, we (1) develop activity-specific ecological niche models (nesting, roosting, and feeding) for the critically endangered California condor ( Gymnogyps californianus ) to aid in reintroduction planning in California, Oregon, and Washington, USA, (2) test the accuracy of these models using empirical data withheld from model development, and (3) integrate model results with information on condor movement ecology and biology to produce predictive maps of reintroduction site suitability. Our approach, which disentangles niche models into activity-specific components, has applications for other species where it is routinely assumed (often incorrectly) that individuals fulfill all requirements for life within a single environmental space. Ecological niche models conformed to our understanding of California condor ecology, had good predictive performance when tested with data withheld from model development, and aided in the identification of several candidate reintroduction areas outside of the current distribution of the species. Our results suggest there are large unoccupied regions of the California condor’s historical range that have retained ecological features similar to currently occupied habitats, and thus could be considered for future reintroduction efforts. Combining our activity-specific ENMs with ground reconnaissance and information on other threat factors that could not be directly incorporated into empirical ENMs will ultimately improve our ability to select successful reintroduction sites for the California condor.

California, Oregon, Washington↗

The 3D Elevation Program—Supporting Vermont's economy

Introduction The geographic information system (GIS) community in Vermont has a long history of interdisciplinary and cooperative projects that have facilitated the leveraging of geospatial technology on myriad data acquisitions across the State. High-resolution elevation data are proving to be a resource of great economic value in dealing with many important issues in Vermont. Vermont attained statewide coverage of quality level 2 coverage of topographic light detection and ranging (lidar) data in 2019. Having access to elevation data that are exponentially more accurate than what was previously available is enabling GIS professionals to better support and empower decision makers in economically important efforts such as environmental protection, public safety, watershed management and water quality, geology, transportation planning, forest and wildlife management, local planning, and flood plain management. In addition, developing a consistent and seamless statewide topographic framework supplants the traditionally time consuming and costly approach of extensive field data collection by requiring less time and money, therefore adding economic benefits. Critical applications that meet the State’s management needs depend on lidar data that provide a highly detailed three-dimensional (3D) model of the Earth’s surface and aboveground features. The 3D Elevation Program (3DEP) is managed by the U.S. Geological Survey (USGS) in partnership with Federal, State, Tribal, U.S. territorial, and local agencies to acquire consistent lidar coverage at quality level 2 or better to meet the many needs of the Nation and Vermont. The status of available and in-progress 3DEP baseline lidar data in Vermont is shown in figure 1. 3DEP baseline lidar data include quality level 2 or better, 1-meter or better digital elevation models, and lidar point clouds, and must meet the Lidar Base Specification version 1.2 ( https://www.usgs.gov/3dep/lidarspec ) or newer requirements. The National Enhanced Elevation Assessment identified user requirements and conservatively estimated that availability of lidar data would result in at least $1.64 million in new benefits annually to the State. The top eight Vermont business uses for 3D elevation data, which are based on the estimated annual conservative benefits of 3DEP, are shown in table 2.

Vermont↗

Impacts of neonicotinoid seed treatments on the wild bee community in agricultural field margins

Wild bees support global agroecosystems via pollination of agricultural crops and maintaining diverse plant communities. However, with an increased reliance on pesticides to enhance crop production, wild bee communities may inadvertently be affected through exposure to chemical residues. Laboratory and semi-field studies have demonstrated lethal and sublethal effects of neonicotinoids on limited genera (e.g., Apis , Bombus , Megachile ), yet full field studies evaluating impacts to wild bee communities remain limited. Here, we conducted a two-year field study to assess whether neonicotinoid seed treatment and presence in environmental media (e.g., soil, flowers) influenced bee nest and diet guild abundance and richness. In 2017 and 2018, we planted 23 Missouri agricultural fields to soybeans ( Glycine max) using one of three seed treatments: untreated (no insecticide), treated (imidacloprid), or previously-treated (untreated, but neonicotinoid use prior to 2017). During both years, wild bees were collected in study field margins monthly (May to September) in tandem with soil and flowers from fields and field margins that were analyzed for neonicotinoid residues. Insecticide presence in soils and flowers varied over the study with neonicotinoids infrequently detected in both years within margin flowers (0%), soybean flowers (<1%), margin soils (<8%), and field soils (~39%). Wild bee abundance and species richness were not significantly different among field treatments. In contrast, neonicotinoid presence in field soils was associated with significantly lower richness (ground- and aboveground-nesting, diet generalists) of wild bee guilds. Our findings support that soil remains an underexplored route of exposure and long-term persistence of neonicotinoids in field soils may lead to reduced diversity in regional bee communities. Future reduction or elimination of neonicotinoid seed treatment use on areas managed for wildlife may facilitate conservation goals to sustain viable, diverse wild bee populations.

