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At least 307 records · Page 17Linked to original sources

Diurnal timing of nonmigratory movement by birds: The importance of foraging spatial scales

Timing of activity can reveal an organism's efforts to optimize foraging either by minimizing energy loss through passive movement or by maximizing energetic gain through foraging. Here, we assess whether signals of either of these strategies are detectable in the timing of activity of daily, local movements by birds. We compare the similarities of timing of movement activity among species using six temporal variables: start of activity relative to sunrise, end of activity relative to sunset, relative speed at midday, number of movement bouts, bout duration, and proportion of active daytime hours. We test for the influence of flight mode and foraging habitat on the timing of movement activity across avian guilds. We used 64570 days of GPS movement data collected between 2002 and 2019 for local (non‐migratory) movements of 991 birds from 49 species, representing 14 orders. Dissimilarity among daily activity patterns was best explained by flight mode. Terrestrial soaring birds began activity later and stopped activity earlier than pelagic soaring or flapping birds. Broad‐scale foraging habitat explained less of the clustering patterns because of divergent timing of active periods of pelagic surface and diving foragers. Among pelagic birds, surface foragers were active throughout the day while diving foragers matched their active hours more closely to daylight hours. Pelagic surface foragers also had the greatest daily foraging distances, which was consistent with their daytime activity patterns. This study demonstrates that flight mode and foraging habitat influence temporal patterns of daily movement activity of birds.

Journal of Avian Biology

Dissipation of contaminants of emerging concern in biosolids applied to non-irrigated farmland in eastern Colorado

In 2007, a 1.5-year field-scale study was initiated by the U.S. Geological Survey to evaluate the dissipation of contaminants of emerging concern (CECs) following a first agronomic biosolids application to nonirrigated farmland. CECs with the greatest decrease in concentration in the surface biosolids at 180 days post-application included indole, d-limonene, p-cresol, phenol, and skatol. CECs that were present in the largest concentration in 180-day-weathered biosolids included stanols, nonylphenols, bisphenol A, bis(2-ethylhexyl) phthalate, hexahydrohexamethyl cyclopenta-benzopyran (HHCB), and triclosan. CECs that were detected in pre-application soil were 3-beta coprostanol, skatol, acetophenone, beta-sitosterol, beta-stigmastanol, cholesterol, indole, p-cresol, and phenol, most of which are biogenic sterols or fragrances that have natural plant sources in addition to anthropogenic sources, yet their concentrations increased (in some cases, substantially) following biosolids application. Preliminary data indicate the nonylphenols (including NPEO1, NPEO2), OPEO1, benzo[a]pyrene, diethyl phthalate, d-limonene, HHCB, triclosan, and possibly 3-beta coprostanol, skatol, beta-sitosterol, cholesterol, indole, and p-cresol, migrated downward through the soil by 468 days post-application, but indicated little uptake by mature wheat plants. This study indicates that some CECs are sufficiently persistent and mobile to be vertically transported into the soil column following biosolids applications to the land surface, even in semiarid regions.

Journal of the American Water Resources Associatio

The North American Freshwater Migratory Fish Database (NAFMFD): Characterizing the migratory life histories of freshwater fishes of Canada, the United States and Mexico

Aim Migratory freshwater fishes are those that must access discrete habitats to complete their life cycles. Freshwater fish migrations occur around the world and provide numerous ecosystem services for humans and natural systems; however, many migratory species are in decline globally. A limiting factor to successfully conserve freshwater migratory fishes is that the migratory life histories of many species are unknown or only partially described. To provide researchers with critical and comprehensive information to conserve migratory fishes, we developed the North American Freshwater Migratory Fish Database (NAFMFD). Location Canada, Mexico and the United States. Taxon Freshwater fish. Methods To develop this database, we assigned migratory status, pattern and behaviour to a comprehensive list of freshwater fish species found throughout North America. We assembled the database which included assignments (i.e. migratory status, pattern and behaviour) as well as the sources used to make the assignments. Researchers and managers from across North America reviewed the database for completeness and accuracy on the migratory life histories of fishes. Results The database synthesizes current knowledge of migratory status, pattern and behaviour of native and non-native freshwater fishes throughout North America, including 1250 species representing 79 families and 325 genera. Results showcase the diversity of migratory life histories of freshwater fishes on the continent, including that at least 25% of North American freshwater fishes are migratory, 23% are non-migratory and 44% have undetermined migratory status. Main conclusions NAFMFD improves the quality of migratory data accessible to researchers, which supports a more holistic understanding of the threats encountered by migratory fishes, including habitat fragmentation. The approach we used in developing NAFMFD can provide guidance for developing similar databases in other regions. Collectively, our work offers new insights into the range of freshwater fish migratory life histories, stimulating a need to better understand this diversity globally.

