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Proceedings of the Klamath Basin Science Conference, Medford, Oregon, February 1-5, 2010

This report presents the proceedings of the Klamath Basin Science Conference (February 2010). A primary purpose of the meeting was to inform and update Klamath Basin stakeholders about areas of scientific progress and accomplishment during the last 5 years. Secondary conference objectives focused on the identification of outstanding information needs and science priorities as they relate to whole watershed management, restoration ecology, and possible reintroduction of Pacific salmon associated with the Klamath Basin Restoration Agreement (KBRA). Information presented in plenary, technical, breakout, and poster sessions has been assembled into chapters that reflect the organization, major themes, and content of the conference. Chapter 1 reviews the major environmental issues and resource management and other stakeholder needs of the basin. Importantly, this assessment of information needs included the possibility of large-scale restoration projects in the future and lessons learned from a case study in South Florida. Other chapters (2-6) summarize information about key components of the Klamath Basin, support conceptual modeling of the aquatic ecosystem (Chapter 7), and synthesize our impressions of the most pressing science priorities for management and restoration. A wealth of information was presented at the conference and this has been captured in chapters addressing environmental setting and human development of the basin, hydrology, watershed processes, fishery resources, and potential effects from climate change. The final chapter (8) culminates in a discussion of many specific research priorities that relate to and bookend the broader management needs and restoration goals identified in Chapter 1. In many instances, the conferees emphasized long-term and process-oriented approaches to watershed science in the basin as planning moves forward.

California, Oregon↗

Fate and behavior tools related to inland spill response—Workshop on the U.S. Geological Survey’s role in Federal science support

Executive Summary There is a growing body of tools available for science support for determining the fate and behavior of industrial and agricultural chemicals that are rapidly injected (“spilled”) into aquatic environments. A 2-day roundtable-style workshop was held by the U.S. Geological Survey (USGS) in Middleton, Wisconsin, in December 2017 to describe and explore existing Federal science support for spill fate and behavior tools used for inland spills, ongoing and new fate and behavior studies, and science gaps in planning and response tools as part of the USGS Midcontinent Region’s efforts to include spill response as part of its strategic plans. A total of 28 attendees representing a variety of Federal, State, and regional entities presented on programs and tools used in various aspects of spill response. Most programs and tools discussed were for spills in riverine environments but tools and applications for spills in lakes, on land surfaces, in urban storm sewer networks, and groundwater also were discussed. A primary workshop focus was to facilitate communication and increase potential for future collaboration among agencies for inland spill science support. The role and need for more USGS science support within the inland spill community was discussed. Enhanced communication is needed within the USGS and the U.S. Department of the Interior science programs, as well as within and among other agencies that do emergency planning and response. A main conclusion of the workshop was that there are untapped resources of the USGS outlined in the agency’s science strategy that could strengthen science support for fate and behavior tools in inland areas, especially in the Upper Mississippi River, Ohio River, and Great Lakes Basins where large freshwater resources overlap with dense corridors of oil and hazardous substances, with transportation networks, and with large populations centers. Fate and behavior tools are being developed quickly for inland spill response by multiple Federal agencies in partnership with local and regional entities. Applicability of these tools ranges from planning and preparedness, to the early stages of spill response for protection of human life and property, and to the application of monitoring