Missouri↗

Compensatory recruitment unlikely in high-elevation amphibian populations challenged with disease

Understanding the causes of population variation in host response to disease, and the mechanisms of persistence, can serve as vital information for species conservation. One such mechanism of population persistence that has gained support is the demographic process of compensatory recruitment. Host populations may persist by increasing recruitment to compensate for reduced survival due to infection, thus limiting the negative effects of the disease on population trajectories. However, high-elevation populations are inherently vulnerable to stochastic processes and may be limited in their ability to exhibit compensatory recruitment relative to lower elevation populations. We use long-term mark–recapture data from five populations of boreal toads Anaxyrus boreas boreas , across an elevational gradient in Colorado, before and after pathogen arrival to assess whether populations can persist with Batrachochytrium dendrobatidis ( Bd ) via compensatory recruitment. Prior to pathogen arrival, we found a life-history trade-off between survival and recruitment across elevations, where high-elevation toads have high survival but lower recruitment and vice versa at lower elevations. Pathogen arrival had a strong negative effect on apparent annual survival and recruitment leading to negative population growth rates and dramatically reduced host abundances. The data did not support the occurrence of compensatory recruitment. Synthesis and applications . Our unique dataset indicates that demographic responses to pathogens may be environmentally (i.e. elevationally) context dependent and highlights the value of long-term monitoring. We recommend that practitioners verify that potential persistence mechanisms occur across multiple populations and relevant environmental gradients to counter any assumptions of the mechanism existing species-wide. Quantifying variation in population responses to disease will aid in understanding the bounds of such persistence mechanisms and identify particularly vulnerable populations where mechanisms are nonexistent.

Journal of Applied Ecology↗

Impacts of climate change on biodiversity, ecosystems, and ecosystem services: technical input to the 2013 National Climate Assessment

Ecosystems, and the biodiversity and services they support, are intrinsically dependent on climate. During the twentieth century, climate change has had documented impacts on ecological systems, and impacts are expected to increase as climate change continues and perhaps even accelerates. This technical input to the National Climate Assessment synthesizes our scientific understanding of the way climate change is affecting biodiversity, ecosystems, ecosystem services, and what strategies might be employed to decrease current and future risks. Building on past assessments of how climate change and other stressors are affecting ecosystems in the United States and around the world, we approach the subject from several different perspectives. First, we review the observed and projected impacts on biodiversity, with a focus on genes, species, and assemblages of species. Next, we examine how climate change is affecting ecosystem structural elements&mdash;such as biomass, architecture, and heterogeneity&mdash;and functions&mdash;specifically, as related to the fluxes of energy and matter. People experience climate change impacts on biodiversity and ecosystems as changes in ecosystem services; people depend on ecosystems for resources that are harvested, their role in regulating the movement of materials and disturbances, and their recreational, cultural, and aesthetic value. Thus, we review newly emerging research to determine how human activities and a changing climate are likely to alter the delivery of these ecosystem services. This technical input also examines two cross-cutting topics. First, we recognize that climate change is happening against the backdrop of a wide range of other environmental and anthropogenic stressors, many of which have caused dramatic ecosystem degradation already. This broader range of stressors interacts with climate change, and complicates our abilities to predict and manage the impacts on biodiversity, ecosystems, and the services they support. The second cross-cutting topic is the rapidly advancing field of climate adaptation, where there has been significant progress in developing the conceptual framework, planning approaches, and strategies for safeguarding biodiversity and other ecological resources. At the same time, ecosystem-based adaptation is becoming more prominent as a way to utilize ecosystem services to help human systems adapt to climate change. In this summary, we present key findings of the technical input, focusing on themes that can be found throughout the report. Thus, this summary takes a more integrated look at the question of how climate change is affecting our ecological resources, the implications for humans, and possible response strategies. This integrated approach better reflects the impacts of climate in the real world, where changes in ecosystem structure or function will alter the viability of different species and the efficacy of ecosystem services. Likewise, adaptation to climate change will simultaneously address a range of conservation goals. Case studies are used to illustrate this complete picture throughout the report; a snapshot of one case study, 2011 Las Conchas, New Mexico Fire , is included in this summary.

