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Predicting tree species presence and basal area in Utah: A comparison of stochastic gradient boosting, generalized additive models, and tree-based methods

Many efforts are underway to produce broad-scale forest attribute maps by modelling forest class and structure variables collected in forest inventories as functions of satellite-based and biophysical information. Typically, variants of classification and regression trees implemented in Rulequest's?? See5 and Cubist (for binary and continuous responses, respectively) are the tools of choice in many of these applications. These tools are widely used in large remote sensing applications, but are not easily interpretable, do not have ties with survey estimation methods, and use proprietary unpublished algorithms. Consequently, three alternative modelling techniques were compared for mapping presence and basal area of 13 species located in the mountain ranges of Utah, USA. The modelling techniques compared included the widely used See5/Cubist, generalized additive models (GAMs), and stochastic gradient boosting (SGB). Model performance was evaluated using independent test data sets. Evaluation criteria for mapping species presence included specificity, sensitivity, Kappa, and area under the curve (AUC). Evaluation criteria for the continuous basal area variables included correlation and relative mean squared error. For predicting species presence (setting thresholds to maximize Kappa), SGB had higher values for the majority of the species for specificity and Kappa, while GAMs had higher values for the majority of the species for sensitivity. In evaluating resultant AUC values, GAM and/or SGB models had significantly better results than the See5 models where significant differences could be detected between models. For nine out of 13 species, basal area prediction results for all modelling techniques were poor (correlations less than 0.5 and relative mean squared errors greater than 0.8), but SGB provided the most stable predictions in these instances. SGB and Cubist performed equally well for modelling basal area for three species with moderate prediction success, while all three modelling tools produced comparably good predictions (correlation of 0.68 and relative mean squared error of 0.56) for one species. ?? 2006 Elsevier B.V. All rights reserved.

Ecological Modelling↗

Estimating animal resource selection from telemetry data using point process models

Analyses of animal resource selection functions (RSF) using data collected from relocations of individuals via remote telemetry devices have become commonplace. Increasing technological advances, however, have produced statistical challenges in analysing such highly autocorrelated data. Weighted distribution methods have been proposed for analysing RSFs with telemetry data. However, they can be computationally challenging due to an intractable normalizing constant and cannot be aggregated (i.e. collapsed) over time to make space-only inference. In this study, we take a conceptually different approach to modelling animal telemetry data for making RSF inference. We consider the telemetry data to be a realization of a space–time point process. Under the point process paradigm, the times of the relocations are also considered to be random rather than fixed. We show the point process models we propose are a generalization of the weighted distribution telemetry models. By generalizing the weighted model, we can access several numerical techniques for evaluating point process likelihoods that make use of common statistical software. Thus, the analysis methods can be readily implemented by animal ecologists. In addition to ease of computation, the point process models can be aggregated over time by marginalizing over the temporal component of the model. This allows a full range of models to be constructed for RSF analysis at the individual movement level up to the study area level. To demonstrate the analysis of telemetry data with the point process approach, we analysed a data set of telemetry locations from northern fur seals (Callorhinus ursinus) in the Pribilof Islands, Alaska. Both a space–time and an aggregated space-only model were fitted. At the individual level, the space–time analysis showed little selection relative to the habitat covariates. However, at the study area level, the space-only model showed strong selection relative to the covariates.

Alaska↗

Biodiversity–productivity relationships in a natural grassland community vary under diversity loss scenarios

Understanding the biodiversity–productivity relationship and underlying mechanisms in natural ecosystems under realistic diversity loss scenarios remains a major challenge for ecologists despite its importance for predicting impacts of rapid loss of biodiversity worldwide. Here we report the results of a plant functional group (PFG) removal experiment conducted on the Mongolian Plateau, the largest remaining natural grassland in the world. Our results demonstrated that the biodiversity–productivity relationship varied among positive linear, neutral and unimodal forms under different PFG loss patterns. Moreover, the form of this relationship with the same PFG loss pattern sometimes changed through time. The abundance of the remaining PFG(s) before removal and their compensation following the loss of other PFGs were two major mechanisms affecting the biodiversity–productivity relationship under diversity loss scenarios. The abundance effect promoted positive responses of productivity to biodiversity, but the compensation effect caused several biodiversity–productivity relationships, hinging on its direction (positive or negative) and strength. As indicated by the values of the compensation index, negative, zero and partial compensations contributed to the positive relationships, while full compensation resulted in a neutral relationship. Overcompensation at intermediate PFG richness levels created a unimodal curve in our system, but it could also lead to a negative linear relationship. Synthesis . Our experiment provides a vivid picture of how the form of the biodiversity–productivity relationship varies among different diversity loss patterns in a natural ecosystem. We argue that compensation by the remaining species, which is not revealed by synthesized biodiversity experiments, plays a critical role in shaping the form of this relationship when diversity is lost from existing systems. The direction and strength of compensation are highly dependent on extirpation scenarios. Thus, impacts of biodiversity loss on natural ecosystems are likely more complex than predicted by the canonical positive saturating curve obtained from the synthesized biodiversity experiments. We suggest that models forecasting the consequences of biodiversity declines on natural ecosystems should take into account diversity loss patterns and the ensuing compensation.