and models to assess the long-term consequences of spills. Key findings from the workshop, with an emphasis on potential further development of USGS science support, include the following: •The national and regional response to spills occurs within an established system that must be respected by all parties involved in spill response. The USGS’s role is to support spill responders who are physically working at a spill scene, deploying booms and using other efforts to contain and recover spilled materials. •The USGS has tools that have been used throughout spill response operations, from early response to recovery and restoration. Developing a more formal role for the USGS to participate in science support for inland spills on a consistent basis is a desired outcome. This will require the USGS to improve internal and external communication and would be best accomplished by assigning one or more coordinator positions within the agency to plan and oversee USGS spill-response efforts. More involvement of the USGS on National and Regional Response Teams, especially in the realm of the Science and Technology Subcommittees, will gofar in increasing external communication and integration of fate and behavior tools. •Rapid response to spills requires modeling and mapping of plumes and associated time-of-travel estimation for a range of stream sizes across the United States. Many existing models use USGS streamgage data and the USGS National Hydrography Dataset. Nearly all existing models would benefit from updated linkages to USGS StreamStats and its soon-to-be released time-of-travel estimates,real-time velocity, stream morphology, and slope data. Integrating USGS tools with those from other agencies could be done to better serve the larger spill response community. • A problem is that existing models to rapidly predict plume extent, as well as more followup/longer-term fate and transport models, can be unknown or unavailable to spill responders. Thus, creating and strengthening linkages among USGS scientists skilled at using these tools is needed to support spill response with the on-scene responders. • Research for inland spill fate and behavior done outside of an immediate spill response can assist with spill planning and preparedness by (1) revealing sites likely to experience spills in the future (high-risk sites) and (2) understanding how a spilled substance might behave under a range of environmental conditions. However, USGS research on this topic has been scarce and subject to funding availability. Examples include the 2010 Line 6B Spill release into the Kalamazoo River in Michigan, where the USGS provided science support for a variety of fate and behavior tools for stream and impoundment environments. A long-term research site in Bemidji, Minnesota, provides important insights into transformations and longevity of spilled oil in groundwater and groundwater-surface water interactions. • Linking stream models to other components of this inland environment, including groundwater, overland flow, and karst, is needed. Stream network data can be linked to underground conduits such as storm sewers and karst groundwater systems. Stream models can also be linked with geospatial data such as that contained in U.S. Environmental Protection Agency’s interactive mapping tools. • The USGS is uniquely qualified to collect water-quality data during spills in the United States because of its many geographically dispersed water science centers, its knowledge and preparedness for flood measurement and documentation, and its cadre of skilled water-quality employees. Rapid-deployment gages, used for floods, could also be used for spills if they included spill-specific sensors. Coordinated expertise at USGS water and environmental science centers can be used for monitoring spill effects and for assessing risk to water quality and ecological communities. • Scientists at the USGS have proven capable of providing science coordination and technical assistance within the Incident Command Structure at the request of the lead on-scene coordinator. This external coordination, as well as internal communication within USGS Water, Hazards, and Ecosystems Mission Areas, could be improved by establishing and naming a USGS spills coordinator. Scott Morlock, Jo Ellen Hinck, and Faith Fitzpatrick are currently (2017) serving in informal coordination roles in addition to their traditional duties.