Report↗

Multiple dimensions of functional diversity affect stream fish β-diversity

When investigating metacommunity dynamics, functional differences among species are often assumed to be as important as environmental differences between sites in determining β-diversity. However, few studies have examined the influence of functional diversity on β-diversity. We examine the relative importance of regional functional diversity partitioned by niche dimensions and environmental variation in structuring taxonomic β-diversity of stream fishes using a large dataset of stream fish assemblages (hereafter, simply β-diversity). We predicted that both functional diversity and environmental variation play a role in determining β-diversity. We tested this prediction by modelling the patterns of stream fish β-diversity as a function of environmental variation, functional diversity and γ-richness across 10,220 sites for 329 fish species using a series of conceptual path models. Environmental variation consistently affected β-diversity across all models, whereas functional diversity and γ-richness influenced β-diversity only in some models. We show that including relevant trait differences among species in path models can improve their ability to explain β-diversity, suggesting that functional traits influence β-diversity. The ability of path models to explain β-diversity varied depending on the trait grouping included in the model, demonstrating that specific path models representing different niche dimensions can improve the ability of a model to explain β-diversity. In addition, parsing traits into different niche dimensions revealed alternative patterns of functional diversity–β-diversity relationships that otherwise would have been missed. The selection of relevant traits and linked niche dimensions is critical for detecting relationships between functional diversity and β-diversity. Using traits associated with different niche dimensions allows for the identification of niche dimensions most strongly associated with species sorting and the detection of patterns missed by focusing on a single niche dimension. Determining the niche dimensions that influence β-diversity could provide insights into the processes driving biodiversity and metacommunity dynamics, improving our ability to conserve or restore aquatic communities.

Eastern United States↗

Recommendations for a barrier island breach management plan for Fire Island National Seashore, including the Otis Pike High Dune Wilderness Area, Long Island, New York

