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Day-roosts of female long-eared myotis in western Oregon

Roosts are a critical habitat component for bats and may influence their survival and fitness. We used radiotelemetry to investigate characteristics of day-roosts of female long-eared myotis ( Myotis evotis ) in watersheds characterized by different forest conditions and the spatial relationships between day-roosts and available water. We tracked 21 bats to 73 roosts ( n = 102 occasions) from June to August 1996 and 1997 on the western slope of the Cascade Mountains, Oregon. Bats primarily used conifer stumps as day-roosts in watersheds dominated by younger forests and used conifer snags, and to a lesser extent conifer stumps, in watersheds with greater proportions of older forests. Individual long-eared myotis used different types of structures as day-roosts, and type of structure used did not differ with reproductive condition. Day-roosts were primarily located in upslope habitat and averaged 0.59 ± 0.03 km from available water and 0.66 ± 0.02 km from capture sites. Roosts were not located closer to available water than random points, but were closer than random points to captures sites. Conifer snags used as day-roosts averaged 34 ± 5 m in height and 93 ± 12 cm diameter at breast height (dbh); snags in intermediate stages of decay had highest use. Use of conifer snags was positively associated with the number of snags within 20 m and negatively associated with distance from stand edge. Conifer stumps used as day-roosts averaged 133 ± 9 cm in height and 59 ± 4 cm dbh. Western hemlock and Douglas-fir stumps were used more often than western redcedar stumps as day-roosts. Odds of a stump being used as a day-roost increased with increasing height of the stump (downhill side) and whether it was situated in a gap in vegetation. We contend that management of day-roosts for forest-dwelling bats should focus on maintaining large conifer snags across landscapes through space and time. In landscapes where there are relatively few large conifer snags, stumps appear to provide important, but ephemeral, roosts for long-eared myotis.

Oregon

Species richness and distributions of boreal waterbirds in relation to nesting and brood-rearing habitats

Identification of ecological factors that drive animal distributions allows us to understand why distributions vary temporally and spatially, and to develop models to predict future changes to populations–vital tools for effective wildlife management and conservation. For waterbird broods in the boreal forest, distributions are likely driven by factors affecting quality of nesting and brood-rearing habitats, and the influence of these factors may extend beyond singles species, affecting the entire waterbird community. We used occupancy models to assess factors influencing species richness of waterbird broods on 72 boreal lakes, along with brood distributions of 3 species of conservation concern: lesser scaup ( Aythya affinis ), white-winged scoters ( Melanitta fusca ), and horned grebe ( Podiceps auritus ). Factors examined included abundance of invertebrate foods (Amphipoda, Diptera, Gastropoda, Hemiptera, Odonata), physical lake attributes (lake area, emergent vegetation), water chemistry (nitrogen, phosphorus, chlorophyll a concentrations), and nesting habitats (water edge, non-forest cover). Of the 5 invertebrates, only amphipod density was related to richness and occupancy, consistently having a large and positive relationship. Despite this importance to waterbirds, amphipods were the most patchily distributed invertebrate, with 17% of the study lakes containing 70% of collected amphipods. Lake area was the only other covariate that strongly and positively influenced species richness and occupancy of scaup, scoters, and grebes. All 3 water chemistry covariates, which provided alternative measures of lake productivity, were positively related to species richness but had little effect on scaup, scoter, and grebe occupancy. Conversely, emergent vegetation was negatively related to richness, reflecting avoidance of overgrown lakes by broods. Finally, nesting habitats had no influence on richness and occupancy, indicating that, at a broad spatial scale, brood distributions are largely driven by the presence of quality brood-rearing lakes, not nesting habitats. Our findings are relevant to generating conservation plans or management goals; specifically, boreal lakes with abundant amphipods and surface areas >25 ha are important habitat for waterbird broods and merit conservation, especially given the patchy distribution of amphipods. Moreover, these high quality brood-rearing lakes are much rarer, and thus more constraining, than are quality nesting habitats, which are likely abundant in the boreal.

