Geology ReportsSearch

SEARCH · Geology Reports

Results for “American Wildlife”

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 343 records · Page 19Linked to original sources

Trends and natural variability of North American spring onset as evaluated by a new gridded dataset of spring indices

Climate change is expected to modify the timing of seasonal transitions this century, impacting wildlife migrations, ecosystem function, and agricultural activity. Tracking seasonal transitions in a consistent manner across space and through time requires indices that can be used for monitoring and managing biophysical and ecological systems during the coming decades. Here a new gridded dataset of spring indices is described and used to understand interannual, decadal, and secular trends across the coterminous United States. This dataset is derived from daily interpolated meteorological data, and the results are compared with historical station data to ensure the trends and variations are robust. Regional trends in the first leaf index range from 20.8 to 21.6 days decade21, while first bloom index trends are between20.4 and 21.2 for most regions. However, these trends are modulated by interannual to multidecadal variations, which are substantial throughout the regions considered here. These findings emphasize the important role large-scale climate modes of variability play in modulating spring onset on interannual to multidecadal time scales. Finally, there is some potential for successful subseasonal forecasts of spring onset, as indices from most regions are significantly correlated with antecedent large-scale modes of variability.

Journal of Climate

Seasonal variation in sensitivity of larval sea lampreys to the lampricide 3-trifluoromethyl-4-nitrophenol

We evaluated the sensitivity of larval sea lampreys Petromyzon marinus to the lampricide 3-trifluoromethyl-4-nitrophenol (TFM) in a series of toxicity tests in spring and summer. Although noted previously, the seasonal variation in sensitivity to TFM had never been tested as a means of reducing TFM usage in stream treatments. A preliminary study consisted of three spring and four summer static toxicity tests conducted at 12??C. A more comprehensive study consisted of 12 spring and summer paired flow-through toxicity tests conducted both at seasonal water temperatures and at 12??C. The sensitivity of larval sea lampreys to TFM was greater in spring than in summer. The preliminary static toxicity tests indicated that the concentration of TFM needed to kill larval sea lampreys in spring (May and June) was about one-half that required in summer (August); the concentrations lethal to 50% and 99.9% of the test animals (the LC50 and LC99.9 values) were less in spring than in summer. Analysis of variance of the flow-through toxicity data indicated that season significantly affected both the LC50 and LC99.9 values. For all 12 paired flow-through toxicity tests, the spring LC50 and LC99.9 values were less than the corresponding summer values. For 9 of the 12 paired flow-through toxicity tests, the dose-response toxicity lines were parallel and allowed statistical comparison of the LC50 values. The spring LC50 values were significantly lower than the summer values in eight of the nine tests. Verification of a seasonal variation in the sensitivity of larval sea lampreys to TFM will allow inclusion of this factor in the selection model currently used by both the U.S. Fish and Wildlife Service and the Department of Fisheries and Oceans-Canada to schedule lampricide stream treatments. ?? Copyright by the American Fisheries Society 2008.

North American Journal of Fisheries Management

Characterization of Toxoplasma gondii from raccoons (Procyon lotor), coyotes (Canis latrans), and striped skunks (Mephitis mephitis) in Wisconsin identified several atypical genotypes

During 2005-2006, sera and tissues from raccoons (Procyon lotor), coyotes (Canis latrans), and skunks (Mephitis mephitis) from the state of Wisconsin were tested for Toxoplasma gondii infection. Antibodies to T. gondii were found in 32 of 54 (59.2%) raccoons, 18 of 35 (51.4%) coyotes, and 5 of 7 (71.4%) skunks using the modified agglutination test and a cut-off titer of 1:20. Pooled tissues (brains, hearts, and tongues) from 30 raccoons, 15 coyotes, and 1 skunk were bioassayed for T. gondii infection in mice or cats. Viable T. gondii was isolated from 5 of 30 (16.7%) raccoons, 6 of 15 (40.0%) coyotes, and the skunk. Genetic characterization of the 12 parasite isolates by multilocus PCR-RFLP markers revealed 6 different genotypes including 5 atypical and 1 archetypal II lineages. The results indicate the prevalence of T. gondii in wildlife mammals is high and that these animals may serve as an important reservoir for transmission of T. gondii. ?? American Society of Parasitologists 2007.

