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Rapid growth and genetic diversity retention in an isolated reintroduced black bear population in the central appalachians

Animal reintroductions are important tools of wildlife management to restore species to their historical range, and they can also create unique opportunities to study population dynamics and genetics from founder events. We used non-invasive hair sampling in a systematic, closed-population capture-mark-recapture (CMR) study design at the Big South Fork (BSF) area in Kentucky during 2010 and Tennessee during 2012 to estimate the demographic and genetic characteristics of the black bear ( Ursus americanus ) population that resulted from a reintroduced founding population of 18 bears in 1998. We estimated 38 (95% CI: 31–66) and 190 (95% CI: 170–219) bears on the Kentucky and Tennessee study areas, respectively. Based on the Tennessee abundance estimate alone, the mean annual growth rate was 18.3% (95% CI: 17.4–19.5%) from 1998 to 2012. We also compared the genetic characteristics of bears sampled during 2010–2012 to bears in the population during 2000–2002, 2–4 years following reintroduction, and to the source population. We found that the level of genetic diversity since reintroduction as indicated by expected heterozygosity ( H E ) remained relatively constant ( H E(source, 2004)  = 0.763, H E(BSF, 2000–2002)  = 0.729, H E(BSF, 2010–2012)  = 0.712) and the effective number of breeders ( N B ) remained low but had increased since reintroduction in the absence of sufficient immigration ( N B(BSF, 2000–2002)  = 12, N B(BSF, 2010–2012)   = 35). This bear population appears to be genetically isolated, but contrary to our expectations, we did not find evidence of genetic diversity loss or other deleterious genetic effects typically observed from small founder groups. We attribute that to high initial genetic diversity in the founder group combined with overlapping generations and rapid population growth. Although the population remains relatively small, the reintroduction using a small founder group appears to be demographically and genetically sustainable.

Kentucky, Tennessee

Effects of road management on movement and survival of Roosevelt elk

Road closures frequently are used to manage for Rocky Mountain elk ( Cervus elaphus nelsoni ), but no studies have evaluated the effects of limited vehicle access on movements and survival of Roosevelt elk ( C. elaphus roosevelti ). We studied movements and survival of female Roosevelt elk before Road Management Areas (RMA) were designated, and during limited vehicular access from 1991 to 1995. The Bureau of Land Management (BLM) instituted a limited-vehicle access program on 35% of the study area in 1992. We found a reduction in core area size (P = 0.002) and home range size (P = 0.077) during limited vehicle access. There was also a reduction in daily movement of elk (P = 0.0001), and there was a negative correlation between daily movements and percent association of elk home ranges with RMA. There was an increase in survival rate (P = 0.03) during the limited-vehicular access period compared to the pre-RMA period, and survival rate declined following the removal of the gates (P = 0.05). Our data suggest that limited-vehicular access reduces human disturbance that results in reduced movements and poaching (increased survival) of Roosevelt elk. Such methods should be considered for other elk populations.

Journal of Wildlife Management

Decision analysis for conservation breeding: Maximizing production for reintroduction of whooping cranes

Captive breeding is key to management of severely endangered species, but maximizing captive production can be challenging because of poor knowledge of species breeding biology and the complexity of evaluating different management options. In the face of uncertainty and complexity, decision-analytic approaches can be used to identify optimal management options for maximizing captive production. Building decision-analytic models requires iterations of model conception, data analysis, model building and evaluation, identification of remaining uncertainty, further research and monitoring to reduce uncertainty, and integration of new data into the model. We initiated such a process to maximize captive production of the whooping crane ( Grus americana ), the world's most endangered crane, which is managed through captive breeding and reintroduction. We collected 15 years of captive breeding data from 3 institutions and used Bayesian analysis and model selection to identify predictors of whooping crane hatching success. The strongest predictor, and that with clear management relevance, was incubation environment. The incubation period of whooping crane eggs is split across two environments: crane nests and artificial incubators. Although artificial incubators are useful for allowing breeding pairs to produce multiple clutches, our results indicate that crane incubation is most effective at promoting hatching success. Hatching probability increased the longer an egg spent in a crane nest, from 40% hatching probability for eggs receiving 1 day of crane incubation to 95% for those receiving 30 days (time incubated in each environment varied independently of total incubation period). Because birds will lay fewer eggs when they are incubating longer, a tradeoff exists between the number of clutches produced and egg hatching probability. We developed a decision-analytic model that estimated 16 to be the optimal number of days of crane incubation needed to maximize the number of offspring produced. These results show that using decision-analytic tools to account for uncertainty in captive breeding can improve the rate at which such programs contribute to wildlife reintroductions.