Alaska

Confronting uncertainty: Contributions of the wildlife profession to the broader scientific community

Most wildlife professionals are engaged in 1 or both of 2 basic endeavors: science and management. These endeavors are a focus of many other disciplines, leading to widespread sharing of general methodologies. Wildlife professionals have appropriately borrowed and assimilated many methods developed primarily in other disciplines but have also led the development of one class of quantitative methods, those that confront and incorporate uncertainty. Uncertainty arises in counts of focal entities, for which wildlife professionals have developed effective methods to deal with the common problems of nondetection and misclassification. These methods have been borrowed by disciplines as varied as paleobiology, medicine, human epidemiology, industrial quality control, military target acquisition, remote sensing, and human census. Uncertainty also arises in the modeling of those counts, specifically the observation and ecological processes that generated them. Wildlife professionals recognized the fundamental importance of model selection and rapidly assimilated methods for selecting the most appropriate model for a given data set. These methods for dealing with uncertainty inherent to counting and modeling are critical to the conduct of science and management. Wildlife professionals have developed additional methods for incorporating uncertainty in the accumulation of knowledge and the development of optimal decisions in an environment of learning. In some cases, professionals in other disciplines are using methods developed and popularized in the wildlife profession, but there is much potential for greater use. In this essay, I describe these areas of wildlife leadership, document their assimilation by other disciplines, and emphasize the potential for more interdisciplinary use of these methods.

Journal of Wildlife Management

Denning chronology and design of effective bear management units

Reports on the effectiveness of using late fall hunting seasons to reduce the proportion of female black bears (Ursus americanus) in the harvest are limited, and the geographic scale over which the technique functions as intended has not been examined. During 1992-2000, we radio-equipped black bears in New Mexico, USA, obtained estimates of 175 den entry and 137 den emergence dates, and used New Mexico Department of Game and Fish harvest data (1985-2000) to test for differences in proportion of females in the harvest relative to denning chronology. Bears in northern New Mexico entered dens earlier and emerged later than bears in southern New Mexico (P ??? 0.001). In northern New Mexico bears displayed the typical pattern of earlier entry and later emergence by reproductive females, proportion of females in the harvest varied over time as expected, and late fall seasons were effective (P ??? 0.10). In contrast, denning chronology did not differ by sex in southern New Mexico, proportion of females in the harvest did not change over time, and late fall seasons were not effective (P ??? 0.18). Manipulation of hunting season dates to influence female mortality can be an effective tool, however our study provides an example of an area where denning chronology did not differ by sex and late seasons were not effective. We also observed regional differences in timing of entrance and emergence, which suggest that scale of application may be key. In management jurisdictions that encompass ecologically distinct areas, cover a wide range of latitudes, or are mountainous, successful use of the technique may depend on knowledge of denning chronology at multiple locations and appropriate designation of hunting unit boundaries, season dates, and data analysis units.

Journal of Wildlife Management

Behavioral connectivity among bighorn sheep suggests potential for disease spread

Connectivity is important for population persistence and can reduce the potential for inbreeding depression. Connectivity between populations can also facilitate disease transmission; respiratory diseases are one of the most important factors affecting populations of bighorn sheep ( Ovis canadensis ). The mechanisms of connectivity in populations of bighorn sheep likely have implications for spread of disease, but the behaviors leading to connectivity between bighorn sheep groups are not well understood. From 2007–2012, we radio-collared and monitored 56 bighorn sheep in the Salmon River canyon in central Idaho. We used cluster analysis to define social groups of bighorn sheep and then estimated connectivity between these groups using a multi-state mark-recapture model. Social groups of bighorn sheep were spatially segregated and linearly distributed along the Salmon River canyon. Monthly probabilities of movement between adjacent male and female groups ranged from 0.08 (±0.004 SE) to 0.76 (±0.068) for males and 0.05 (±0.132) to 0.24 (±0.034) for females. Movements of males were extensive and probabilities of movement were considerably higher during the rut. Probabilities of movement for females were typically smaller than those of males and did not change seasonally. Whereas adjacent groups of bighorn sheep along the Salmon River canyon were well connected, connectivity between groups north and south of the Salmon River was limited. The novel application of a multi-state model to a population of bighorn sheep allowed us to estimate the probability of movement between adjacent social groups and approximate the level of connectivity across the population. Our results suggest high movement rates of males during the rut are the most likely to result in transmission of pathogens among both male and female groups. Potential for disease spread among female groups was smaller but non-trivial. Land managers can plan grazing of domestic sheep for spring and summer months when males are relatively inactive. Removal or quarantine of social groups may reduce probability of disease transmission in populations of bighorn sheep consisting of linearly distributed social groups.