Journal of Ecology↗

Where the wild things are: Predicting hotspots of seabird aggregations in the California Current System

Marine Protected Areas (MPAs) provide an important tool for conservation of marine ecosystems. To be most effective, these areas should be strategically located in a manner that supports ecosystem function. To inform marine spatial planning and support strategic establishment of MPAs within the California Current System, we identified areas predicted to support multispecies aggregations of seabirds (“hotspots”). We developed habitat‐association models for 16 species using information from at‐sea observations collected over an 11‐year period (1997–2008), bathymetric data, and remotely sensed oceanographic data for an area from north of Vancouver Island, Canada, to the USA/Mexico border and seaward 600 km from the coast. This approach enabled us to predict distribution and abundance of seabirds even in areas of few or no surveys. We developed single‐species predictive models using a machine‐learning algorithm: bagged decision trees. Single‐species predictions were then combined to identify potential hotspots of seabird aggregation, using three criteria: (1) overall abundance among species, (2) importance of specific areas (“core areas”) to individual species, and (3) predicted persistence of hotspots across years. Model predictions were applied to the entire California Current for four seasons (represented by February, May, July, and October) in each of 11 years. Overall, bathymetric variables were often important predictive variables, whereas oceanographic variables derived from remotely sensed data were generally less important. Predicted hotspots often aligned with currently protected areas (e.g., National Marine Sanctuaries), but we also identified potential hotspots in Northern California/Southern Oregon (from Cape Mendocino to Heceta Bank), Southern California (adjacent to the Channel Islands), and adjacent to Vancouver Island, British Columbia, that are not currently included in protected areas. Prioritization and identification of multispecies hotspots will depend on which group of species is of highest management priority. Modeling hotspots at a broad spatial scale can contribute to MPA site selection, particularly if complemented by fine‐scale information for focal areas.

California↗

Comparison of watershed disturbance predictive models for stream benthic macroinvertebrates for three distinct ecoregions in western US

The successful use of macroinvertebrates as indicators of stream condition in bioassessments has led to heightened interest throughout the scientific community in the prediction of stream condition. For example, predictive models are increasingly being developed that use measures of watershed disturbance, including urban and agricultural land-use, as explanatory variables to predict various metrics of biological condition such as richness, tolerance, percent predators, index of biotic integrity, functional species traits, or even ordination axes scores. Our primary intent was to determine if effective models could be developed using watershed characteristics of disturbance to predict macroinvertebrate metrics among disparate and widely separated ecoregions. We aggregated macroinvertebrate data from universities and state and federal agencies in order to assemble stream data sets of high enough density appropriate for modeling in three distinct ecoregions in Oregon and California. Extensive review and quality assurance of macroinvertebrate sampling protocols, laboratory subsample counts and taxonomic resolution was completed to assure data comparability. We used widely available digital coverages of land-use and land-cover data summarized at the watershed and riparian scale as explanatory variables to predict macroinvertebrate metrics commonly used by state resource managers to assess stream condition. The “best” multiple linear regression models from each region required only two or three explanatory variables to model macroinvertebrate metrics and explained 41–74% of the variation. In each region the best model contained some measure of urban and/or agricultural land-use, yet often the model was improved by including a natural explanatory variable such as mean annual precipitation or mean watershed slope. Two macroinvertebrate metrics were common among all three regions, the metric that summarizes the richness of tolerant macroinvertebrates (RICHTOL) and some form of EPT (Ephemeroptera, Plecoptera, and Trichoptera) richness. Best models were developed for the same two invertebrate metrics even though the geographic regions reflect distinct differences in precipitation, geology, elevation, slope, population density, and land-use. With further development, models like these can be used to elicit better causal linkages to stream biological attributes or condition and can be used by researchers or managers to predict biological indicators of stream condition at unsampled sites.