Journal of Wildlife Management

Co-occurrence and occupancy dynamics of mourning doves and Eurasian collared-doves

Understanding how land cover and potential competition with invasive species shape patterns of occupancy, extirpation, and colonization of native species across a landscape can help target management for declining native populations. Mourning dove ( Zenaida macroura ) populations have declined throughout the United States from 1965–2015. The expansion of the Eurasian collared‐dove ( Streptopelia decaocto ), an introduced species with similar food preferences, may further threaten mourning dove populations. We analyzed data from 2009–2016 from a large‐scale monitoring program in the Western Great Plains of the United States in a 2‐species occupancy model to assess the effects of collared‐doves on mourning dove distributions, while accounting for imperfect detection and variation in land cover across the landscape. Mourning dove occupancy was stable or increasing across our study area, and despite overlap in resource use and co‐occurrence between mourning doves and Eurasian collared‐doves, we found no evidence that collared‐doves are extirpating mourning doves from preferred habitat during the breeding season.

Texas, Oklahoma, Kansas, Nebraska, South Dakota, N

Active adaptive management for reintroduction of an animal population

Captive animals are frequently reintroduced to the wild in the face of uncertainty, but that uncertainty can often be reduced over the course of the reintroduction effort, providing the opportunity for adaptive management. One common uncertainty in reintroductions is the short-term survival rate of released adults (a release cost), an important factor because it can affect whether releasing adults or juveniles is better. Information about this rate can improve the success of the reintroduction program, but does the expected gain offset the costs of obtaining the information? I explored this question for reintroduction of the griffon vulture ( Gyps fulvus ) by framing the management question as a belief Markov decision process, characterizing uncertainty about release cost with 2 information state variables, and finding the solution using stochastic dynamic programming. For a reintroduction program of fixed length (e.g., 5 years of releases), the optimal policy in the final release year resembles the deterministic solution: release either all adults or all juveniles depending on whether the point estimate for the survival rate in question is above or below a specific threshold. But the optimal policy in the earlier release years 1) includes release of a mixture of juveniles and adults under some circumstances, and 2) recommends release of adults even when the point estimate of survival is much less than the deterministic threshold. These results show that in an iterated decision setting, the optimal decision in early years can be quite different from that in later years because of the value of learning.

Journal of Wildlife Management

Effects of early-successional shrubland management on breeding wood thrush populations

In forested landscapes, creation of habitat for early-successional shrubland birds is controversial because of perceived conflicts with the conservation of mature-forest birds. Nonetheless, many mature-forest birds, especially fledglings, readily use early-successional stands during the post-breeding period. This suggests that for mature-forest birds, creating habitat for early-successional birds could involve a tradeoff: reduced abundance and nest survival due to the loss of nesting habitat versus enhanced fledgling survival in early-successional stands. Our research addressed the effects of the creation of early-successional habitat for shrubland birds on wood thrushes ( Hylocichla mustelina ) in western Massachusetts, USA. We compared wood thrush abundance, nest success, fecundity, and post-fledging survival in landscapes with high (∼20%) or low (∼1%) cover of early-successional stands suitable for shrubland birds. We found no differences in nest success, fecundity, and post-fledging survival between the 2 types of landscapes. Abundance of breeders, however, was significantly greater on the sites with high cover of early-successional habitat. We conclude that in forested landscapes, creation of early-successional habitat at levels recommended for the conservation of shrubland birds is compatible with viable wood thrush populations. © 2018 The Wildlife Society.