Journal of Biogeography

Dual resistance to Flavobacterium psychrophilum and Myxobolus cerebralis in rainbow trout (Oncorhynchus mykiss, Walbaum)

Aquatic pathogens are a major concern for fish hatchery production, fisheries management, and conservation, and disease control needs to be addressed. Two important salmonid pathogens are Myxobolus cerebralis and Flavobacterium psychrophilum that cause whirling disease and bacterial coldwater disease (BCWD), respectively. Innate disease resistance is a potential option for reducing disease-related mortality in hatchery-reared rainbow trout ( Oncorhynchus mykiss , Walbaum). Two experiments were conducted to assess pathogen resistance of first-generation (F1) rainbow trout created by crossing M. cerebralis - and F. psychrophilum -resistant strains. In the first experiment, we exposed two rainbow trout strains and one F1 cross to six treatments: control (no exposure), mock injection, F. psychrophilum only, M. cerebralis only, F. psychrophilum then M. cerebralis , and M. cerebralis then F. psychrophilum . Results indicated that the F1 cross was not resistant to either pathogen. In the second experiment, we exposed five rainbow trout strains and four rainbow trout crosses to F. psychrophilum . The second experiment indicated that at least one rainbow trout cross was F . psychrophilum -resistant. Achieving dual resistance may be possible using selective breeding but only some multigenerational strains are suitable candidates for further evaluation.

Journal of Fish Diseases

The American black bear (Ursus americanus) as an apex predator: Investigating the ecological role of the world’s most abundant large carnivore

Introduction American black bears ( Ursus americanus ) have been documented to have top-down effects, both consumptive (through predation) and nonconsumptive (through fear effects). However, their behavioural and dietary adaptability has led to uncertainty about the conditions under which these may occur. Objectives We aimed to (1) investigate when, where, and how often black bears influence lower trophic levels, and (2) critically assess the experimental design of such studies to determine trends and biases. Methods We conducted a systematic literature search and used linear mixed-effects models to assess the relationships among prey age class, the presence of other large carnivores, and the percentage of ungulate mortality due to black bears. We also summarised the measured effects of black bears on other carnivores and the results of any experimental studies. Results We found a strong negative relationship between puma presence and the percentage of ungulate mortality due to black bears, but only in areas with at least one other large carnivore (e.g., wolves). Among 16 studies of black bears' impacts on other carnivores, most documented negative behavioural effects. While only 5% of studies had strong experimental design, bear removal consistently increased juvenile ungulate survival. Discussion and Synthesis Our findings highlight black bears' strong top-down effects, resembling or exceeding those of other large carnivores. These effects were greatest when no other large carnivores were present, but as highly effective kleptoparasites, black bears can alter the feeding habits of other large carnivores. Thus, we argue that ‘apex’ is a conditional state, not a species-wide status.

Mammal Review

Elevated CO2 does not offset greater water stress predicted under climate change for native and exotic riparian plants

In semiarid western North American riparian ecosystems, increased drought and lower streamflows under climate change may reduce plant growth and recruitment, and favor drought‐tolerant exotic species over mesic native species. We tested whether elevated atmospheric CO 2 might ameliorate these effects by improving plant water‐use efficiency. We examined the effects of CO 2 and water availability on seedlings of two native ( Populus deltoides spp. monilifera , Salix exigua ) and three exotic ( Elaeagnus angustifolia , Tamarix spp., Ulmus pumila ) western North American riparian species in a CO 2 ‐controlled glasshouse, using 1‐m‐deep pots with different water‐table decline rates. Low water availability reduced seedling biomass by 70–97%, and hindered the native species more than the exotics. Elevated CO 2 increased biomass by 15%, with similar effects on natives and exotics. Elevated CO 2 increased intrinsic water‐use efficiency (Δ 13 C leaf ), but did not increase biomass more in drier treatments than wetter treatments. The moderate positive effects of elevated CO 2 on riparian seedlings are unlikely to counteract the large negative effects of increased aridity projected under climate change. Our results suggest that increased aridity will reduce riparian seedling growth despite elevated CO 2 , and will reduce growth more for native Salix and Populus than for drought‐tolerant exotic species.