Conference Paper

Ecological implications of Laurel Wilt infestation on Everglades Tree Islands, southern Florida

There is a long history of introduced pests attacking native forest trees in the United States (Liebhold and others, 1995; Aukema and others, 2010). Well-known examples include chestnut blight that decimated the American chestnut ( Castanea dentata ), an extremely important tree in the eastern United States, both as a food source for wildlife and humans and for the wood; Dutch elm disease that attacks native elms ( Ulmus spp.), including those commonly planted as shade trees along city streets; and the balsam wooly adelgid (Adelges piceae), an insect that is destroying Fraser firs ( Abies fraseri ) in higher elevations of Great Smoky Mountains National Park. Laurel wilt, a fungal disease transmitted by the redbay ambrosia beetle (Xyleborus glabratus), is a 21st-century example of an introduced forest pest that attacks native tree species in the laurel family (Lauraceae) (Mayfield, 2007; Hulcr and Dunn, 2011). The introduction of laurel wilt disease has been traced to the arrival of an Asian ambrosia beetle ( Xyleborus glabratus ) at Port Wentworth, Georgia, near Savannah, in 2002, apparently accidently introduced in wooden shipping material (Mayfield, 2007). Within the next 2 years, it was determined that the non-native wood-boring insect was the vector of an undescribed species of fungus, responsible for killing large numbers of red bay ( Persea borbonia ) trees in the surrounding area. Dispersing female redbay ambrosia beetles drill into live trees and create tunnels in the wood. They carry with them fungal spores in specialized organs called mycangia at the base of each mandible and sow the spores in the tunnels they excavate. The fungus, since named Raffaelea lauricola (Harrington and others, 2008), is the food source for adults and larvae. The introduction of Raffaelea lauricola causes the host plant to react in such a way as to block the vascular tissue, resulting in loss of water conduction, wilt, and death (Kendra and others, 2013). Although first seen in red bay, laurel wilt disease also kills other native trees that are members of the laurel family, including swamp bay ( Persea palustris ), silk bay ( Persea borbonia var. humilis ), and sassafras ( Sassafras albidum ), as well as the economically important cultivated avocado ( Persea americana ) (Fraedrich and others, 2008). This paper is concerned primarily with swamp bay, an important component of Everglades tree islands. The spread of the redbay ambrosia beetle and its fungal symbiont has been very rapid, exceeding model predictions (Koch and Smith, 2008); by 2011, laurel wilt disease was found from the southern coastal plain of North Carolina to southern peninsular Florida. The first redbay ambrosia beetle was trapped in Miami-Dade County in March 2010, and laurel wilt disease was discovered in swamp bays in February 2011 and in commercial avocado groves about a year later (Kendra and others, 2013). By 2013, laurel wilt disease was seen in swamp bays throughout the southern Everglades in Everglades National Park, Big Cypress National Preserve, and Water Conservation Areas (WCAs) 3A and 3B (Rodgers and others, 2014).

Florida

Mycoplasmal conjunctivitis in wild songbirds: The spread of a new contagious disease in a mobile host population

A new mycoplasmal conjunctivitis was first reported in wild house finches ( Carpodacus mexicanus ) in early 1994. The causative agent was identified as Mycoplasma gallisepticum (MG), a nonzoonotic pathogen of poultry that had not been associated with disease in wild songbirds. Since the initial observations of affected house finches in the mid-Atlantic region, the disease has become widespread and has been reported throughout the eastern United States and Canada. By late 1995, mycoplasmal conjunctivitis had spread to an additional species, the American goldfinch ( Carduelis tristis ). This new disease exemplifies the rapid spread of a pathogen following introduction into a mobile wildlife population and provides lessons that may apply to emerging human diseases.