Massachusetts

Noninvasive identification of cryptic herpetofauna from fecal samples: A novel approach pairing conservation dog surveys and genetic analysis

Noninvasive fecal sampling combined with genetic analysis is a powerful technique allowing the study of elusive or otherwise difficult to monitor species without the need for direct contact. While this method is widely used in birds and mammals, it has never been successfully applied on a large scale in reptiles. The blunt-nosed leopard lizard (Gambelia sila) is an endangered species endemic to the San Joaquin Desert of California. Presently, acquiring data on G. sila for research and management involves more traditional methods such as live capture to obtain tissue samples for DNA analysis, or observation via visual surveys, which are also used for regulatory monitoring in accordance with wildlife agency protocols. Here we describe an innovative approach for gathering additional information, that combines use of conservation detection dogs trained to locate G. sila scat samples with genetic analysis for identifying and distinguishing among sympatric lizard species. We developed two PCR assays that produce fluorescently labelled amplicons of species-specific fragment length for six lizard species in the study area. Using these assays we genetically identifed to species 78% (255 of 327) of samples collected by dog-handler teams across four years. The majority of the genetically identifed samples (82.4%; 210 of 255) were confirmed as originating from G. sila. Beyond the immediate application of these techniques for the study and monitoring of G. sila, our ability to recover usable DNA and to differentiate among a diverse group of lizards highlights the broad potential of our methodology for noninvasive sampling in reptiles.

California

Mourning dove hunting regulation strategy based on annual harvest statistics and banding data

Although managers should strive to base game bird harvest management strategies on mechanistic population models, monitoring programs required to build and continuously update these models may not be in place. Alternatively, If estimates of total harvest and harvest rates are available, then population estimates derived from these harvest data can serve as the basis for making hunting regulation decisions based on population growth rates derived from these estimates. I present a statistically rigorous approach for regulation decision-making using a hypothesis-testing framework and an assumed framework of 3 hunting regulation alternatives. I illustrate and evaluate the technique with historical data on the mid-continent mallard (Anas platyrhynchos) population. I evaluate the statistical properties of the hypothesis-testing framework using the best available data on mourning doves (Zenaida macroura). I use these results to discuss practical implementation of the technique as an interim harvest strategy for mourning doves until reliable mechanistic population models and associated monitoring programs are developed.

Journal of Wildlife Management

Use of lodgepole pine cover types by Yellowstone grizzly bears

Lodgepole pine ( Pinus contorta ) forests are a large and dynamic part of grizzly bear ( Ursus arctos ) habitat in the Yellowstone ecosystem. Research in other areas suggests that grizzly bears select for young open forest stands, especially for grazing and feeding on berries. Management guidelines accordingly recommend timber harvest as a technique for improving habitat in areas potentially dominated by lodgepole pine. In this paper I examine grizzly bear use of lodgepole pine forests in the Yellowstone area, and test several hypotheses with relevance to a new generation of management guidelines. Differences in grizzly bear selection of lodgepole pine cover types (defined on the basis of stand age and structure) were not pronounced. Selection furthermore varied among years, areas, and individuals. Positive selection for any lodgepole pine type was uncommon. Estimates of selection took 5-11 years or 4-12 adult females to stabilize, depending upon the cover type. The variances of selection estimates tended to stabilize after 3-5 sample years, and were more-or-less stable to slightly increasing with progressively increased sample area. There was no conclusive evidence that Yellowstone's grizzlies favored young (<40 yr) stands in general or for their infrequent use of berries. On the other hand, these results corroborated previous observations that grizzlies favored open and/or young stands on wet and fertile sites for grazing. These results also supported the proposition that temporally and spatially robust inferences require extensive, long-duration studies, especially for wide-ranging vertebrates like grizzly bears.

Wyoming

Implications of chronic wasting disease, cougar predation, and reduced recruitment for elk management

Emerging diseases and expanding carnivore populations may have profound implications for ungulate harvest management and population regulation. To better understand effects of chronic wasting disease (CWD) and cougar (Puma concolor) predation, we studied mortality and recruitment of elk (Cervus elaphus) at Wind Cave National Park (WICA) during 2005-2009. We marked 202 elk (83 subadult M and 119 subadult and ad F) with Global Positioning System (GPS) collars, observed 28 deaths during 74,220 days of monitoring, and investigated 42 additional deaths of unmarked elk found dead. Survival rates were similar for males and females and averaged 0.863 (SE = 0.025) annually. Leading causes of mortality included hunting (0.065, SE = 0.019), CWD (0.034, SE = 0.012), and cougar predation (0.029, SE = 0.012). Marked elk killed by hunters and cougars typically were in good physical condition and not infected with CWD. Effects of mortality on population growth were exacerbated by low rates of pregnancy (subadults = 9.5%, SE = 6.6%; ad = 76.9%, SE = 4.2%) and perinatal survival (0.49, SE = 0.085 from 1 Feb to 1 Sep). Chronic wasting disease, increased predation, and reduced recruitment reduced the rate of increase for elk at WICA to approximately ?? = 1.00 (SE = 0.027) during the past decade. Lower rates of increase are mitigating effects of elk on park vegetation, other wildlife, and neighboring lands and will facilitate population control, but may reduce opportunities for elk hunting outside the park. ?? 2011 The Wildlife Society.