New Phytologist

Why are non-native plants successful? Consistently fast economic traits and novel origin jointly explain abundance across US ecoregions

Are non-native plants abundant because they are non-native, and have advantages over native plants, or because they possess ‘fast’ resource strategies, and have advantages in disturbed environments? This question is central to invasion biology but remains unanswered. We quantified the relative importance of resource strategy and biogeographic origin in 69 441 plots across the conterminous United States containing 11 280 plant species. Non-native species had faster economic traits than native species in most plant communities (77%, 86% and 82% of plots for leaf nitrogen concentration, specific leaf area, and leaf dry matter content). Non-native species also had distinct patterns of abundance, but these were not explained by their fast traits. Compared with functionally similar native species, non-native species were (1) more abundant in plains and deserts, indicating the importance of biogeographic origin, and less abundant in forested ecoregions, (2) were more abundant where co-occurring species had fast traits, for example due to disturbance, and (3) showed weaker signals of local environmental filtering. These results clarify the nature of plant invasion: Although non-native plants have consistently fast economic traits, other novel characteristics and processes likely explain their abundance and, therefore, impacts.

conterminous United States

Beyond traditional ecological restoration on the Colorado Plateau

The Colorado Plateau is one of North America's five major deserts, encompassing 340,000 km 2 of the western U.S., and offering many opportunities for restoration relevant to researchers and land managers in drylands around the globe. The Colorado Plateau is comprised of vast tracts of public land managed by local, state, and federal agencies that oversee a wide range of activities (e.g., mineral and energy extraction, livestock grazing, and recreation). About 75% of the Plateau is managed by federal and tribal agencies and tens of millions of people visit the Plateau's public lands each year. However, even in the face of this diverse use, our knowledge of effective ways to restore Plateau ecosystems remains relatively poor. Further, the multiple agencies on the Plateau have mandates that differ greatly in allowable practices, restoration needs, and desired outcomes. The Colorado Plateau is also expected to undergo ecosystem shifts in the face of climate change, further complicating management decisions and potentially limiting some options while creating others. Here we explore the current state of Colorado Plateau restoration science and underscore key challenges and opportunities for improving our capacity to maintain the myriad of services provided by these desert ecosystems. We highlight past research efforts and future needs related to restoration concepts, including consideration and design of novel ecosystems, mitigation for and adaptation to climate change, use of genetically diverse seed adapted for current and future conditions, and the value of strong multi‐agency and stakeholder collaborations in restoring systems on the Colorado Plateau and beyond.

Colorado Plateau

Buried shallow fault slip from the South Napa earthquake revealed by near-field geodesy

Earthquake-related fault slip in the upper hundreds of meters of Earth’s surface has remained largely unstudied because of challenges measuring deformation in the near field of a fault rupture. We analyze centimeter-scale accuracy mobile laser scanning (MLS) data of deformed vine rows within ±300 m of the principal surface expression of the M (magnitude) 6.0 2014 South Napa earthquake. Rather than assuming surface displacement equivalence to fault slip, we invert the near-field data with a model that allows for, but does not require, the fault to be buried below the surface. The inversion maps the position on a preexisting fault plane of a slip front that terminates ~3 to 25 m below the surface coseismically and within a few hours postseismically. The lack of surface-breaching fault slip is verified by two trenches. We estimate near-surface slip ranging from ~0.5 to 1.25 m. Surface displacement can underestimate fault slip by as much as 30%. This implies that similar biases could be present in short-term geologic slip rates used in seismic hazard analyses. Along strike and downdip, we find deficits in slip: The along-strike deficit is erased after ~1 month by afterslip. We find no evidence of off-fault deformation and conclude that the downdip shallow slip deficit for this event is likely an artifact. As near-field geodetic data rapidly proliferate and will become commonplace, we suggest that analyses of near-surface fault rupture should also use more sophisticated mechanical models and subsurface geomechanical tests.

California

Heat-driven functional extinction of Caribbean Acropora corals from Florida's Coral Reef

In 2023, a record-setting marine heat wave triggered the ninth mass coral bleaching event on Florida’s Coral Reef (FCR). We examined spatial patterns of heat exposure along the ~560-kilometer length of FCR and the mortality of two ecologically important, critically endangered reef-building corals. Sea surface temperatures were ≥31°C for an average of 40.7 days, leading to heat exposures 2.2- to fourfold higher than all prior years on record. In the Florida Keys and Dry Tortugas, 97.8 to 100% of the Acropora palmata and Acropora cervicornis colonies died. Mortality was lower offshore southeast Florida (37.9%), reflecting cooler temperatures in this region. Since the late 1970s, multiple stressors had already reduced the ecological relevance of Acropora in Florida, but the 2023 heat wave marks their functional extinction from FCR.