The U.S Army Corps of Engineers, New York District is developing engineering plans, including economic costs and benefits, for storm damage reduction along an 83 mile stretch of the coastal barrier islands and beaches on the south shore of Long Island, NY from Fire Island Inlet east to the Montauk Point headland. The plan, expected to include various alternatives for storm protection and erosion mitigation, is referred to as the Fire Island to Montauk Point Reformulation Plan (FIMP). These plans are expected to follow the Corps of Engineers’ Environmental Operating Principles striving for long term environmental sustainability and balance between environmental protection and protection of human health and property. Fire Island National Seashore (FIIS), a 19,579 acre unit of the National Park System includes a 32 mile long coastal barrier island located within the FIMP project area. A seven-mile section of the park, Otis Pike Fire Island High Dune Wilderness Area, is also a designated Federal Wilderness Area. The FIIS includes not only the barrier island and sand dunes, but also several islands, sand flats and wetlands landward of the barrier, submerged parts of Great South Bay shoreface, extending approximately 4,000 feet into the bay with the inner shelf region extending approximately 1,000 feet seaward of the Fire Island shoreline. The Fire Island barrier islands, a sand-starved system dominated by highly dynamic processes, are struggling to maintain their integrity in the face of sea-level rise and storms. Adding to the dilemma is that development on the barriers and the mainland has increased greatly during the past 50 years. As such, managers and decision makers in federal agencies, state agencies and local governments are challenged to balance tradeoffs between protection of lives and property, public access and long term conservation of natural habitats and processes and the plants and animals that depend on these habitats. National Park Service (NPS) policy stipulates that natural coastal processes be maintained to the greatest extent possible and not be impeded so as to conserve landforms, habitats and natural ecosystem resources that reply on the landforms and processes for long-term sustainability of the national park. Storms and associated processes such as waves, tides, currents and relative sea-level change are critical elements for the formation and evolution of these barrier islands, sand dunes, back-barrier sand flats and lagoons and vegetated wetlands. Processes such as wave run-up, overwash and barrier beaching, which occur during elevated storm surge are all necessary processes in enabling the efficient transfer of sediments, nutrients and marine water from the Atlantic Ocean across barriers and into Great South Bay. A large body of scientific data and information published over the past 50 years shows that such transfers of sediment and water from the ocean to the bays are essential for the long-term maintenance of the barrier island and back-bay systems and their biologically diverse habitats an d ecosystems. Current relative sea-level rise (~12 in/century) is chronic and pervasive in driving Long Island coastal change and with the likelihood of accelerating sea level rise in the near future, coastal hazards such as erosion, inundation, and storm surge flooding will increase, with corresponding increased risk to life and property on both Fire Island and on the mainland. In addition, the cumulative effects over the past century and more, both direct and indirect, of human impacts on the Long Island coast have altered the barrier beach and dunes and sediment transport processes. These impacts have likely increased the potential for breaching and increased risk to life and property on the coast and the mainland. Examples of direct impacts are: the stone jetties at Moriches, Shinnecock, and Fire Island tidal inlets and groin field structures at Westhampton that alter littoral processes, armoring and erosion-control stabilization of the headlandds such as the Montauk Point headlands, and deepening of navigation channels by dredging through the tidal inlets and in the bays. Indirect impacts that have a bearing on decisions to deal with breaching are: high-risk development of the barrier islands and low-lying areas of the mainland vulnerable to flooding, and the dredging of nearshore sand shoals for beach nourishment. The NPS strives to employ a coastal management framework for decision making that is based on assessment of the physical and ecological properties of the shoreline as well as human welfare and property. In order to protect developed areas of Fire Island and the mainland from loss of life, flooding, and other economic and physical damage, the NPS will likely need to consider allowing artificial closure of some breaches within the FIIS under certain circumstances. The decision by the NPS to allow breaches to evolve naturally and possibly close or to allow artificially closing breaches is based on four criteria: 1. Volumes of sediment transported landward and exchange of water and nutrients; 2. Elevated water levels and flooding risk to mainland life and property; 3. Engineering processes of artificial closure; and 4. Economic costs and benefits of artificial closure. This report for breach management presents protocols which specify when breach closures within the FIIS might be desirable and necessary, as well as provides recommendations for structural breach closure engineering operations which are indented to minimize negative impacts to the natural wilderness values and cultural resources within the FIIS, particularly the Otis Pike Wilderness Area. The goal of the plan is to strike a balance between protecting natural resources and allowing natural processes to operate and avoiding loss of life and excessive property damage.