Journal of Wildlife Management

An approach to modeling abundance of marine wildlife over space and time using unstructured aerial surveys

Estimating spatial and temporal patterns in abundance is often a goal of ecological studies and can be useful for informing management decisions, such as determining the optimal placement of wildlife protection zones. However, estimating abundance can be difficult in practice, especially over large areas, because of imperfect detection, where individuals are present but not detected because of either availability or observer error. Several methods for estimating abundance that account for imperfect detection exist but can be logistically challenging to implement. We present a simpler approach to some of the more commonly used techniques for estimating the abundance of marine wildlife over space and time from unstructured aerial surveys. This approach combines a spatial model for count data with auxiliary information on detection probability obtained from small-scale or previous studies. We employ generalized linear models and generalized additive models with spatial habitat covariates to illustrate this approach using maximum-likelihood with free, open-source statistical software. This framework is intended to be accessible and flexible, requiring lower survey costs and less computation time than other alternatives for estimating abundance. Indeed, our simulation results show that this approach can reduce computation times, while appropriately characterizing uncertainty, compared to a Bayesian approach. We also present R code for our approach using an example of estimating Florida manatee ( Trichechus manatus latirostris ) abundance in Indian River County in Florida, USA. This approach could be applied to other study systems and marine wildlife species using unstructured aerial surveys.

Florida

Ecotypic variation in recruitment of reintroduced bighorn sheep: implications for translocation

European settlement led to extirpation of native Audubon's bighorn sheep (formerly Ovis canadensis auduboni ) from North Dakota during the early 20th century. The North Dakota Game and Fish Department subsequently introduced California bighorn sheep (formerly O. c. californiana ) that were indigenous to the Williams Lake region of British Columbia, Canada, and Rocky Mountain bighorn sheep ( O. c. canadensis ) that were indigenous to the Sun River region of Montana. Although California bighorn sheep are no longer recognized as a distinct subspecies, they are smaller and adapted to a milder climate than either the native bighorn sheep of North Dakota or introduced bighorn sheep from Montana. Because reintroductions still play a key role in the management of bighorn sheep and because local adaptation may have substantial demographic consequences, we evaluated causes of variation in recruitment of bighorn sheep reintroduced in North Dakota. During 2006–2011, Montana stock recruited 0.54 juveniles/adult female (n = 113), whereas British Columbia stock recruited 0.24 juveniles/adult female (n = 562). Our most plausible mixed-effects logistic regression model (53% of model weight) attributed variation in recruitment to differences between source populations (odds ratio = 4.5; 90% CI = 1.5, 15.3). Greater recruitment of Montana stock (fitted mean = 0.56 juveniles/adult female; 90% CI = 0.41, 0.70) contributed to a net gain in abundance (r = 0.15), whereas abundance of British Columbia stock declined (fitted mean = 0.24 juveniles/adult female; 90% CI = 0.09, 0.41; r = − 0.04). Translocations have been the primary tool used to augment and restore populations of wild sheep but often have failed to achieve objectives. Our results show that ecotypic differences among source stocks may have long-term implications for recruitment and demographic performance of reintroduced populations.