Journal of Wildlife Management

Grizzly bear depredation on grazing allotments in the Yellowstone ecosystem

Grizzly bear (Ursus arctos) conflicts with humans, including livestock depredation on public land grazing allotments, have increased during the last several decades within the Greater Yellowstone Ecosystem (GYE) in the western United States as the grizzly bear population has grown in number and occupied range. Minimizing conflicts and improving conservation efficacy requires information on the relationships between livestock depredations, allotment management, grizzly bear habitat conditions, and their interactions. We used generalized linear mixed models to evaluate spatio-temporal relationships between grizzly bear depredation of livestock and the characteristics of 316 United States Department of Agriculture Forest Service and National Park Service grazing allotments in the GYE during 1992–2014. We evaluated relationships at 2 spatial extents, representing daily and annual grizzly bear activity areas. During the study period, more grazing allotments became occupied by grizzly bears and most livestock depredations were associated with these areas of population expansion. Number of livestock (beta = 1.15 +/- 0.19 [SE]) and grizzly bear density index (beta = 1.13 +/- 0.10) had the greatest effects on the number of livestock depredation events relative to other allotment attributes. Estimated number of depredation events increased by approximately 20% when cow-calf pairs increased by 100 pairs and grizzly bear density index increased by 1 bear/196 km2 (the average annual home-range size of a female grizzly bear in the GYE). Additionally, grazing allotment size was positively related to the number of depredation events (beta = 0.56 +/- 0.16), whereas the presence of bull cattle or horses was associated with an approximately 50% reduction in depredations (beta = -0.71 +/- 0.37). Livestock depredation events were greater for allotments with lower road density (beta = -0.89 +/- 0.28), less rugged terrain (beta = -0.57 +/- 0.25), higher vegetative primary productivity (beta = 0.33 +/- 0.16), and more whitebark pine coverage (beta = 0.30 +/- 0.15). Relationships between depredations and grizzly bear habitat conditions varied across spatial extents. As the grizzly bear population continues to expand, natural resource managers and livestock producers could focus efforts on allotments with a higher density of grizzly bears, fewer roads, and quality grizzly bear habitat, including higher vegetative productivity, when developing cooperative management plans and preventative measures to reduce the likelihood of depredation. The perspectives gained from our analysis provide context for long-term, landscape-level planning to accommodate livestock production on public lands while meeting conservation goals for grizzly bears.

Idaho, Montana, Wyoming

Conservation implications of spatiotemporal variation in the terrestrial ecology of Western spadefoots

Conservation of species reliant on ephemeral resources can be especially challenging in the face of a changing climate. Western spadefoots ( Spea hammondii ) are small burrowing anurans that breed in ephemeral pools, but adults spend the majority of their lives underground in adjacent terrestrial habitat. Western spadefoots are of conservation concern throughout their range because of habitat loss, but little is known about the activity patterns and ecology of their terrestrial life stage. We conducted a radio-telemetry study of adult western spadefoots at 2 sites in southern California, USA, from December 2018 to November 2019 to characterize their survival, behavior, and movements from breeding through aestivation to refine conservation and management for the species. Western spadefoot survival varied seasonally, with risk of mortality higher in the active season than during aestivation. The probability of movement between successive observations was higher during the winter and spring and when atmospheric moisture was high and soil water content at 10-cm depth was low. The amount of rain between observations had the strongest effect on the probability of movement between observations; for every 20 mm of rainfall between observations, western spadefoots were 2.4 times more likely to move. When movements occurred, movement rates were highest when both relative humidity and soil water content at 10-cm depth were high. The conditions under which western spadefoots were likely active on the surface, likely to have moved, and moved at the highest rates are conditions that reduce the risk of desiccation of surface-active spadefoots. Western spadefoot home range areas varied between study sites and were mostly <1 ha, although 1 individual's home range area was >6 ha. Western spadefoots rapidly dispersed from the breeding pools, and asymptotic distances from the breeding pool were generally reached by June. The asymptotic distance from the breeding pool varied between sites, with the 95th percentile of the posterior predictive distribution reaching 486 m at 1 site and 187 m at the other. Western spadefoots did not select most habitat components disproportionately to their availability, but at Crystal Cove State Park, they avoided most evaluated vegetation types (graminoids, forbs, and shrubs). Spatial variation was evident in most evaluated western spadefoot behaviors; context-dependent behavior suggests that site-specific management is likely necessary for western spadefoots. Furthermore, comparison with an earlier study of western spadefoots at Crystal Cove State Park indicated substantial temporal variation in western spadefoot behavior. Therefore, basing management decisions on short-term studies might fail to meet conservation objectives. Better understanding the influences of spatial context and climatic variation on western spadefoot behavior will improve conservation efforts for this species.