New York↗

Sediment transport in Norton Sound, Alaska

The Yukon River, the largest single source of Bering Sea sediment, delivers > 95% of its sediment load at the southwest comer of Norton Sound during the ice-free months of late May through October. During this period, surface winds in the northern Bering Sea area are generally light from the south and southwest, and surface waves are not significant. Although wind stress may cause some transport of low-density turbid surface water into the head of Norton Sound, the most significant transport of Yukon River suspended matter occurs within advective currents flowing north across the outer part of the sound. The thickest accumulations of modern Yukon silt and very fine sand occur beneath this persistent current. We monitored temporal variations in bottom currents, pressure, and suspended-matter concentrations within this major transport pathway for 80 days in the summer of 1977 using a Geological Processes Bottom Environmental (GEOPROBE) tripod system. The record reveals two distinctive periods of bottom flow and sediment transport: an initial 59 days (July 8–September 5) of fair-weather conditions, characterized by tidally dominated currents and relatively low, stable suspended-matter concentrations; and a 21-day period (September 5–September 26) during which several storms traversed the northern Bering Sea, mean suspended-matter concentrations near the bottom increased by a factor of five, and the earlier tidal dominance was overshadowed by wind-driven and oscillatory wave-generated currents. Friction velocities (u * ) at the GEOPROBE site were generally subcritical during the initial fair-weather period. In contrast, the 21-day stormy period was characterized by uFriction velocities (u * ) at the GEOPROBE site were generally subcritical during the initial fair-weather period. In contrast, the 21-day stormy period was characterized by u * values that exceeded the critical level of 1.3 cm/s more than 60% of the time. The GEOPROBE data suggest that the very fine sand constituting about 50% of the sediment on the outer part of the Yukon prodelta is transported during a few late-summer and fall storms each year. A conservative estimate shows that suspended-matter transport during the storms in September 1977 was equal to four months of fair-weather transport. values that exceeded the critical level of 1.3 cm/s more than 60% of the time. The GEOPROBE data suggest that the very fine sand constituting about 50% of the sediment on the outer part of the Yukon prodelta is transported during a few late-summer and fall storms each year. A conservative estimate shows that suspended-matter transport during the storms in September 1977 was equal to four months of fair-weather transport.

Alaska↗

Gaps in kelp cover may threaten the recovery of California sea otters

Despite more than a century of federal protection, the California sea otter Enhydra lutris nereis remains threatened under the U.S. Endangered Species Act (ESA), and the population has not appreciably expanded its range in two decades. Here, we examine a novel dataset of 725 sea otter live strandings from 1984–2015 to gain insights into demographic and environmental factors underlying threats to sea otter recovery. Using multinomial logistic regression to evaluate spatiotemporal patterns of stranding causes, we demonstrate that increases in stranding rates, particularly outside the range center, are related to a substantial increase in shark bites. By contrast, trauma linked to human activities has declined dramatically, and now accounts for less than 5% of stranding cases. Within the range core, where the sea otter population seems regulated by prey availability, symptoms of energetic stress represent more than 63% of all strandings and are strongly associated with high sea otter density. Conversely, in range peripheries, the majority of strandings are caused by shark bite and neurological disease. Notably, these threats are virtually absent where nearshore habitat is characterized by at least 10% kelp canopy cover. Our analyses reveal that declining kelp cover may therefore constrain the population's spatial expansion and recovery in two key ways. Absence of kelp intensifies density‐independent threats in the range peripheries, and likely limits dispersal of reproductive females, which depend on kelp canopy for nursery habitat. These results highlight the significance of both top‐down and bottom‐up processes in population dynamics, and inform an ecosystem‐based approach to conservation planning.

California↗

Preferential flow estimates to an agricultural tile drain with implications for glyphosate transport

Agricultural subsurface drains, commonly referred to as tile drains, are potentially significant pathways for the movement of fertilizers and pesticides to streams and ditches in much of the Midwest. Preferential flow in the unsaturated zone provides a route for water and solutes to bypass the soil matrix and reach tile drains faster than predicted by traditional displacement theory. This paper uses chloride concentrations to estimate preferential flow contributions to a tile drain during two storms in May 2004. Chloride, a conservative anion, was selected as the tracer because of differences in chloride concentrations between the two sources of water to the tile drain, preferential and matrix flow. A strong correlation between specific conductance and chloride concentration provided a mechanism to estimate chloride concentrations in the tile drain throughout the storm hydrographs. A simple mixing analysis was used to identify the preferential flow component of the storm hydrograph. During two storms, preferential flow contributed 11 and 51% of total storm tile drain flow; the peak contributions, 40 and 81%, coincided with the peak tile drain flow. Positive relations between glyphosate [N-(phosphonomethyl)glycine] concentrations and preferential flow for the two storms suggest that preferential flow is an important transport pathway to the tile drain. ?? ASA, CSSA, SSSA.