North Dakota

Effectiveness of partial sedation to reduce stress in captured mule deer

Information garnered from the capture and handling of free-ranging animals helps advance understanding of wildlife ecology and can aid in decisions on wildlife management. Unfortunately, animals may experience increased levels of stress, injuries, and death resulting from captures (e.g., exertional myopathy, trauma). Partial sedation is a technique proposed to alleviate stress in animals during capture, yet efficacy of partial sedation for reducing stress and promoting survival post-capture remains unclear. We evaluated the effects of partial sedation on physiological, biochemical, and behavioral indicators of acute stress and probability of survival post-capture for mule deer ( Odocoileus hemionus ) that were captured via helicopter net-gunning in the eastern Greater Yellowstone Ecosystem, Wyoming, USA. We administered 10–30 mg of midazolam and 15 mg of azaperone intramuscularly (IM) to 32 mule deer in 2016 and 53 mule deer in 2017, and maintained a control group (captured but not sedated) of 38 mule deer in 2016 and 54 mule deer in 2017. To evaluate indicators of acute stress, we measured heart rate, blood-oxygen saturation, body temperature, respiration rate, and levels of serum cortisol. We recorded number of kicks and vocalizations of deer during handling and evaluated behavior during release. We also measured levels of fecal glucocorticoids as an indicator of baseline stress. Midazolam and azaperone did not reduce physiological, biochemical, or behavioral indicators of acute stress or influence probability of survival post-capture. Mule deer that were administered midazolam and azaperone, however, were more likely to hesitate, stumble or fall, and walk during release compared with individuals in the control group, which were more likely to trot, stot, or run without stumbling or falling. Our findings suggest that midazolam (10–30 mg IM) and azaperone (15 mg IM) may not yield physiological or demographic benefits for captured mule deer as previously assumed and may pose adverse effects that can complicate safety for captured animals, including drug-induced lethargy. Although we failed to find efficacy of midazolam and azaperone as a method for reducing stress in captured mule deer, the efficacy of midazolam and azaperone or other combinations of partial sedatives in reducing stress may depend on the dose of tranquilizer, study animal, capture setting, and how stress is defined.

Wyoming

Disease and secondary sexual traits: Effects of pneumonia on horn size of bighorn sheep

Secondary sexual traits (e.g., horns and antlers) have ecological and evolutionary importance and are of management interest for game species. Yet, how these traits respond to emerging threats like infectious disease remains underexplored. Infectious pneumonia threatens bighorn sheep ( Ovis canadensis ) populations across North America and we hypothesized it may also reduce horn growth in male sheep. We assess the effect of pneumonia on horn size in male bighorn sheep using 12 herd datasets from across the western United States that had horn growth and disease data. Disease resulted in 12–35% reduction in increment (yearly) length and 3–13% reduction in total horn length in exposed individuals. The disease effect was prolonged when pathogens continued to circulate in sheep populations. Further, disease likely delays the age at which horns reach ¾-curl and prevents achievement of full-curl. This is further evidenced with 6 of the 12 herds experiencing an increase in average age at harvest following die-off events.

Colorado, Idaho, Montana, Utah, Washington, Wyomin

Demographic response of brown treesnakes to extended population suppression

From a management perspective, reptiles are relatively novel invasive taxa. Few methods for reptile control have been developed and very little is known about their effectiveness for reducing reptile populations, particularly when the goal is eradication. Many reptiles, and especially snakes, are cryptic, secretive, and undergo extended periods of inactivity, traits that decrease detection probabilities and create challenges in estimating population size or evaluating management effects. The brown treesnake ( Boiga irregularis ) is a notorious invasive species that continues to cause major ecological and economic harm following their introduction to the island of Guam after World War II. They have been the subject of intensive research on the effectiveness of various techniques to control snakes, including the first ever aerial system for the distribution of toxic acetaminophen baits for reptile control. We provide a cohort-based life table for a cryptic and invasive reptile undergoing extended population control using toxic baits from March 2017–2020. We also evaluated the effects of single (toxic bait) versus multi-tool (toxic bait and live trapping) management efforts on population trajectories, and estimated which population vital rates are most important for influencing population growth or decline in a treated landscape. Treatment of the population with acetaminophen-laced baits resulted in an immediate reduction followed by a gradual population decline that suggested that eradication was the probable outcome given sufficient treatment time but that the period of treatment was decades in magnitude. Inclusion of live trapping reduced the predicted time required to achieve eradication by more than half. Preventing the transition of 1,000-mm snout-vent length (SVL) females to larger sizes was predicted to have the greatest effect on population reduction based on integral projection modeling. Our results suggest that toxic baits are capable of eradicating brown treesnakes in an enclosure, although inclusion of trapping reduced overall treatment time required. Tools that effectively target females >1,000 mm SVL may have the greatest effect on reducing overall treatment timelines.