Ecological Indicators↗

Ultra‐high‐resolution mapping of biocrusts with Unmanned Aerial Systems

Biological soil crusts (biocrusts) occur in drylands globally where they support ecosystem functioning by increasing soil stability, reducing dust emissions and modifying soil resource availability (e.g. water, nutrients). Determining biocrust condition and extent across landscapes continues to present considerable challenges to scientists and land managers. Biocrusts grow in patches, cover vast expanses of rugged terrain and are vulnerable to physical disturbance associated with ground‐based mapping techniques. As such, remote sensing offers promising opportunities to map and monitor biocrusts. While satellite‐based remote sensing has been used to detect biocrusts at relatively large spatial scales, few studies have used high‐resolution imagery from Unmanned Aerial Systems (UAS) to map fine‐scale patterns of biocrusts. We collected sub‐centimeter, true color 3‐band imagery at 10 plots in sagebrush and pinyon‐juniper woodland communities in a semiarid ecosystem in the southwestern US and used object‐based image analysis (OBIA) to segment and classify the imagery into maps of light and dark biocrusts, bare soil, rock and various vegetation covers. We used field data to validate the classifications and assessed the spatial distribution and configuration of different classes using fragmentation metrics. Map accuracies ranged from 46 to 77% (average 65%) and were higher in pinyon‐juniper (average 70%) versus sagebrush (average 60%) plots. Biocrust classes showed generally high accuracies at both pinyon‐juniper plots (average dark crust = 70%; light crust = 80%) and sagebrush plots (average dark crust = 69%; light crust = 77%). Point cloud density, sun elevation and spectral confusion between vegetation cover explained some differences in accuracy across plots. Spatial analyses of classified maps showed that biocrust patches in pinyon‐juniper plots were generally larger, more aggregated and contiguous than in sagebrush plots. Pinyon‐juniper plots also had greater patch richness and a lower Shannon evenness index than sagebrush plots, suggesting greater soil cover heterogeneity in this plant community type.

Utah↗

Northern long-eared bat day-roosting and prescribed fire in the central Appalachians

The northern long-eared bat ( Myotis septentrionalis Trovessart) is a cavity-roosting species that forages in cluttered upland and riparian forests throughout the oak-dominated Appalachian and Central Hardwoods regions. Common prior to white-nose syndrome, the population of this bat species has declined to functional extirpation in some regions in the Northeast and Mid-Atlantic, including portions of the central Appalachians. Our long-term research in the central Appalachians has shown that maternity colonies of this species form non-random assorting networks in patches of suitable trees that result from long- and short-term forest disturbance processes, and that roost loss can occur with these disturbances. Following two consecutive prescribed burns on the Fernow Experimental Forest in the central Appalachians, West Virginia, USA, in 2007 to 2008, post-fire counts of suitable black locust ( Robinia pseudoacacia L.; the most selected species for roosting) slightly decreased by 2012. Conversely, post-fire numbers of suitable maple ( Acer spp. L.), primarily red maple ( Acer rubrum L.), increased by a factor of three, thereby ameliorating black locust reduction. Maternity colony network metrics such as roost degree (use) and network density for two networks in the burned compartment were similar to the single network observed in unburned forest. However, roost clustering and degree of roost centralization was greater for the networks in the burned forest area. Accordingly, the short-term effects of prescribed fire are slightly or moderately positive in impact to day-roost habitat for the northern long-eared bat in the central Appalachians from a social dynamic perspective. Listing of northern long-eared bats as federally threatened will bring increased scrutiny of immediate fire impacts from direct take as well as indirect impacts from long-term changes to roosting and foraging habitat in stands being returned to historic fire-return conditions. Unfortunately, definitive impacts will remain speculative owing to the species’ current rarity and the paucity of forest stand data that considers tree condition or that adequately tracks snags spatially and temporally.