Open-File Report↗

Visible and infrared remote imaging of hazardous waste: A review

One of the critical global environmental problems is human and ecological exposure to hazardous wastes from agricultural, industrial, military and mining activities. These wastes often include heavy metals, hydrocarbons and other organic chemicals. Traditional field and laboratory detection and monitoring of these wastes are generally expensive and time consuming. The synoptic perspective of overhead remote imaging can be very useful for the detection and remediation of hazardous wastes. Aerial photography has a long and effective record in waste site evaluations. Aerial photographic archives allow temporal evaluation and change detection by visual interpretation. Multispectral aircraft and satellite systems have been successfully employed in both spectral and morphological analysis of hazardous wastes on the landscape and emerging hyperspectral sensors have permitted determination of the specific contaminants by processing strategies using the tens or hundreds of acquired wavelengths in the solar reflected and/or thermal infrared parts of the electromagnetic spectrum. This paper reviews the literature of remote sensing and overhead imaging in the context of hazardous waste and discusses future monitoring needs and emerging scientific research areas.

Remote Sensing↗

Landsat classification of surface-water presence during multiple years to assess response of playa wetlands to climatic variability across the Great Plains Landscape Conservation Cooperative region

To improve understanding of the distribution of ecologically important, ephemeral wetland habitats across the Great Plains, the occurrence and distribution of surface water in playa wetland complexes were documented for four different years across the Great Plains Landscape Conservation Cooperative (GPLCC) region. This information is important because it informs land and wildlife managers about the timing and location of habitat availability. Data with an accurate timestamp that indicate the presence of water, the percent of the area inundated with water, and the spatial distribution of playa wetlands with water are needed for a host of resource inventory, monitoring, and research applications. For example, the distribution of inundated wetlands forms the spatial pattern of available habitat for resident shorebirds and water birds, stop-over habitats for migratory birds, connectivity and clustering of wetland habitats, and surface waters that recharge the Ogallala aquifer; there is considerable variability in the distribution of playa wetlands holding water through time. Documentation of these spatially and temporally intricate processes, here, provides data required to assess connections between inundation and multiple environmental drivers, such as climate, land use, soil, and topography. Climate drivers are understood to interact with land cover, land use and soil attributes in determining the amount of water that flows overland into playa wetlands. Results indicated significant spatial variability represented by differences in the percent of playas inundated among States within the GPLCC. Further, analysis-of-variance comparison of differences in inundation between years showed significant differences in all cases. Although some connections with seasonal moisture patterns may be observed, the complex spatial-temporal gradients of precipitation, temperature, soils, and land use need to be combined as covariates in multivariate models to effectively account for these patterns. We demonstrate the feasibility of using classification of Landsat satellite imagery to describe playa-wetland inundation across years and seasons. Evaluating classifications representing only 4 years of imagery, we found significant year-to-year and state-to-state differences in inundation rates.

Great Plains Landscape Conservation Cooperative↗

Demography and population status of polar bears in western Hudson Bay

We evaluated the demography and population status of the Western Hudson Bay (WH) polar bear subpopulation for the period 1984-2011, using live-recapture data from research studies and management actions, and dead-recovery data from polar bears harvested for subsistence purposes or removed during human-bear conflicts. We used a Bayesian implementation of multistate capture-recapture models, coupled with a matrix-based demographic projection model, to integrate several types of data and to incorporate sampling uncertainty, and demographic and environmental stochasticity across the polar bear life cycle. This approach allowed for estimation of a suite of vital rates, including survival and reproduction. These vital rates were used to parameterize a Bayesian population model to evaluate population trends and project potential population outcomes under different environmental scenarios. Survival of female polar bears of all age classes was significantly correlated with sea ice conditions; particularly with the timing of sea ice break-up in the spring and formation in the fall and the interaction of the two. This is consistent with previous findings linking body condition and survival of WH polar bears to environmental changes associated with climatic warming and supports the ecological dependence of polar bears on the availability of sea ice. Survival of male polar bears was not correlated with sea ice conditions. This was likely because a higher proportion of mortality for males was caused by humans rather than by natural factors. For example, approximately 73% of mortality for young male bears (i.e., 5-9 years old) was due to direct human-caused removals, largely because of sex selectivity in the subsistence harvest. The declining trend in size of the WH subpopulation over the period 1987-2004 was similar to a previous analysis (Regehr et al. 2007), suggesting consistency between the two demographic evaluations. Point estimates of abundance were somewhat lower using the updated statistical approach. It is important to recognize that the analyzed data were not collected in a manner that is optimal for estimating abundance and that the goal of the current analysis was to estimate vital rates and demographic trends. Estimates of population growth rate were also derived using a Bayesian population model based on estimated survival and reproductive rates from the multistate capture-recapture model. For the recent decade 2001-2011, the growth rate of the female segment of the population was 1.02 (95% CI = 0.98-1.06). Apparently stable to positive population growth for females may be due in large part to nonlinearity (i.e., short-term stability) in the long-term observed and forecasted trend toward earlier sea ice break-up in western Hudson Bay. The 2011 abundance estimate from this analysis was 806 bears with a 95% Bayesian credible interval of 653-984. This is lower than, but broadly consistent with, the abundance estimate of 1,030 (95% confidence interval = 745-1406) from a 2011 aerial survey (Stapleton et al. 2014). The capture-recapture and aerial survey approaches have different spatial and temporal coverage of the WH subpopulation and, consequently, the effective study population considered by each approach is different.

Report↗

Exploitation of marine mammals: r-selection of K-strategists?

The importance of marine mammals as predators to the organization of marine communities is poorly known, although in several structurally analogous systems the ecological and evolutionary roles of predators are known to be of considerable importance. Occupation of the marine environment by mammals probably carried physiological constraints for single-young pregnancies thereby limiting all species to low intrinsic rates of population increase. As such, species subjected to high mortality rates from predation or other natural disturbances became extinct; those that survived probably were largely resource limited. In view of this scenario it is suggested that stable populations of marine mammals can be maintained at high levels without being manipulated in most communities. Exploitation probably constitutes a rather dramatic environmental change to marine mammals consequently subjecting them to selective forces fundamentally different from many of those under the influence of which they evolved.