Journal of Environmental Quality↗

Impacts of tidal road-stream crossings on aquatic organism passage

ivers and streams are highly vulnerable to fragmentation from roads due to their prevalence in the landscape. Road-stream crossings are far more numerous than other anthropogenic barriers such as dams; these crossing structures (culverts, bridges, fords, and tide gates) have been demonstrated to impede the passage of aquatic organisms. However, road-stream crossings vary widely in the extent to which they serve as a barrier. It is important to identify barrier severity to facilitate prioritization of restoration activities, since proactively addressing all structures is not feasible. In 2015 the North Atlantic Landscape Conservation Collaborative (LCC) funded a project managed by the North Atlantic Aquatic Connectivity Cooperative (NAACC) to develop a unified protocol for assessing aquatic road-stream crossings focusing on aquatic connectivity. The NAACC relied on rapid field-based assessments, which have been shown to be a useful tool for gathering information necessary for prioritization. However, the rapid assessment protocol developed from the NAACC initiative is not applicable to tidal crossings as it does not address two-directional flow, daily water depth fluctuations, or many of the species likely present in coastal habitats. The goal of this report is to provide the background necessary to create guidelines and rapid assessment tools for assessing risk posed to aquatic organism passage at tidal crossings. To accomplish these goals, this report identifies species present in tidally influenced coastal wetlands, the unique traits they may display that puts them at risk for detrimental impact from impeded passage, and passage threats unique to tidal crossings that are not addressed by protocols designed for non-tidal systems. Species lists were compiled through literature reviews and discussions with regional researchers and managers familiar with coastal ecosystems or fish passage concerns. Life history traits, environmental sensitivities, and movement patterns for each species were compiled to build a database that can be queried to identify species that are highly vulnerable to impeded passage at tidal crossings (Available at: https://umass.box.com/s/w5mhokxjxshyxmr7si2v0gzcypcitu9d ). These risk factors for species, combined with passage threats associated with specific crossing characteristics are discussed in this report. The species list is thorough enough to provide a baseline summary of the types of threats experienced by aquatic organisms at tidal road-stream crossings, but it is not exhaustive. Unique ecosystems, species assemblages, management goals, and prioritization models may require different approaches and solutions. Thus, care must be taken to ensure that assessment tools are appropriate to a project’s target species, habitats, and scale.

Cooperator Science Series↗

Genetic and environmental indicators of climate change vulnerability for desert bighorn sheep

Assessments of organisms’ vulnerability to potential climatic shifts are increasingly common. Such assessments are often conducted at the species level and focused primarily on the magnitude of anticipated climate change (i.e., climate exposure). However, wildlife management would benefit from population-level assessments that also incorporate measures of local or regional potential for organismal adaptation to change. Estimates of genetic diversity, gene flow, and landscape connectivity can address this need and complement climate exposure estimates to establish management priorities at broad to local scales. We provide an example of this holistic approach for desert bighorn sheep ( Ovis canadensis nelsoni ) within and surrounding lands administered by the U.S. National Park Service. We used genetic and environmental data from 62 populations across the southwestern U.S. to delineate genetic structure, evaluate relationships between genetic diversity and isolation, and estimate relative climate vulnerability for populations as a function of five variables associated with species’ responses to climate change: genetic diversity, genetic isolation, geographic isolation, forward climate velocity within a population’s habitat patch (a measure of geographic movement rate required for an organism to maintain constant climate conditions), and maximum elevation within the habitat patch (a measure of current climate stress, as lower maximum elevation is associated with higher temperature, lower precipitation, and lower population persistence). Genetic structure analyses revealed a high-level division between populations in southeastern Utah and populations in the remainder of the study area, which were further differentiated into four lower-level genetic clusters. Genetic diversity decreased with population isolation, whereas genetic differentiation increased, but these patterns were stronger for native populations than for translocated populations. Populations exhibited large variation in predicted vulnerability across the study area with respect to all variables, but native populations occupying relatively intact landscapes, such as Death Valley and Grand Canyon national parks, had the lowest overall vulnerability. These results provide local and regional context for conservation and management decisions regarding bighorn populations in a changing climate. Our study further demonstrates how assessments combining multiple factors could allow a more integrated response, such as increasing efforts to maintain connectivity and thus potential for adaptation in areas experiencing rapid climate change.