Appalachian Mountains↗

Testing the apparent resistance of three dominant plants to chronic drought on the Colorado Plateau

Many drylands, including the south-western United States, are projected to become more water-limited as these regions become warmer and drier with climate change. Such chronic drought may push individual species or plant functional types beyond key thresholds leading to reduced growth or even mortality. Indeed, recent observational and experimental evidence from the Colorado Plateau suggests that C 3 grasses are the most vulnerable to chronic drought, while C 4 grasses and C 3 shrubs appear to have greater resistance. The effects of chronic, or press-drought are predicted to begin at the physiological level and translate up to higher hierarchical levels. To date, the drought resistance of C 4 grasses and C 3 shrubs in this region has been only evaluated at the community level and thus we lack information on whether there are sensitivities to drought at lower hierarchical levels. In this study, we tested the apparent drought resistance of three dominant species ( Pleuraphis jamesii , a C 4 rhizomatous grass; Coleogyne ramosissima , a C 3 drought-deciduous shrub; and Ephedra viridis , a C 3 evergreen shrub) to an ongoing experimental press-drought (-35% precipitation) by comparing individual-level responses (ecophysiology and growth dynamics) to community-level responses (plant cover). For all three species, we observed consistent responses across all hierarchical levels: P. jamesii was sensitive to drought across all measured variables, while the shrubs C. ramosissima and E. viridis had little to no responses to the experimental press-drought at any given level. Synthesis . Our findings suggest that the apparent drought resistance at higher hierarchical levels, such as cover, may serve as good proxies for lower-level responses. Furthermore, it appears the shrubs are avoiding drought, possibly by utilizing moisture at deeper soil layers, while the grasses are limited to shallower layers and must endure the drought conditions. Give this differential sensitivity to drought, a future with less precipitation and higher temperatures may increase the dominance of shrubs on the Colorado Plateau, as grasses succumb to chronic water stress.

Utah↗

Local and landscape-level environmental conditions drive habitat selection across terrestrial mammal species

Aim Animal movements are a fundamental process affecting communities and ecosystems. Quantifying habitat selection across species and habitats is key for understanding how animals respond to environmental change. Currently, we lack comparative studies that examine how habitat selection varies across species traits and landscapes. We aim to quantify global patterns of habitat selection to help understand the fundamental drivers of movement behaviour. Location Global. Time Period Contemporary. Major Taxa Studied Terrestrial mammals. Methods We estimated selection coefficients for terrain ruggedness, vegetation productivity, human population density and distance to roads of individual terrestrial mammals through step-selection analysis of 1344 GPS tracks across 48 species. We quantified intra- and interspecific variation and tested whether selection coefficients were associated with species traits and habitat availability. Results We observe an overall avoidance of roads and areas of high human population density as well as rugged terrain, with a large proportion of individuals selecting for areas of intermediate NDVI. However, we also found large intraspecific variation in habitat selection and show that this variation is predicted by local and landscape-level environmental conditions rather than species traits. Individuals in more remote areas exhibited weaker functional responses to human presence than those in more disturbed areas. Avoidance of rugged terrain is also context-dependent, with stronger avoidance when local ruggedness is high. The only exception to the observed intraspecific variability is consistent species-level responses to road proximity. Main Conclusions Our findings contribute to the understanding of habitat selection by terrestrial mammals, showing that selection is largely shaped by environmental conditions and that animals exhibit high plasticity in their responses. Our results also provide further evidence for the significant impact of roads on animal movement. These insights can help us to understand the potential effects of environmental change on the behaviour of mammal species around the world.

Global Ecology and Biogeography↗

Patch to landscape patterns in post fire recruitment of a serotinous conifer

Obligate seeding species are highly specialized to fire disturbance and many conifers such as cypress, which are adapted to high intensity stand-replacing fires, have canopy seed banks stored in serotinous cones. Resilience of these trees to fire disturbance is a function of disturbance frequency and one focus of this study was to determine the effect of patch age on postfire recruitment. A second focus was to determine the extent to which fire induced a landscape level change in the location of the forest boundary. Prior to a fire in 1994, a large Cupressus sargentii forest was a mosaic landscape of different aged patches of nearly pure cypress bordered by chaparral. Patches less than 60 years of age were relatively dense with roughly one tree every 1–2 m 2 but older patches had thinned to one tree every 3–15 m 2 . Older trees had substantially greater canopy cone crops but the stand level seed bank size was not significantly correlated with stand age. Fire-dependent obligate seeding species are sensitive to fire return interval because of potential changes in the size of seed banks – facing both a potential `immaturity risk' and a `senescence risk'. At our site, C. sargentii regeneration was substantial in stands as young as 20 years, suggesting that fire return interval would need to be shorter than this to pose any significant risk. Reduced seedling recruitment in stands nearly 100 years of age may indicate risk from senescence is greater, however, even the lowest density seedling recruitment was many times greater than the density of mature forests – thus this cypress would appear to be resilient to a wide range of fire return intervals. Changes in landscape patterning of forest and chaparral are unlikely except after fire. Factors that inhibit tree establishment within the shrubland, as well as factors that affect shrub establishment within the forest border likely affect the `permeability' of this ecotone. After the 1994 fire this boundary appeared to be stable in that cypress recruited best within the shadow of burned canopies and cypress were weak invaders of adjacent shrublands.