Florida

Genes indicative of zoonotic and swine pathogens are persistent in stream water and sediment following a swine manure spill

Manure spills to streams are relatively frequent, but no studies have characterized stream contamination with zoonotic and veterinary pathogens, or fecal chemicals, following a spill. We tested stream water and sediment over 25 days and downstream for 7.6 km for: fecal indicator bacteria (FIB); the fecal indicator chemicals cholesterol and coprostanol; 20 genes for zoonotic and swine-specific bacterial pathogens by presence/absence polymerase chain reaction (PCR) for viable cells; one swine-specific Escherichia coli toxin gene ( STII ) by quantitative PCR (qPCR); and nine human and animal viruses by qPCR, or reverse-transcriptase qPCR. Twelve days post-spill, and 4.2 km downstream, water concentrations of FIB, cholesterol, and coprostanol were 1-2 orders of magnitude greater than those detected before, or above, the spill, and genes indicating viable zoonotic or swine-infectious Escherichia coli , were detected in water or sediment. STII increased from undetectable before, or above the spill, to 10 5 copies/100 mL water 12 days post-spill. Thirteen of 14 water (8/9 sediment) samples had viable STII -carrying cells post-spill. Eighteen days post-spill porcine adenovirus and teschovirus were detected 5.6 km downstream. Sediment FIB concentrations (per gram wet weight) were greater than in water, and sediment was a continuous reservoir of genes and chemicals post-spill. Constituent concentrations were much lower, and detections less frequent, in a runoff event (200 days post-spill) following manure application, although the swine-associated STII and stx 2e genes were detected. Manure spills are an underappreciated pathway for livestock-derived contaminants to enter streams, with persistent environmental outcomes, and the potential for human and veterinary health consequences.

Iowa

Neogene faulting, basin development, and relief generation in the southern Klamath Mountains (USA)

Development and evaluation of models for tectonic evolution in the Cascadia forearc require understanding of along-strike heterogeneity of strain distribution, uplift, and upper-plate characteristics. Here, we investigated the Neogene geologic record of the Klamath Mountains province in southernmost Cascadia and obtained apatite (U-Th)/He (AHe) thermochronology of Mesozoic plutons, Neogene graben sediment thickness, detrital zircon records from Neogene grabens, gravity and magnetic data, and kinematic analysis of faults. We documented three aspects of Neogene tectonics: early Miocene and younger rock exhumation, development of topographic relief sufficient to isolate Neogene graben-filling sediments from sources outside of the Klamath Mountains, and initiation of mid-Miocene or younger right-lateral and reverse faulting. Key findings are: (1) 10 new apatite AHe mean cooling ages from the Canyon Creek and Granite Peak plutons in the Trinity Alps range from 24.7 ± 2.1 Ma to 15.7 ± 2.1 Ma. Inverse thermal modeling of these data and published apatite fission-track ages indicate the most rapid rock cooling between ca. 25 and 15 Ma. One new AHe mean cooling age (26.7 ± 3.2 Ma) from the Ironside Mountain batholith 40 km west of the Trinity Alps, combined with previously published AHe ages, suggests geographically widespread latest Oligocene to Miocene cooling in the southern Klamath Mountains province. (2) AHe ages of 39.4 ± 5.1 Ma on the downthrown side and 22.7 ± 3.0 Ma on the upthrown side of the Browns Meadow fault suggest early Miocene to younger fault activity. (3) U-Pb detrital zircon ages ( n = 862) and Lu-Hf isotope geochemistry from Miocene Weaverville Formation sediments in the Weaverville, Lowden Ranch, Hayfork, and Hyampom grabens south and southwest of the Trinity Alps can be traced to entirely Klamath Mountains sources; they suggest the south-central Klamath Mountains had, by the middle Miocene, sufficient relief to isolate these grabens from more distal sediment sources. (4) Two Miocene detrital zircon U-Pb ages of 10.6 ± 0.4 Ma and 16.7 ± 0.2 Ma from the Lowden Ranch graben show that the maximum depositional age of the upper Weaverville Formation here is younger than previously recognized. (5) A prominent steep-sided negative gravity anomaly associated with the Hayfork graben shows that both the north and south margins are fault-controlled, and inversion of gravity data suggests basin fill is between 1 km and 1.9 km thick. Abrupt elevation changes of basin fill-to-bedrock contacts reported in well logs record E-side-up and right-lateral faulting at the eastern end of the Hayfork graben. A NE-striking gravity gradient separates the main graben on the west from a narrower, thinner basin to the east, supporting this interpretation. (6) Of fset of both the base of the Weaverville Formation and the cataclasite-capped La Grange fault surface by a fault on the southwest margin of the Weaverville basin documents 200 m of reverse and 1500 m of right-lateral strike-slip motion on this structure, here named the Democrat Gulch fault; folded and steeply dipping strata adjacent to the fault confirm that faulting postdated deposition of the Weaverville Formation.