Arizona, California, Nevada, Utah↗

Looking beyond wildlife: Using remote cameras to evaluate accuracy of gridded snow data

The use of remote cameras is widespread in wildlife ecology, yet few examples exist of their utility for collecting environmental data. We used a novel camera trap method to evaluate the accuracy of gridded snow data in a mountainous region of the northeastern US. We were specifically interested in assessing (1) how snow depth observations from remote cameras compare with gridded climate data, (2) the sources of error associated with the gridded data and (3) the influence of spatial sampling on bias. We compared daily observations recorded by remote cameras with Snow Data Assimilation System (SNODAS ) gridded predictions using data from three winters (2014–2016). Snow depth observations were correlated with SNODAS predictions for sites ( R 2 = 0.20) and regions ( R 2 = 0.16), yet we detected factors associated with SNODAS bias at both scales. Specifically, SNODAS underpredicted depths at high elevations, at sites with higher solar radiation, and within conifer‐dominated forest. Depths were most underpredicted at highest elevations, up to 44 and 26 cm on average at the site and region scales, respectively. Bias was greatest when predictions were lowest, occasionally predicting snow absence when depths were >100 cm at camera sites. We also detected breakdowns in accuracy when certain environmental conditions varied within the 1 km 2 SNODAS grid cells. For example, underprediction was greatest when the solar radiation values of camera stations increased relative to the mean of the SNODAS grid cells. This relationship was most prominent in mountainous regions, suggesting that factors which influence solar radiation (e.g. topographic complexity) contribute to SNODAS inaccuracy. We caution using gridded snow data for ecological studies when bias is unknown. We suggest increased sampling to adjust for errors associated with gridded data products that arise from factors, such as forest cover and topographic variability. Increasing resolution and accuracy of climate data will improve predictions of species’ responses to climate change.

New Hampshire, Vermont↗

Entropy, materials, and posterity

Materials and energy are the interdependent feedstocks of economic systems, and thermodynamics is their moderator. It costs energy to transform the dispersed minerals of Earth's crust into ordered materials and structures. And it costs materials to collect and focus the energy to perform work - be it from solar, fossil fuel, nuclear, or other sources. The greater the dispersal of minerals sought, the more energy is required to collect them into ordered states. But available energy can be used once only. And the ordered materials of industrial economies become disordered with time. They may be partially reordered and recycled, but only at further costs in energy. Available energy everywhere degrades to bound states and order to disorder - for though entropy may be juggled it always increases. Yet industry is utterly dependent on low entropy states of matter and energy, while decreasing grades of ore require ever higher inputs of energy to convert them to metals, with ever increasing growth both of entropy and environmental hazard. Except as we may prize a thing for its intrinsic qualities - beauty, leisure, love, or gold - low-entropy is the only thing of real value. It is worth whatever the market will bear, and it becomes more valuable as entropy increases. It would be foolish of suppliers to sell it more cheaply or in larger amounts than their own enjoyment of life requires, whatever form it may take. For this reason, and because of physical constraints on the availability of all low-entropy states, the recent energy crises is only the first of a sequence of crises to be expected in energy and materials as long as current trends continue. The apportioning of low-entropy states in a modern industrial society is achieved more or less according to the theory of competitive markets. But the rational powers of this theory suffer as the world grows increasingly polarized into rich, over-industrialized nations with diminishing resource bases and poor, supplier nations with little industry. The theory also discounts posterity, the more so as population density and percapita rates of consumption continue to grow. A new social, economic, and ecologic norm that leads to population control, conservation, and an apportionment of low-entropy states across the generations is needed to assure to posterity the options that properly belong to it as an important but voiceless constituency of the collectivity we call mankind. ?? 1977 Ferdinand Enke Verlag Stuttgart.