California↗

Landscape‐scale restoration minimizes tree growth vulnerability to 21st century drought in a dry forest

Increasing aridity is a challenge for forest managers and reducing stand density to minimize competition is a recognized strategy to mitigate drought impacts on growth. In many dry forests, the most widespread and common forest management programs currently being implemented focus on restoration of historical stand structures, primarily to minimize fire risk and enhance watershed function. The implications of these restoration projects for drought vulnerability are not well understood. Here, we examined how planned restoration treatments in the Four Forests Restoration Initiative, the largest forest restoration project in the United States, would alter landscape‐scale patterns of forest growth and drought vulnerability throughout the 21 st century. Using drought‐growth relationships developed within the landscape, we considered a suite of climate and treatment scenarios and estimated average forest growth and the proportion of years with extremely low growth as a measure of vulnerability to long‐term decline. Climatic shifts projected for this landscape include higher temperatures and shifting seasonal precipitation that promotes lower soil moisture availability in the early growing season and greater hot‐dry stress, conditions negatively associated with tree growth. However, drought severity and the magnitude of future growth declines was moderated by the thinning treatments. Compared to historical conditions, proportional growth in mid‐century declines by ~40% if thinning ceases or continues at the status quo pace. By comparison, proportional growth declines by only 20% if the Four Forest Restoration Initiative treatments are fully implemented, and < 10% if stands are thinned even more intensively than currently planned. Furthermore, restoration treatments resulted in dramatically fewer years with extremely low growth in the future, a recognized precursor to forest decline and eventual tree mortality. Benefits from density reduction for mitigating drought‐induced growth declines are more apparent in mid‐century and under RCP4.5 than under RCP8.5 at the end of the century. Future climate is inherently uncertain, and our results only reflect the climate projections from the representative suite of models examined. Nevertheless, these results indicate that forest restoration projects designed for other objectives also have substantial benefits for minimizing future drought vulnerability in dry forests and provide additional incentive to accelerate the pace of restoration.

Ecological Applications↗

Are polar bear habitat resource selection functions developed from 1985-1996 data still useful?

1. Greenhouse gas-induced warming in the Arctic has caused declines in sea ice extent and changed its composition, raising concerns by all circumpolar nations for polar bear conservation. 2. Negative impacts have been observed in three well-studied polar bear subpopulations. Most subpopulations, however, receive little or no direct monitoring, hence, resource selection functions (RSF) may provide a useful proxy of polar bear distributions. However, the efficacy of RSFs constructed from past data, i.e., reference RSFs, may be degraded under contemporary conditions, especially in a rapidly changing environment. 3. We assessed published Arctic-wide reference RSFs using tracking data from adult female polar bears captured in the Beaufort Sea. We compared telemetry-derived seasonal distributions of polar bears to RSF-defined optimal sea ice habitat during the period of RSF model development, 1985–1995, and two subsequent periods with diminished sea ice: 1996–2006 and 2007–2016. From these comparisons, we assessed the applicability of the reference RSFs for contemporary polar bear conservation. 4. In the two decades following the 1985–1995 reference period, use and availability of optimal habitat by polar bears declined during the ice melt, ice minimum and ice growth seasons. During the ice maximum season (i.e., winter), polar bears used the best habitat available, which changed relatively little across the three decades of study. During the ice melt, ice minimum and ice growth seasons, optimal habitat in areas used by polar bears decreased and was displaced north and east of the Alaska Beaufort Sea coast. As optimal habitat diminished in these seasons, polar bears expanded their range and occupied greater areas of sub-optimal habitat. 5. Synthesis and applications: Sea ice declines due to climate change continue to challenge polar bears and their conservation. The distribution of Southern Beaufort Sea polar bears remained similar during the ice maximum season, so the reference RSFs developed from data collected >20 years ago continue to accurately model their winter distribution. In contrast, reference RSFs for the ice transitional and minimum seasons showed diminished predictive efficacy but were useful in revealing that contemporary polar bears have been increasingly forced to use sub-optimal habitats during those seasons.