California

Harvest and dynamics of duck populations

The role of harvest in the dynamics of waterfowl populations continues to be debated among scientists and managers. Our perception is that interested members of the public and some managers believe that harvest influences North American duck populations based on calls for more conservative harvest regulations. A recent review of harvest and population dynamics of North American mallard (Anas platyrhynchos) populations (Pöysä et al. 2004) reached similar conclusions. Because of the importance of this issue, we reviewed the evidence for an impact of harvest on duck populations. Our understanding of the effects of harvest is limited because harvest effects are typically confounded with those of population density; regulations are typically most liberal when populations are greatest. This problem also exists in the current Adaptive Harvest Management Program (Conn and Kendall 2004). Consequently, even where harvest appears additive to other mortality, this may be an artifact of ignoring effects of population density. Overall, we found no compelling evidence for strong additive effects of harvest on survival in duck populations that could not be explained by other factors.

Journal of Wildlife Management

Mitigating by-catch of diamondback terrapins in crab pots

Chronic by‐catch of diamondback terrapins ( Malaclemys terrapin ) in blue crab ( Callinectes sapidus ) pots is a concern for terrapin conservation along the United States Atlantic and Gulf of Mexico coasts. Despite the availability of by‐catch reduction devices (BRDs) for crab pots, adoption of BRDs has not been mandated and by‐catch of terrapins continues. We conducted experimental fishing studies in North Carolina's year‐round blue crab fishery from 2000 to 2004 to evaluate the ability of various BRDs to reduce terrapin by‐catch without a concomitant reduction in the catch of blue crabs. In 4,822 crab pot days fished, we recorded only 21 terrapin captures. Estimated capture rates were 0.003 terrapins/pot per day in hard crab experimental fishing and 0.008 terrapins/pot per day in peeler experimental fishing. All terrapin captures occurred from April to mid‐May within 321.4 m of the shoreline. Longer soak times produced more dead terrapins, with 4 live and 4 dead during hard crab experimental fishing and 11 live and 2 dead during peeler experimental fishing. The 4.0‐cm BRDs in fall and 4.5‐cm and 5.0‐cm BRDs in spring reduced the catch of legal‐sized male hard crabs by 26.6%, 21.2%, and 5.7%, respectively. Only the 5.0‐cm BRDs did not significantly affect the catch of legal‐sized hard male crabs. However, BRDs had no measurable effect on catch of target crabs in the peeler crab fishery. Our results identify 3 complementary and economically feasible tools for blue crab fishery managers to exclude terrapins from commercially fished crab pots in North Carolina: 1) gear modifications (e.g., BRDs); 2) distance‐to‐shore restrictions; and 3) time‐of‐year regulations. These measures combined could provide a reduction in terrapin by‐catch of up to 95% without a significant reduction in target crab catch.

North Carolina

The effects of breeding status on common raven movement, home range, and habitat selection

Anthropogenic infrastructure has contributed to increasing common raven ( Corvus corax ) abundance across the Great Basin region of the United States, particularly in sagebrush ecosystems, where high raven densities are correlated with reduced sage-grouse ( Centrocercus urophasianus ) nest survival. Our understanding of how raven reproductive behavior affects sage-grouse nest predation is limited, especially considering their overlapping breeding seasons. Understanding differences in space use and resource selection between breeding and non-breeding ravens could help identify high-use areas and corresponding predation risk for sage-grouse nests. We analyzed space use and resource selection of breeding ( n = 13) and non-breeding ( n = 32) global positioning system (GPS)-marked ravens in Nevada, USA (2017–2022) during the breeding season (1 March–31 June). We compared home-range size, core area size, step lengths, and resource selection within a Bayesian framework with inference made by comparing Bayesian credible intervals (CRI). We generated home range and core area estimates using autocorrelated kernel density methods. We did not find a difference in home range size between breeding (469.33 km 2 , 95% CRI = 228.79–709.45 km 2 ) and non-breeding (525.26 km 2 , 95% CRI = 410.71–654.10 km 2 ) ravens. However, breeding ravens had smaller core areas (10.77 km 2 , 95% CRI = 3.16–35.78 km 2 ) and shorter step lengths (1,160.33 m/hr, 95% CRI = 1,087.78–1,277.17 m/hr) than non-breeding ravens (core area = 279.50 km 2 , 95% CRI = 206.77–363.72 km 2 ; step length = 1,953.74 m/hr, 95% CRI = 1,898.42–2,009.56 m/hr). Ravens in both breeding classes selected high normalized difference vegetation index (NDVI) and low annual grass and shrub cover, but non-breeding ravens showed stronger selection for low annual grass and shrub cover areas. We found strong differences in selection between breeding classes for 6 of our 9 covariates: distance to road, solar radiation, distance to natural water, distance to forest edge, percent annual grass cover, and percent shrub cover. Non-breeding ravens concentrated activity near forest edges, natural water sources, and anthropogenic features, whereas breeding ravens focused activity close to their nests. Our findings suggest that raven management could be more effective if it targeted areas with high NDVI and low annual grass and shrub cover, especially in anthropogenically modified landscapes and near forest edges, and prevented raven nest establishment near prey populations of concern.