Journal of Wildlife Management

Effects of distribution, behavior, and climate on mule deer survival

Mule deer ( Odocoileus hemionus hemionus ) populations in North America are a valuable economic wildlife resource, with the managed harvest of this species reflecting societal values and recreational opportunities in many parts of the western United States. Managing mule deer populations while allowing for harvest requires an understanding of the species’ population dynamics, including the specific factors associated with population change. We conducted a 7-year (2005–2012) study designed to investigate habitat use and survival of mule deer in eastern Oregon, USA. We used known-fate data for 408 adult female radio-collared mule deer to estimate monthly survival rates and to investigate factors that might affect these rates, including seasonal distribution, temporal effects (seasonal, annual, and trends across season and year), movement behavior, and local weather and regional climatic covariates. Variation in survival rates of female mule deer was best explained by an additive effect of migration behavior, differences in survival during the fall migration period compared to the rest of the annual cycle, and precipitation levels on winter ranges of individual deer. Estimates of annual survival were higher for migrants (0.81–0.82), compared to residents (0.76–0.77). Survival was lower for migrants and residents during fall migration (Oct–Nov) and higher amounts of winter precipitation increased survival of both groups. The results of our study suggest that migrating to potentially higher quality summer foraging areas outweighed the cost of traveling through unfamiliar habitats and energy expenditure associated with migration. © 2018 The Wildlife Society.

Oregon

Estimating occupancy and predicting numbers of gray wolf packs in Montana using hunter surveys

Reliable knowledge of the status and trend of carnivore populations is critical to their conservation and management. Methods for monitoring carnivores, however, are challenging to conduct across large spatial scales. In the Northern Rocky Mountains, wildlife managers need a time- and cost-efficient method for monitoring gray wolf (Canis lupus) populations. Montana Fish, Wildlife and Parks (MFWP) conducts annual telephone surveys of >50,000 deer and elk hunters. We explored how survey data on hunters' sightings of wolves could be used to estimate the occupancy and distribution of wolf packs and predict their abundance in Montana for 2007&ndash;2009. We assessed model utility by comparing our predictions to MFWP minimum known number of wolf packs. We minimized false positive detections by identifying a patch as occupied if 2&ndash;25 wolves were detected by &ge;3 hunters. Overall, estimates of the occupancy and distribution of wolf packs were generally consistent with known distributions. Our predictions of the total area occupied increased from 2007 to 2009 and predicted numbers of wolf packs were approximately 1.34&ndash;1.46 times the MFWP minimum counts for each year of the survey. Our results indicate that multi-season occupancy models based on public sightings can be used to monitor populations and changes in the spatial distribution of territorial carnivores across large areas where alternative methods may be limited by personnel, time, accessibility, and budget constraints.

Montana

Stable pack abundance and distribution in a harvested wolf population

Harvesting gray wolves ( Canis lupus ) could affect the abundance and distribution of packs, but the frequency of change in pack occurrence (i.e., turnover) and relative effects of harvest compared to environmental factors is unclear. We used noninvasive genetic sampling, hunter surveys, and occupancy models to evaluate the effect of harvest on occurrence and turnover of packs in a population of wolves managed with intensive harvest in the Canadian Rocky Mountains, 2012–2014. We tested 2 alternative hypotheses: the abundance and distribution of wolf packs were dynamic because of harvest or the abundance and distribution of wolf packs were generally stable regardless of harvest. We found the mean annual probability for wolf pack occupancy ranged 0.72–0.74 and the estimated distribution of wolf packs was consistent over time, 2012–2014. Our top model indicated wolf pack occupancy was positively associated with forest cover and the probability of detecting a wolf pack was positively associated with the intensity of harvest for wolves in that area. We observed frequent turnover of individuals within packs that were genetically sampled consecutive years but not of entire packs. Because turnover of packs occurred infrequently during our study, we could not reject our hypothesis that occurrence of packs was generally stable in a harvested population of wolves. Our results suggest environmental factors have a stronger effect than harvest on the abundance and distribution of wolf packs in southwestern Alberta, but harvest appears to strongly influence turnover of individuals within packs. We hypothesize local dispersal from within the study area and neighboring packs on the periphery of the study area helped promote pack stability. © 2018 The Wildlife Society.

Alberta