Ecology and Evolution↗

Variation in species-level plant functional traits over wetland indicator status categories

Wetland indicator status (WIS) describes the habitat affinity of plant species and is used in wetland delineations and resource inventories. Understanding how species-level functional traits vary across WIS categories may improve designations, elucidate mechanisms of adaptation, and explain habitat optima and niche. We investigated differences in species-level traits of riparian flora across WIS categories, extending their application to indicate hydrologic habitat. We measured or compiled data on specific leaf area (SLA), stem specific gravity (SSG), seed mass, and mature height of 110 plant species that occur along the Colorado River in Grand Canyon, Arizona. Additionally, we measured leaf δ 13 C, δ 15 N, % carbon, % nitrogen, and C/N ratio of 56 species with C3 photosynthesis. We asked the following: (i) How do species-level traits vary over WIS categories? (ii) Does the pattern differ between herbaceous and woody species? (iii) How well do multivariate traits define WIS categories? (iv) Which traits are correlated? The largest trait differences among WIS categories for herbaceous species occurred for SSG, seed mass, % leaf carbon and height, and for woody species occurred for height, SSG, and δ 13 C. SSG increased and height decreased with habitat aridity for both woody and herbaceous species. The δ 13 C and hence water use efficiency of woody species increased with habitat aridity. Water use efficiency of herbaceous species increased with habitat aridity via greater occurrence of C4 grasses. Multivariate trait assemblages differed among WIS categories. Over all species, SLA was correlated with height, δ 13 C, % leaf N, and C/N; height was correlated with SSG and % leaf C; SSG was correlated with % leaf C. Adaptations of both herbaceous and woody riparian species to wet, frequently inundated habitats include low-density stem tissue. Adaptations to drier habitats in the riparian zone include short, high-density cavitation-resistant stem tissue, and high water use efficiency. The results enhance understanding about using traits to describe plant habitat in riparian systems.

Arizona↗

Summary of studies supporting cumulative effects analysis of upper Yellowstone River channel modifications