Nevada

How many grizzlies in Yellowstone?

Trend data indicate that the Yellowstone grizzly bear ( Ursus arctos horribilis ) population has been increasing in recent years, after a decline induced by closure of open garbage dumps in 1970-71. Current population size appears to be approaching a level where management to curb further increases might be desirable, even though it will be highly controversial. Continual close monitoring is essential for managers to know how to safeguard the population. Estimating total population size of an endangered or threatened species should be secondary to measuring essential population parameters, but nonetheless may be necessary to avoid misunderstandings. Knowledge of survival and reproductive rates is essential if causes of a decline are to be detected and corrected.

Wyoming

Survival of wood duck ducklings and broods in Mississippi and Alabama

Although North American wood ducks (Aix sponsa) are well-studied throughout their range, researchers know little about demographic and environmental factors influencing survival of ducklings and broods, which is necessary information for population management. We studied radiomarked female and duckling wood ducks that used nest boxes and palustrine wetlands at Noxubee National Wildlife Refuge (NNWR) in Mississippi, USA, in 1996-1999, and riverine wetlands of the Tennessee-Tombigbee Rivers and Waterway (TTRW) system in Alabama in 1998-1999. We estimated survival of ducklings and broods and evaluated potentially important predictors of duckling survival, including age and body mass of brood-rearing females, hatch date of ducklings, duckling mass, brood size at nest departure, inter-day travel distance by ducklings, site and habitat use, and daily minimum air temperature and precipitation. At NNWR, survival of 300 radiomarked ducklings ranged from 0.15 (95% CI = 0.04-0.27) to 0.24 (95% CI = 0.13-0.38) and was 0.21 (95% CI = 0.15-0.28) for 1996-1999. Our overall estimate of brood survival was 0.64 (n = 91; 95% CI = 0.54-0.73). At TTRW, survival of 129 radiomarked ducklings was 0.29 in 1998 (95% CI = 0.20-0.41) and 1999 (95% CI = 0.13-0.45) and was 0.29 (95% CI = 0.20-0.40) for 1998-1999. Our overall estimate of brood survival was 0.71 (n = 38; 95% CI = 0.56-0.85). At NNWR, models that included all predictor variables best explained variation in duckling survival. Akaike weight (wi) for the best model was 0.81, suggesting it was superior to other models (<0.01 ??? wi ???0.18). We detected 4 competing models for duckling survival at TTRW. Inter-day distance traveled by ducklings was important as this variable appeared in all 4 models; duckling survival was positively related to this variable. Patterns of habitat-related survival were similar at both study areas. Ducklings in broods that used scrub-shrub habitats disjunct from wetlands containing aggregations of nest boxes had greater survival probabilities than birds remaining in wetlands with such nest structures. Managers may increase local wood duck recruitment by promoting availability of suitable brood habitats (e.g., scrub-shrub wetlands) without aggregations of nest boxes that may attract predators and by dispersing nest boxes amid or adjacent to these habitats. We did not determine an optimal density of nest boxes relative to local or regional population goals, which remains important research and conservation needs.