Emerging Infectious Diseases

Long-term spotlight surveys of American alligators in Mississippi, USA

Accurate population estimates and assessments of trajectory are an essential part of harvest management for game species and conservation action plans for protected species. Long-term monitoring can lead to ecological understanding by identifying biotic and abiotic drivers of population dynamics. Spotlight surveys are a widely used method to monitor abundance and size-class structure of crocodilian populations. The American Alligator (Alligator mississippiensis) has recovered from significant population reductions in the southeastern United States. The Mississippi Department of Wildlife, Fisheries, and Parks (MDWFP) has conducted alligator spotlight surveys since 1971 to monitor populations. We analyzed this long-term alligator survey dataset to assess possible trends in counts as a proxy for potential population changes. We tested for a positive trend in count data over 46 y and evaluated covariates that could influence counts to assist future survey protocols. Alligator counts during 1971– 2016 increased across survey routes in Mississippi. This observed positive response may represent an increase of the alligator population in Mississippi as a result of conservation benefits accrued from improved wetland conditions and species-specific management policies. Evaluation of survey covariates indicated recent rainfall and increasing wind velocity had negative effects on alligator counts while increasing water temperature had a positive effect. Implementing robust survey techniques will improve the reliability of alligator monitoring data and their application to the management of alligator populations. Further, these improved approaches may be useful to other conservation and management agencies as well as for other crocodilian species.

Mississippi

Evaluation of connectivity among black bear populations in Georgia

Habitat fragmentation and loss contribute to isolation of wildlife populations and increased extinction risks for various species, including many large carnivores. We studied a small and isolated population of American black bears ( Ursus americanus ) that is of conservation concern in central Georgia, USA (i.e., central Georgia bear population [CGBP]). Our goal was to evaluate the potential for demographic and genetic interchange from neighboring bear populations to the CGBP. To evaluate resource selection and movement potential, we used 35,487 global positioning system locations collected every 20 minutes from 2012 to 2014 from 33 male bears in the CGBP. We then developed a step selection function model based on conditional logistic regression. Male bears chose steps that avoided crops, roads, and human developments and were closer to forests and woody wetlands than expected based on availability. We used a geographic information system to simulate 300 bear movement paths from nearby bear populations in northern Florida, northern Georgia, and southern Georgia to estimate the potential for immigration to the CGBP. Only 4 simulated movement paths from the nearby populations intersected the CGBP. The creation of a hypothetical 1-km-wide corridor between the southern Georgia population and the CGBP produced only minor improvements in interchange. Our findings suggest that demographic connectivity between the CGBP and surrounding bear populations may be limited, and coupled with previous works showing genetic isolation in the CGBP, that creation of corridors may have only marginal effects on restoring gene flow, at least in the near term. Management actions such as translocation and the establishment of stepping stone populations may be needed to increase the genetic diversity and demographic stability of bears in the CGBP. © 2021 The Wildlife Society.

Florida Georgia, North Carolina, South Carolina

Use of museum specimens to refine historical pronghorn subspecies boundaries

Endangered Sonoran ( Antilocapra americana sonoriensis ) and Peninsular ( A. a. peninsularis ) pronghorn persist largely because of captive breeding and reintroduction efforts. Recovery team managers want to re-establish pronghorn in their native range, but there is currently uncertainty regarding the subspecies status of extinct pronghorn populations that historically inhabited southern California, USA, and northern Baja California, Mexico. To address this uncertainty, we genotyped museum specimens and conducted phylogenetic and population genetic analyses of historical data in the context of 3 contemporary pronghorn populations. The historical northern Baja California pronghorn share the most ancestry with contemporary Peninsular pronghorn, whereas pronghorn in southern California share more ancestry with contemporary American ( A. a. americana ) pronghorn. For reintroductions into northern Baja California, the Peninsular subspecies is more appropriate based on museum genetic data. For reintroductions into Southern California, ecological and genetic factors are both important, as the subspecies most genetically related to historical populations (American) may not be well-adapted to the hot, low-elevation deserts of the reintroduction area. © 2019 The Wildlife Society.