During the last several decades, portions of the upper Yellowstone River have been modified for flood control and erosion prevention. The U.S. Army Corps of Engineers is responsible for administration of a permit program for evaluating construction activities affecting rivers, streams, and wetlands. The Corps regulates activities under the authority of Section 10 of the Rivers and Harbors Act and Section 404 of the Clean Water Act. Since assumption of jurisdiction in the mid-1970&rsquo;s, the Corps has processed a total of 156 permit actions for the upper Yellowstone River. Over two-thirds of the permit actions occurred during or after two consecutive large floods during 1996 and 1997. In response to concern regarding the potential environmental and ecological consequences of channel modification, the Corps, in conjunction with State and local government agencies, initiated a series of scientific studies to better understand the effects of channel modification in the upper Yellowstone River (Figure 1). These included preparation of wetland and riparian inventory maps (Bon, 2001); hydraulic modeling and flood-plain delineation; watershed land-cover assessment (Pick and Potter, 2003); historic bottomland use analysis (Brelsford and others, 2003); analysis of channel modification effects on fish habitat (Bowen and others, 2003); comparison of juvenile salmonid use of modified and unmodified habitats (Zale and Rider, 2003); analysis of riparian vegetation and flood-plain turnover (Merigliano and Polzin, 2003); study of the relations between riparian habitat and bird communities (Hansen and others, 2003); analyses of geomorphology and historical channel changes (Dalby and Robinson, 2003); socioeconomic assessment (BBC Research and Consulting, 2002); and sediment transport investigations and modeling (Holnbeck, 2003). This report is a summary of results from the individual scientific studies as they bear on future programmatic cumulative effects analyses of channel modification of the upper Yellowstone River. We do not attempt a formal, cumulative impact assessment in the sense of evaluating alternatives or future scenarios. The first section presents major findings of the resource studies in terms of temporal comparisons, spatial comparisons, and causal relations. In this section, we present a series of conceptual models or flow diagrams of the major causal pathways of cumulative impacts from channel modification. These represent major pathways of potential impact based on knowledge from other rivers, concerns expressed about the upper Yellowstone, and results from the scientific studies. These diagrams serve to focus interpretation of study results as either supporting or not supporting the importance and magnitude of particular causal relations and to identify key linking variables appearing in multiple causal pathways. These key variables that connect channel modification actions to multiple, valued environmental attributes can serve as the foundation for both projecting and monitoring future responses of the system. A section on analytical realities outlines some of the limitations of projecting cumulative impacts from channel modification of the upper Yellowstone River on meaningful spatial and temporal scales and some of the difficulties of interpreting results from studies conducted shortly after two extreme floods and substantial increases in channel modification. A section on classification describes the two primary geomorphic classification systems of the upper Yellowstone River used in the various individual resource studies. Each of these systems has been valuable in supporting field sampling and expressing results concerning patterns of variation. Their integration or revision into a classification system to achieve some new purpose, such as a regulatory program or monitoring system, will depend on a crisp articulation of riverine management or regulatory objectives. A section on key variables identifies those that are central to the causal pathways connecting channel modification to impacts and provides a rationale for key variables as an alternative to other tools such as Proper Functioning Condition (Barrett and others, 1993), Index of Biotic Integrity (Karr, 1981), or the Synoptic Approach (Liebowitz and others, 1992). This section also explains relations among key variable to Hydrogeomorphic (HGM) assessment procedures (Hauer and Smith, 1998; Hauer and others, 2001) and outlines how these 2 variables might be monitored to track cumulative impacts. Examples of how selected key variables can be quantified using Geographic Information System data sets developed from the resource studies are presented for one reach. The largest portion of the document is an Appendix that summarizes each of the individual scientific studies in terms of scope and methods, findings, principal variables, and metrics used in the study or suggested by the study results, and important needs for further study.

Montana↗

Plant community establishment following drawdown of a reservoir in southern Arkansas, USA

Wetland area, function and wildlife habitat value are extensively altered by the construction of freshwater reservoirs. We studied the effects of a temporary drawdown on shoreline vegetation communities of Felsenthal Navigation Pool (“the pool”), an impoundment at Felsenthal National Wildlife Refuge in southern Arkansas that is managed as a greentree reservoir. The pool was permanently flooded from 1985 until the summer of 1995 when the water level was dropped 0.3 m for about 16 weeks, exposing about 1,591 ha of soil. To document plant succession on the sediments exposed, we recorded plant species composition and cover at 14 transects along the pool margin prior to the drawdown, during the drawdown, and in the following summer. A soil disturbance treatment was applied near five transects following the drawdown, and soil was collected at each transect for seed bank and soil analyses. Plants colonized the drawdown zone quickly and high vegetation cover was present at some transects 4 weeks after the drawdown was initiated. Plants included species that are high quality food sources for waterfowl, including Cyperus erythrorhizos and Leptochloa fascicularis var. fascicularis . Vegetation response, measured by species richness, total cover, and cover of Cyperus species, was often greater at low compared to high elevations in the drawdown zone; this effect was probably intensified by low summer rainfall. Response on the disturbed transects was lower than that on the undisturbed transects. This effect was attributed to two factors: (1) removal of the existing seed bank by the disturbance applied and (2) reduced incorporation of seeds recruited during the drawdown because of unusually low rainfall. Seed bank studies demonstrated that several species persisted despite 10 years of continual flooding, and that seed bank species richness increased during the drawdown. Although conclusions are limited by the 1-year time frame of the study, it is unlikely that permanent change to plant community structure in the drawdown zone resulted from the lowered water level.