Journal of Wildlife Management

Temporal habitat use of mule deer in the Pueblo of Santa Ana, New Mexico

Mule deer ( Odocoileus hemionus ) are important economically, culturally, and recreationally to the Pueblo of Santa Ana in central New Mexico, USA. Studies of habitat selection improve our understanding of mule deer ecology in central New Mexico and provide the Tribe with valuable information for management of mule deer. We used global positioning system telemetry-collar data collected on mule deer around the Pueblo of Santa Ana to create resource selection functions from proximity-based habitat predictors using a generalized linear mixed model. We created separate resource selection functions for females and males during summer and winter at different times of the day. Season generally had a greater effect on mule deer habitat use than the time of day. Female and male mule deer selected for similar habitats but were sexually segregated in their summer distributions. These findings are consistent with results from other locations where mule deer partitioned habitat similarly between seasons and sexes. Supported models reaffirm accepted patterns of habitat selection for mule deer to the Pueblo of Santa Ana where local results were lacking. Our results can help managers identify locations in and around the Pueblo of Santa Ana where future development such as highway expansion are likely to conflict with mule deer activity and locations where habitat enhancement projects such as adding water sources can have the greatest effect for the deer population.

New Mexico

How sampling design of GPS collar deployment influences consistency of mapped migration corridors over time

Federal and state agencies within the United States have recently issued directives prioritizing the conservation of ungulate migration corridors and winter ranges. The ability to identify and delineate the spatial distribution of seasonal ranges underpins these policies. While such delineations are often derived from global positioning system (GPS) collar data collected for a few years on a focal population, they are being used in long-term conservation planning. Our objectives were to quantify consistency in migration corridors from year to year and cumulatively across multiple years and identify which aspects of the sampling design of GPS collar deployment will delineate a consistent and relatively complete migration corridor. We used data from 6 sub-herds of mule deer ( Odocoileus hemionus ), a species known to have high migratory fidelity, located in Wyoming and northern New Mexico, USA, monitored for 5–7 years (510 unique individuals). We calculated 2 types of migration corridors over time: cumulative corridors where each new year of data was added to all previous years and yearly corridors where each year was based only on data collected in that year. We then calculated the year-to-year consistency in the 2 types of migration corridors by calculating the percent overlap between corridors calculated in sequential years. We found that collaring a higher proportion of a sub-herd increased the consistency in migration corridors, whereas collaring new individuals via redeployments in a subsequent year of monitoring caused corridors to shift. To obtain a corridor with ≥90% consistency (i.e., approaching the complete area used by a population in our data), our results suggest that biologists should strive to collar ≥6% of a sub-herd for a minimum of 2 years. However, if ≥6% of a sub-herd cannot be collared, monitoring for longer (3–4 years) will provide roughly 90% consistency in a migration corridor estimate for mule deer. Furthermore, adding 16–25% new individuals each year will help capture variation among individuals while maintaining corridor consistency of ≥90%, leading to a more accurate delineation of the corridor. Our results provide managers with a logistical framework for collaring projects aimed at delineating migration corridors that are durable into the future.

Colorado, New Mexico, Wyoming

Movements of juvenile common ravens in an arid landscape

Movement patterns of juvenile birds are poorly understood, yet critically important ecological phenomena, especially for species with a prolonged juvenile period. We evaluated postfledging movements of juvenile common ravens (Corvus corax) in a western Mojave Desert landscape composed of a mosaic of natural and anthropogenic elements. Generally, ravens do not begin breeding until after their fourth year. We marked 2 annual cohorts of juvenile ravens and followed them from dispersal from their natal territory for up to 33 months. Movements of juvenile common ravens were similar for males and females. Conspecifics and confined livestock feeding operations represented important resources for juvenile ravens, and juveniles were rarely located in open desert. However, initial movements from the natal territory to the nearest communal point subsidy rather than the closest anthropogenic resource suggested juvenile dispersal was influenced by the combination of conspecifics and anthropogenic resources, rather than the distribution of those resources. Land managers concerned with growing raven populations should reduce access to concentrated anthropogenic resources such as landfills and dairies, which serve as important resources for juveniles. Because juvenile ravens rarely venture into open desert, reducing their numbers by lethal removal or other means is unlikely to lessen raven predation of desert tortoises (Gopherus agassizii).