California

Response of brown-headed cowbirds and three host species to thinning treatments in low-elevation ponderosa pine forests along the northern Colorado Front Range

Thinning ponderosa pine ( Pinus ponderosa ) forests to achieve desired ecological conditions remains a priority in the North American west. In addition to reducing the risk of high-severity wildfires in unwanted areas, stand thinning may increase wildlife and plant diversity and provide increased opportunity for seedling recruitment. We initiated conservative (i.e. minimal removal of trees) ponderosa stand thinning treatments with the goals of reducing fire risk and improving habitat conditions for native wildlife and flora. We then compared site occupancy of brown-headed cowbirds ( Molothrus ater ), chipping sparrows ( Spizella passerina ), plumbeous vireos ( Vireo plumbeus ), and western wood-pewees ( Contopus sordidulus ) in thinned and unthinned (i.e., control) forest stands from 2007 to 2009. Survey stations located in thinned stands had 64% fewer trees/ha, 25% less canopy cover, and 23% less basal area than stations in control stands. Occupancy by all three host species was negatively associated with tree density, suggesting that these species respond favorably to forest thinning treatments in ponderosa pine forests. We also encountered plumbeous vireos more frequently in plots closer to an ecotonal (forest/grassland) edge, an association that may increase their susceptibility to edge-specialist, brood parasites like brown-headed cowbirds. Occupancy of brown-headed cowbirds was not related to forest metrics but was related to occupancy by plumbeous vireos and the other host species in aggregate, supporting previous reports on the affiliation between these species. Forest management practices that promote heterogeneity in forest stand structure may benefit songbird populations in our area, but these treatments may also confer costs associated with increased cowbird occupancy. Further research is required to understand more on the complex relationships between occupancy of cowbirds and host species, and between cowbird occupancy and realized rates of nest parasitism.

Colorado

Bathymetry and capacity of Shawnee Reservoir, Oklahoma, 2016

Shawnee Reservoir (locally known as Shawnee Twin Lakes) is a man-made reservoir on South Deer Creek with a drainage area of 32.7 square miles in Pottawatomie County, Oklahoma. The reservoir consists of two lakes connected by an equilibrium channel. The southern lake (Shawnee City Lake Number 1) was impounded in 1935, and the northern lake (Shawnee City Lake Number 2) was impounded in 1960. Shawnee Reservoir serves as a municipal water supply, and water is transferred about 9 miles by gravity to a water treatment plant in Shawnee, Oklahoma. Secondary uses of the reservoir are for recreation, fish and wildlife habitat, and flood control. Shawnee Reservoir has a normal-pool elevation of 1,069.0 feet (ft) above North American Vertical Datum of 1988 (NAVD 88). The auxiliary spillway, which defines the flood-pool elevation, is at an elevation of 1,075.0 ft. The U.S. Geological Survey (USGS), in cooperation with the City of Shawnee, has operated a real-time stage (water-surface elevation) gage (USGS station 07241600) at Shawnee Reservoir since 2006. For the period of record ending in 2016, this gage recorded a maximum stage of 1,078.1 ft on May 24, 2015, and a minimum stage of 1,059.1 ft on April 10–11, 2007. This gage did not report reservoir storage prior to this report (2016) because a sufficiently detailed and thoroughly documented bathymetric (reservoir-bottom elevation) survey and corresponding stage-storage relation had not been published. A 2011 bathymetric survey with contours delineated at 5-foot intervals was published in Oklahoma Water Resources Board (2016), but that publication did not include a stage-storage relation table. The USGS, in cooperation with the City of Shawnee, performed a bathymetric survey of Shawnee Reservoir in 2016 and released the bathymetric-survey data in 2017. The purposes of the bathymetric survey were to (1) develop a detailed bathymetric map of the reservoir and (2) determine the relations between stage and reservoir storage capacity and between stage and reservoir surface area. The bathymetric map may serve as a baseline to which temporal changes in storage capacity, due to sedimentation and other factors, can be compared. The stage-storage relation may be used in the reporting of real-time Shawnee Reservoir storage capacity at USGS station 07241600 to support water-resource management decisions by the City of Shawnee.