California, Oregon

Partial migration and spawning movements of humpback chub in the Little Colorado River are better understood using data from autonomous PIT tag antennas

Choosing whether or not to migrate is an important life history decision for many fishes. Here we combine data from physical captures and detections on autonomous passive integrated transponder (PIT) tag antennas to study migration in an endangered fish, the humpback chub (Gila cypha). We develop hidden Markov mark-recapture models with and without antenna detections and find that the model fit without antenna detections misses a large proportion of fish and underestimates migration and survival probabilities. We then assess survival and growth differences associated with life history strategy and migration for different demographic groups (small male, small female, large male, large female). We find large differences in survival according to life history strategy, where residents had much lower over-winter survival than migrants. However, within the migratory life history strategy, survival and growth were similar for active migrants and skipped migrants for all demographic groups. We discuss some common challenges to incorporating detections from autonomous antennas into population models and demonstrate how these data can provide insight about fish movement and life history strategies.

Arizona

Incorporating antenna detections into abundance estimates of fish

Autonomous passive integrated transponder (PIT) tag antennas are commonly used to detect fish marked with PIT tags but cannot detect unmarked fish, creating challenges for abundance estimation. Here we describe an approach to estimate abundance from paired physical capture and antenna detection data in closed and open mark-recapture models. Additionally, for open models, we develop an approach that incorporates uncertainty in fish size, because fish size changes through time (as fish grow bigger) but is unknown if fish are not physically captured (e.g., only detected on antennas). Incorporation of size uncertainty allows for estimation of size-specific abundances and demonstrates a generally useful method for obtaining state-specific abundances estimates under state uncertainty. Simulation studies comparing models with and without antenna detections illustrate that the benefit of our approach increases as a larger proportion of the population is marked. When applied to two field data sets, our approach to incorporating antenna detections reduced uncertainty in abundance substantially. We conclude that PIT antennas hold great potential for improving abundance estimation, despite the challenges they present.

Canadian Journal of Fisheries and Aquatic Sciences

Origins of invasive piscivores determined from the strontium isotope ratio ( 87 Sr/ 86 Sr) of otoliths

We examined strontium isotope ratios ( 87 Sr/ 86 Sr) in fish otoliths to determine the origins of invasive piscivores in the Upper Colorado River Basin (UCRB, western USA). We examined 87 Sr/ 86 Sr from fishes in different reservoirs, as well as the temporal stability and interspecies variability of 87 Sr/ 86 Sr of fishes within reservoirs, determined if 87 Sr/ 86 Sr would be useful for "fingerprinting" reservoirs where invasive piscivores may have been escaping into riverine habitat of endangered fishes in the UCRB, and looked for evidence that such movement was occurring. Our results showed that in most cases 87 Sr/ 86 Sr was unique among reservoirs, overlapped among species in a given reservoir, and was temporally stable across years. We identified the likely reservoir of origin of river-caught fish in some cases, and we were also able to determine the year of possible escapement. The approach allowed us to precisely describe the 87 Sr/ 86 Sr fingerprint of reservoir fishes, trace likely origins of immigrant river fish, and exclude potential sources, enabling managers to focus control efforts more efficiently. Our results demonstrate the potential utility of 87 Sr/ 86 Sr as a site-specific and temporally stable marker for reservoir fish and its promise for tracking fish movements of invasive fishes in river-reservoir systems.