Journal of Wildlife Management

Great Lakes mallard population dynamics

Breeding mallard ( Anas platyrhynchos ) populations in the Great Lakes region (Michigan, Minnesota, Wisconsin, USA) declined by >40% between 2000–2022 based on abundance data collected during spring aerial surveys. Mallards are an important waterfowl species in this region, where an estimated 60–80% of the mallard harvest is composed of locally banded birds. Extensive population monitoring datasets are available for mallards, presenting an opportunity to address complex questions such as estimating productivity at large spatial and temporal scales, identifying the effects of harvest on mallard demography, quantifying mechanisms for harvest compensation, and integrating multiple datasets to quantify the demographic drivers of population change. Our objective was to simultaneously examine factors affecting demographic parameters and their relative contribution to Great Lakes mallard population dynamics. We used 32 years of banding, band recovery, and aerial survey data collected for mallards from Michigan and Wisconsin to develop an integrated population model (IPM). We used age ratios at banding to estimate productivity, band recoveries from hunter-harvested birds to estimate annual survival and cause-specific mortality (i.e., harvest or non-hunting), and modeled abundance using aerial survey and demographic parameter estimates from 1991–2022. The IPM results indicated the decline in Great Lakes mallard abundance was caused by increased non-hunting mortality and a decline in productivity. Productivity varied spatially but temporally declined with the loss of Conservation Reserve Program area. Moreover, our productivity assessment provided evidence of density dependence in reproduction. Non-hunting mortality was 3.5–6.7 times and 1.3–4.2 times greater than harvest mortality for adult and juvenile female mallards, respectively, indicating environmental factors during spring and summer, not harvest, most greatly influenced annual mortality for female mallards. Our IPM reduced uncertainty in the factors affecting Great Lakes mallard population dynamics and indicated management actions that address non-hunting mortality and productivity would be most effective in increasing Great Lakes mallard abundance.

Michigan, Wisconsin

Evaluating greater sage-grouse seasonal space use relative to leks: Implications for surface use designations in sagebrush ecosystems

The development of anthropogenic structures, especially those related to energy resources, in sagebrush ecosystems is an important concern among developers, conservationists, and land managers in relation to greater sage-grouse (Centrocercus urophasianus; hereafter, sage-grouse) populations. Sage-grouse are dependent on sagebrush ecosystems to meet their seasonal life-phase requirements, and research indicates that anthropogenic structures can adversely affect sage-grouse populations. Land management agencies have attempted to reduce the negative effects of anthropogenic development by assigning surface use (SU) designations, such as no surface occupancy, to areas around leks (breeding grounds). However, rationale for the size of these areas is often challenged. To help inform this issue, we used a spatial analysis of sage-grouse utilization distributions (UDs) to quantify seasonal (spring, summer and fall, winter) sage-grouse space use in relation to leks. We sampled UDs from 193 sage-grouse (11,878 telemetry locations) across 4 subpopulations within the Bi-State Distinct Population Segment (DPS, bordering California and Nevada) during 2003–2009. We quantified the volume of each UD (vUD) within a range of areas that varied in size and were centered on leks, up to a distance of 30 km from leks. We also quantified the percentage of nests within those areas. We then estimated the diminishing gains of vUD as area increased and produced continuous response curves that allow for flexibility in land management decisions. We found nearly 90% of the total vUD (all seasons combined) was contained within 5 km of leks, and we identified variation in vUD for a given distance related to season and migratory status. Five kilometers also represented the 95th percentile of the distribution of nesting distances. Because diminishing gains of vUD was not substantial until distances exceeded 8 km, managers should consider the theoretical optimal distances for SU designation between 5.0 km and 7.5 km, depending on migratory status. Although these results represent space use for sage-grouse within the Bi-State DPS, our results likely have broad relevance to other areas with similar landscape characteristics and patterns of space use.

Journal of Wildlife Management

The migratory bird treaty and a century of waterfowl conservation

In the final decades of the nineteenth century, concern was building about the status of migratory bird populations in North America. In this literature review, we describe how that concern led to a landmark conservation agreement in 1916, between the United States and Great Britain (on behalf of Canada) to conserve migratory birds shared by Canada and the United States. Drawing on published literature and our personal experience, we describe how subsequent enabling acts in both countries gave rise to efforts to better estimate population sizes and distributions, assess harvest rates and demographic impacts, design and fund landscape-level habitat conservation initiatives, and organize necessary political and regulatory processes. Executing these steps required large-scale thinking, unprecedented regional and international cooperation, ingenuity, and a commitment to scientific rigor and adaptive management. We applaud the conservation efforts begun 100 years ago with the Migratory Bird Treaty Convention. The agreement helped build the field of wildlife ecology and conservation in the twentieth century but only partially prepares us for the ecological and social challenges ahead.

Journal of Wildlife Management