Geologische Rundschau↗

Visualizing the ecological importance of pre-Euro-American settlement fire across three Midwestern landscapes

Bearing-tree data were used to calculate an index, pyrophilic percentage, depicting the importance of fire before Euro-American settlement on three landscapes, two within the Prairie Peninsula and one outside the region. Based on functional traits, bearing trees were classified as either pyrophilic or pyrophobic, applied to Public Land Survey points, and the pyrophilic percentage was calculated for each point. Kriging was applied to this point database to create a continuous surface of pyrophilic percentages. Regression analysis was used to relate this surface to environmental factors. Regression models created separately for each study area explained 38 to 53% of the variation in pyrophilic percentage. A positive association between pyrophilic percentage and distance to water and summer potential evapotranspiration was consistent across all study sites. The consistently high values and spatial patterns of pyrophilic percentage revealed fire-dominated landscapes interspersed with patches of pyrophobic vegetation. The restriction of pyrophobic areas to the leeside (east) of waterbodies indicated these served as firebreaks in a fire-swept landscape. Lake Michigan must have had a profound effect on pre- Euro-American settlement fire environments, serving as a massive physical firebreak while casting a moist maritime climate eastward. In southern and southwestern Illinois, the Mississippi River and associated tributaries along with an increase in topographic complexity also served as firebreaks, with pyrophobic forests restricted to riparian zones which progressively graded to pyrophilic vegetation on surrounding uplands. Our analysis expands the use of Public Land Survey data by converting bearing trees into a meaningful fire ecology index. While much of the landscape included in our study area is now in agriculture or urbanized, pyrophilic percentage maps can help guide land managers in the application of fire for restoration, conservation, and forestry purposes.

Illinois, Indiana, Michigan, Wisconsin↗

Integrating science and resource management in Tampa Bay, Florida

Tampa Bay is recognized internationally for its remarkable progress towards recovery since it was pronounced "dead" in the late 1970s. Due to significant efforts by local governments, industries and private citizens throughout the watershed, water clarity in Tampa Bay is now equal to what it was in 1950, when population in the watershed was less than one-quarter of what it is today. Seagrass extent has increased by more than 8,000 acres since the mid-1980s, and fish and wildlife populations are increasing. Central to this successful turn-around has been the Tampa Bay resource management community's long-term commitment to development and implementation of strong science-based management strategies. Research institutions and agencies, including Eckerd College, the Florida Wildlife Commission Fish and Wildlife Research Institute, Mote Marine Laboratory, National Oceanic and Atmospheric Administration, the Southwest Florida Water Management District, University of South Florida, U.S. Environmental Protection Agency, U.S. Geological Survey, local and State governments, and private companies contribute significantly to the scientific basis of our understanding of Tampa Bay's structure and ecological function. Resource management agencies, including the Tampa Bay Regional Planning Council's Agency on Bay Management, the Southwest Florida Water Management District's Surface Water Improvement and Management Program, and the Tampa Bay Estuary Program, depend upon this scientific basis to develop and implement regional adaptive management programs. The importance of integrating science with management has become fully recognized by scientists and managers throughout the region, State and Nation. Scientific studies conducted in Tampa Bay over the past 10&ndash;15 years are increasingly diverse and complex, and resource management programs reflect our increased knowledge of geology, hydrology and hydrodynamics, ecology and restoration techniques. However, a synthesis of this research and its integration into resource management has not been prepared for Tampa Bay since the mid-1980s. The need for an up-to-date synthesis of Tampa Bay science and management has resulted in the production of this document. The U.S. Geological Survey recently completed a 5-year Tampa Bay Integrated Science Study, and the Tampa Bay Estuary Program updated the Comprehensive Conservation and Management Plan for Tampa Bay in 2006. These efforts build upon results of the many research and management studies and programs summarized here.

Florida↗