Oklahoma

Assessing habitat selection in Spring by male American Woodcock in Maine with a geographic information system

Geographic information system (GIS) technology was used to identify habitats available to and used by male American woodcock (Scolopax minor) equipped with radio transmitters--54 in 1987, 51 in 1988, 46 in 1989 at Moosehorn National Wildlife Refuge, Maine. Woodcock were monitored from time of capture (25 March-15 April) to 15 June each year. To determine habitat selection by male woodcock, the following habitat characteristics were measured: land cover, age and stocking density of the forest overstory, soil drainage and texture, aspect, and percent slope. Habitat selection was examined as affected by the covariates weather and age-class of woodcock, and among years for diurnal and crepuscular periods of the breeding period. Multivariate techniques that compare use and availability of habitats were not available, so a statistical model was developed to rate importance of multiple habitat characteristics selected by woodcock. The most critical period for woodcock in terms of survival was from arrival to: mid-April. Second-year and after-second-year woodcock did not select different (P > 0.05) habitat types, but they did select different types among years and within breeding intervals (P < 0.05). In years when weather was moderate, woodcock selected young, dense stands of speckled alder (Alnus rugosa) and hardwoods, interspersed with forest openings. Suitable habitat can be maintained by creating an uneven-aged forest managed in even-aged blocks composed of several hardwood species. Managers can now quantify suitable woodcock habitat in a GIS and plan large-scale forest-harvesting strategies using data on several habitat characteristics (e.g., land cover, stand age, stocking density, soil drainage and texture, and aspect).

Book chapter

Habitat suitability index model improvements

Habitat suitability index (HSI) models were developed for the 2023 Coastal Master Plan to evaluate the potential effects of coastal restoration and protection projects on habitat for key coastal fish, shellfish, and wildlife species. These species included: eastern oyster, brown shrimp, white shrimp, blue crab, crayfish, gulf menhaden, spotted seatrout, largemouth bass, American alligator, gadwall, mottled duck, brown pelican, seaside sparrow, and bald eagle. Most of these species were included in the 2017 Coastal Master Plan analyses, and the HSI models from that effort were refined and improved following the recommendations described in the technical memorandum: 2023 Coastal Master Plan Habitat Suitability Index Model Improvement Recommendations (Sable et al., 2019). In addition to model improvements, HSI models were created for seaside sparrow and bald eagle, both of which are new species for the master plan analyses. For the HSI models that are primarily literature-based, literature reviews were conducted for recent studies that could be used to improve the suitability index (SI) relationships that compose the models. As a result of this review, modifications were made to the salinity-related SIs of the oyster model including: expanding the time period used for salinity effects to spawning; adjusting the range of suitable annual average salinity to be more representative of Louisiana populations; and making oyster’s minimum salinity tolerance temperature dependent. In addition, a new SI was incorporated in the oyster HSI model that accounts for the effects of sediment deposition on oysters. The crayfish HSI model was improved by adjusting the time periods used for the SIs that describe the hydrology required for the crayfish life cycle, and the soil characteristics SI that was part of the 2017 crayfish model was removed because soil conditions do not appear to be limiting for crayfish burrow construction in coastal Louisiana. The other literature-based HSI models from the 2017 Coastal Master Plan, i.e., American alligator, gadwall, mottled duck, and brown pelican, were unchanged, with the exception of a small adjustment made to the suitability of forested wetlands for gadwall. Lastly, a literature-based HSI model was created for seaside sparrow that consists of SIs related to vegetated habitat type, marsh vegetation coverage, and marsh elevation. Statistical-based HSI models were developed for brown shrimp (both small and large juvenile stages), white shrimp (small and large juvenile stages), blue crab (juvenile stage), gulf menhaden (juvenile and adult stages), spotted seatrout (juvenile and adult stages), largemouth bass, and bald eagle. The bald eagle HSI model was developed from a bald eagle nest probability of occurrence model that related nest occurrence from survey data with land cover type. The resulting model showed that combinations of forested wetlands, flotant marsh, and open water habitats were most suitable for nesting bald eagles. The 2023 fish, shrimp, and blue crab HSI models were developed using new approaches for the formulation of the water quality and structural habitat SIs that compose the models. For the 2017 models, the water quality SI was derived using only generalized linear mixed models (GLMMs) to estimate the relationship between salinity, water temperature, and species’ catch. For the 2023 models, however, multiple GLMMs and generalized additive models (GAMMs) were created for each species or life stage. These alternative models were compared and a single model that performed well statistically and was ecologically reasonable was selected for the species’ water quality SI. The structural habitat SI was developed using a meta-analysis of published literature to estimate the relative importance of various estuarine habitats to the fish and shellfish species. The results of this analysis were then used to modify the 2017 structural habitat SI relationship to account for the added habitat value of submerged aquatic vegetation and oyster reefs, which are also important habitats for juvenile fish and shellfish. Similar to the 2017 fish, shrimp, and blue crab models, the water quality and structural habitat SIs were then combined to create the 2023 HSI models. The 2023 Coastal Master Plan HSI models were integrated with the Integrated Compartment Model (and are referred to as ICM-HSIs) and tested using environmental output from the 2017 Coastal Master Plan Future Without Action scenario. The tests showed that, in general, the models produced reasonable representations of species’ habitat distribution. Furthermore, the improvements made to the oyster, crayfish, fish, shrimp, and blue crab HSI models generally yielded more realistic results compared to the 2017 HSI models.