Arkansas↗

Saproxylic beetles' morphological traits and higher trophic guilds indicate boreal forest naturalness

Forests contribute to numerous ecosystem functions and services and contain a large proportion of terrestrial biodiversity, but they are being negatively impaced by anthropogenic activities. Forests that have never been clear-cut and have old growth characteristics, termed “near-natural,” often harbor different and richer species assemblages than managed forests. Alternative management strategies may be able to balance the needs of biodiversity with the demands of forestry, but evaluation efforts are limited by the challenges of measuring biodiversity. Species richness is frequently used as a simple measure of biodiversity, but research indicates that it may not adequately capture community-level changes. Alternatively, trait-based measures of biodiversity may prove to be useful, but research is lacking. In this paper, we use a large dataset that includes 339 obligate saproxylic beetle species collected over a decade in the boreal region throughout southern Norway to: (1) establish if there is a difference in beetle community composition between near-natural and managed forests; and (2) determine which measures of beetle biodiversity best indicate forest naturalness. We arranged the sites in an ordination space and tested for differences in community composition between these forest types. We also tested different measures of biodiversity to determine which were the most predictive of forest naturalness. We found a clear difference in community composition between near-natural and managed forests. Additionally, three measures of biodiversity were most predictive of forest naturalness: proportional abundance of predators, community weighted mean (CWM) of wing length, and CWM of body roundness. The probability that a forest was near-natural increased with the proportional abundance of predators but decreased with CWM wing length and body roundness. Although species richness was higher in near-natural forests, the effect was not significant. Overall, our findings underscore the conservation value of near-natural forests and highlight the potential of several measures of biodiversity for determining forest quality.

Ecology and Evolution↗

Effects of food limitation and emigration on self-thinning in experimental minnow cohorts

1. &ensp;The theory of food-regulated self-thinning (FST) for mobile animals predicts population density ( N ) to be an inverse function of mean body mass ( W ) scaled to an exponent ( b ), such that N = k W &minus;b , where k is a constant. FST also predicts energy requirements (or energy flow) to remain constant over time (termed energetic equivalence) as losses to cohorts (e.g. emigration and mortality) are balanced by increased growth of surviving individuals. 2. &ensp;To test these predictions, we analysed the dynamics of six experimental minnow cohorts. Replicate populations of fish were held under identical conditions with a constant and limited supply of food over a 126-day period. Half of the cohorts were open to emigration, and half were closed so that fish could only be lost through starvation mortality. 3. &ensp;Patterns of self-thinning indicated non-linear changes in population density and energy flow in relation to changes in mean body mass and time, respectively. Non-linear patterns of self-thinning were probably due to a delayed growth response to changes in population density effected through mortality and/or emigration. Contrary to results of similar experiments on other fish, emigration did not have a significant influence on the pattern of self-thinning. 4. &ensp;These results may be attributed to trophic interactions within cohorts and the importance of social behaviour to cohort dynamics. Both population density and energy flow in our experimental populations appeared to cycle, with episodes of starvation and mortality alternating with food recovery and weight gain, as predicted by recent models of stepwise die-off and stunted growth in animal cohorts. 5. &ensp;Most of the support for FST in mobile animals comes from observational data on mean body mass and population density. Potentially important mechanisms, including the manner in which individuals are lost or retained in populations, are usually not investigated directly. Such tests of FST can only provide equivocal support. Detailed observational study and controlled experiments are needed to understand casual mechanisms.

Journal of Animal Ecology↗

Synthesizing and analyzing long-term monitoring data: A greater sage-grouse case study

Long-term monitoring of natural resources is imperative for increasing the understanding of ecosystem processes, services, and how to manage those ecosystems to maintain or improve function. Challenges with using these data may occur because methods of monitoring changed over time, multiple organizations collect and manage data differently, and monetary resources fluctuate, affecting many aspects of data. Because many species respond to changes in habitat conditions and predator-prey relationships across different spatial scales that span management boundaries, greater efforts for collaborating are essential. We demonstrate the challenges and methods for standardizing greater sage-grouse ( Centrocercus urophasianus ) long-term monitoring data across the species range in the western United States to inform population modeling needs identified by the Western Association of Fish and Wildlife Agencies. We used automated and repeatable methods of standardizing data via custom open-source software ( grsg_lekdb ) to improve the scientific integrity of future sage-grouse population assessments within and among states. Data standardization included reconciling uses of different terminology and expunging unusable data, resulting in the removal of 26% of data records due to database insertion errors and modifications to >1 million values to correct formatting and typing errors. Our approaches maximized the inclusion of usable data and identified data that could inform detection probabilities, population trends, and monitoring guidelines. Using sage-grouse databases as an example, we identified the importance of data management and how quality assurance and quality control measures can improve the usefulness of these data for future research needs. Our methods of using informatics and concluding recommendations can support similar endeavors of flora and fauna monitoring programs, whether those efforts are to use existing data or support new monitoring programs.

Ecological Informatics↗