Upper Colorado River Basin

The rise of U.S. photovoltaics: An exploration of land use density trends in large-scale solar facility attributes, 2012-2021

An energy transition is underway in the United States; renewable energy generation is now on par with coal and nuclear generation. The number of large-scale solar photovoltaic facilities increased approximately tenfold between 2012 and 2021, with an associated 25-fold increase in cumulative installed capacity. With ambitious decarbonization and renewable energy deployment goals at both the federal and state levels, deployments of large-scale solar photovoltaic facilities will continue apace. This growth is likely to be complex with ripples of impacts felt throughout different aspects of society, and thus accurate solar land use metrics allowing more accurate predictions are of value to policymakers, planners, and other stakeholders in the future photovoltaic build-out. In this paper, we leverage data from the newly released US Large-Scale Solar Photovoltaic Database to examine recent trends in large-scale solar photovoltaic land use. We analyze the relationships between solar array capacity density (W/acre) and a range of facility attributes to better understand the future land requirements of solar capacity expansion over the coming years. Installed capacity was the single strongest determinant of solar array area. However, we found substantial variation in capacity density across facility attributes, including mount type, latitude, urbanicity, time, and prior land use.

conterminous United States

A framework for integrating inferred movement behavior into disease risk models

Movement behavior is an important contributor to habitat selection and its incorporation in disease risk models has been somewhat neglected. The habitat preferences of host individuals affect their probability of exposure to pathogens. If preference behavior can be incorporated in ecological niche models (ENMs) when data on pathogen distributions are available, then variation in such behavior may dramatically impact exposure risk. Here we use data from the anthrax endemic system of Etosha National Park, Namibia, to demonstrate how integrating inferred movement behavior alters the construction of disease risk maps. We used a Maximum Entropy (MaxEnt) model that associated soil, bioclimatic, and vegetation variables with the best available pathogen presence data collected at anthrax carcass sites to map areas of most likely Bacillus anthracis (the causative bacterium of anthrax) persistence. We then used a hidden Markov model (HMM) to distinguish foraging and non-foraging behavioral states along the movement tracks of nine zebra ( Equus quagga ) during the 2009 and 2010 anthrax seasons. The resulting tracks, decomposed on the basis of the inferred behavioral state, formed the basis of step-selection functions (SSFs) that used the MaxEnt output as a potential predictor variable. Our analyses revealed different risks of exposure during different zebra behavioral states, which were obscured when the full movement tracks were analyzed without consideration of the underlying behavioral states of individuals. Pathogen (or vector) distribution models may be misleading with regard to the actual risk faced by host animal populations when specific behavioral states are not explicitly accounted for in selection analyses. To more accurately evaluate exposure risk, especially in the case of environmentally transmitted pathogens, selection functions could be built for each identified behavioral state and then used to assess the comparative exposure risk across relevant states. The scale of data collection and analysis, however, introduces complexities and limitations for consideration when interpreting results.

Etosha National Park

Agricultural land use shapes dispersal in white-tailed deer (Odocoileus virginianus)

Background Dispersal is a fundamental process to animal population dynamics and gene flow. In white-tailed deer (WTD; Odocoileus virginianus ), dispersal also presents an increasingly relevant risk for the spread of infectious diseases. Across their wide range, WTD dispersal is believed to be driven by a suite of landscape and host behavioral factors, but these can vary by region, season, and sex. Our objectives were to (1) identify dispersal events in Wisconsin WTD and determine drivers of dispersal rates and distances, and (2) determine how landscape features (e.g., rivers, roads) structure deer dispersal paths. Methods We developed an algorithmic approach to detect dispersal events from GPS collar data for 590 juvenile, yearling, and adult WTD. We used statistical models to identify host and landscape drivers of dispersal rates and distances, including the role of agricultural land use, the traversability of the landscape, and potential interactions between deer. We then performed a step selection analysis to determine how landscape features such as agricultural land use, elevation, rivers, and roads affected deer dispersal paths. Results Dispersal predominantly occurred in juvenile males, of which 64.2% dispersed, with dispersal events uncommon in other sex and age classes. Juvenile male dispersal probability was positively associated with the proportion of the natal range that was classified as agricultural land use, but only during the spring. Dispersal distances were typically short (median 5.77 km, range: 1.3–68.3 km), especially in the fall. Further, dispersal distances were positively associated with agricultural land use in potential dispersal paths but negatively associated with the number of proximate deer in the natal range. Lastly, we found that, during dispersal, juvenile males typically avoided agricultural land use but selected for areas near rivers and streams. Conclusion Land use—particularly agricultural—was a key driver of dispersal rates, distances, and paths in Wisconsin WTD. In addition, our results support the importance of deer social environments in shaping dispersal behavior. Our findings reinforce knowledge of dispersal ecology in WTD and how landscape factors—including major rivers, roads, and land-use patterns—structure host gene flow and potential pathogen transmission.

Wisconsin