Report

Testing the efficacy of industrial mitigation measures for caribou in the Arctic

1. Mitigation measures are commonly employed to reduce the negative effects of industrial development on wildlife but are not often evaluated for their efficacy. For example, oil fields in the Arctic typically incorporate design features intended to increase permeability for migratory, barren-ground caribou ( Rangifer tarandus) , even though there is limited empirical evidence of the effectiveness of some of these features. 2. Given expected increases in energy development in the North American Arctic, we examined whether two mitigation measures commonly used for migratory caribou, elevating pipelines and separating roads and pipelines, were effective at increasing the probability caribou would cross infrastructure. 3. We conducted our investigation on adult female caribou in the Central Arctic Herd of Alaska during summer, analyzing movement data from telemetry collars (2015-2020) in conjunction with spatial data on oil field infrastructure. To evaluate whether caribou would cross infrastructure as a function of the mitigation measures, we employed a generalized additive modeling framework capable of detecting non-linear and threshold responses. 4. We found that caribou were more likely to cross a pipeline when the nearest pipeline was elevated (≥1.9-m), a result that supports current mitigation recommendations. We also found that caribou were more likely to cross both a road and pipeline when they were directly adjacent to one another, as opposed to being spatially separated, a result that contradicts recommended mitigation strategies. 5. Synthesis and applications . As new energy projects are designed and implemented in environments around the globe, it is important to ensure that mitigation efforts for wildlife are scientifically validated for their efficacy. In the North American Arctic, such efforts will be critical for minimizing the impacts of expanding industrial development on migratory caribou and on the human communities that rely on them for subsistence.

Alaska

Influence of climate change on productivity of American White Pelicans, Pelecanus erythrorhynchos

In the past decade, severe weather and West Nile virus were major causes of chick mortality at American white pelican (Pelecanus erythrorhynchos) colonies in the northern plains of North America. At one of these colonies, Chase Lake National Wildlife Refuge in North Dakota, spring arrival by pelicans has advanced approximately 16 days over a period of 44 years (1965–2008). We examined phenology patterns of pelicans and timing of inclement weather through the 44-year period, and evaluated the consequence of earlier breeding relative to weather-related chick mortality. We found severe weather patterns to be random through time, rather than concurrently shifting with the advanced arrival of pelicans. In recent years, if nest initiations had followed the phenology patterns of 1965 (i.e., nesting initiated 16 days later), fewer chicks likely would have died from weather-related causes. That is, there would be fewer chicks exposed to severe weather during a vulnerable transition period that occurs between the stage when chicks are being brooded by adults and the stage when chicks from multiple nests become part of a thermally protective crèche.

North Dakota

Assessing the risks posed by SARS-CoV-2 in and via North American bats — Decision framing and rapid risk assessment

The novel β-coronavirus, SARS-CoV-2, may pose a threat to North American bat populations if bats are exposed to the virus through interaction with humans, if the virus can subsequently infect bats and be transmitted among them, and if the virus causes morbidity or mortality in bats. Further, if SARS-CoV-2 became established in bat populations, it could possibly serve as a source for new infection in humans, domesticated animals, or other wild animals. Wildlife management agencies in the United States are concerned about these potential risks and have begun to issue guidance regarding work that brings humans into contact with bats, but decision making is difficult because of the high degree of uncertainty about many of the relevant processes that could lead to virus transmission and establishment. The risk assessment described in this report was undertaken to provide management agencies with an understanding of the likelihood that the various steps in the causal pathways would lead to SARS-CoV-2 infection of North American bats from people. This assessment focused on the active season for bats in the temperate zone of North America (April 15 through November 15), and used Myotis lucifugus (little brown bats) as a surrogate species. At the time of this work (April 2020), no empirical data about the effects of SARS-CoV-2 on North American bats were available, so a formal process of expert judgment was used to elicit estimates of the underlying parameters. Twelve experts in bat ecology, epidemiology, virology, and wildlife disease from the United States, United Kingdom, and Australia participated in the elicitation. A Monte Carlo simulation model was used to integrate the parameter estimates elicited from the experts and to predict the likelihood of exposure and infection in bats through a series of transmission pathways, with particular attention to capturing uncertainty in the predictions. Given the current state of knowledge as expressed by the expert panel, the results of this assessment indicate that there is a non-negligible risk of transmission of SARS-CoV-2 from humans to bats. For example, if a research scientist were shedding SARS-CoV-2 virus while handling bats under the field protocols used in North America prior to the COVID-19 pandemic, the risk model indicates that 50 percent (uncertainty, 15–84 percent) of those bats could be exposed to virus, and 17 percent (uncertainty, 3–51 percent) could become infected. Use of personal protective equipment, especially a respirator, is expected to reduce the exposure risk. The expert panel estimated that exposure risk from research scientists could be reduced 94–96 percent (uncertainty, 86–99 percent) through proper use of appropriate N95 respirators (a type of mechanical filter worn over the nose and mouth), dedicated clothing (such as Tyvek coveralls), and gloves. Should any North American bats become infected with SARS-CoV-2, the expert panel estimated that there is an approximately 33-percent chance the virus could spread within a bat population. This study, conducted by the U.S. Geological Survey in cooperation with the U.S. Fish and Wildlife Service, identified several critical uncertainties that could affect the estimate of risks associated with SARS-CoV-2 entering bat populations—notably, the underlying probability that a human would be shedding virus while working with bats, the likelihood of the virus replicating in bat tissue, and the likelihood of transmission of the virus within bat populations. Ongoing empirical work during May–October 2020 may shed light on these issues. Follow-up work is needed to better understand the probability of transmission of SARS-CoV-2 to bats from the general public; the manner in which the probabilities of exposure, infection, and transmission would differ during hibernation compared to the breeding season; and the likelihood of important effects, like morbidity and mortality in bats, the possibility of zoonosis from a North American bat reservoir, and effects of and on other wildlife.

North America