Journal of the Fisheries Research Board of Canada↗

U.S. Geological Survey environmental health science strategy — Providing environmental health science for a changing world

Executive Summary America has an abundance of natural resources. We have bountiful clean water, fertile soil, and unrivaled national parks, wildlife refuges, and public lands. These resources enrich our lives and preserve our health and wellbeing. These resources have been maintained because of our history of respect for their value and an enduring commitment to their vigilant protection. Awareness of the social, economic, and personal value of the health of our environment is increasing. The emergence of environmentally driven diseases caused by exposure to contaminants and pathogens is a growing concern worldwide. New health threats and patterns of established threats are affected by both natural and anthropogenic changes to the environment. Human activities are key drivers of emerging (new and re-emerging) health threats. Societal demands for land and natural resources, quality of life, and economic prosperity lead to environmental change. Natural earth processes, climate trends, and related climatic events will compound the environmental impact of human activities. These environmental drivers will influence exposure to disease agents, including viral, bacterial, prion, and fungal pathogens, parasites, synthetic chemicals and substances, natural earth materials, toxins, and other biogenic compounds. The U.S. Geological Survey (USGS) defines environmental health science broadly as the interdisciplinary study of relations among the quality of the physical environment, the health of the living environment, and human health. The interactions among these three spheres are driven by human activities, ecological processes, and natural earth processes; the interactions affect exposure to contaminants and pathogens and the severity of environmentally driven diseases in animals and people. This definition provides USGS with a framework for synthesizing natural science information from across the Bureau and providing it to environmental, natural resource, agricultural, and public health managers. USGS specializes in science at the environment-health interface, by characterizing the processes that affect the interaction among the physical environment, the living environment, and people, and the resulting factors that affect ecological and human exposure to disease agents. The USGS is a Federal science agency with a broad range of natural science expertise relevant to environmental health. USGS provides scientific information and tools as a scientific basis for management and policy decisionmaking. This report describes a 10-year strategy that encompasses the portfolio of USGS environmental health science. It summarizes national environmental health priorities that USGS is best suited to address, and will serve as a strategic framework for USGS environmental health science goals, actions, and outcomes for the next decade. Implementation of this strategy is intended to aid coordination of USGS environmental health activities and to provide a focal point for disseminating information to stakeholders. The “One Health” paradigm advocated by the World Health Organization (WHO; World Health Organization, 2011), and the American Veterinary Medical Association (AVMA; American Veterinary Medical Association, 2008), among others, is based on a general recognition that the health of humans, animals, and the environment are inextricably linked. Thus, successful efforts to protect that health will require increased interdisciplinary research and increased communication and collaboration among the broader scientific and health community. This strategy is built upon that paradigm.

Circular↗

Characterizing the niche of Phalaris arundinacea (reed canarygrass) in floodplain forests of the Upper Mississippi River

Information on the favorable conditions for invasive species as well as potential constraints to their distribution can be valuable for management efforts. We used a niche modeling approach to analyze the patterns of species distributions along gradients of hypothesized influential environmental variables. Many ecological datasets may have incomplete coverage across the environmental gradients, infrequent sampling under some conditions, insufficient time for an invasive species to occupy all sites, and complex interactions among environmental variables (measured or unmeasured) that may result in species response curves that are difficult to interpret and may be ecologically misleading. To ensure the model and species response curves aligned with ecological niche theory, shape constraints were imposed to guarantee relationships follow a unimodal distribution to reflect the fundamental niche (where a species could occur). We compared a shape-constrained model to an unconstrained model and interpreted the species response curves from the constrained model to better characterize the ecological niche of reed canarygrass in floodplain forests of the Upper Mississippi River, USA. We found the probability of reed canarygrass occurrence decreases with increasing tree canopy cover, tree species richness, distance from forest edge, distance from invaded wet meadows, and island isolation. Probability of reed canarygrass presence exhibited bell-shaped curves in response to hydrology (inundation depth, frequency, and duration) and forest stress metrics indicating an optimum with less favorable conditions on either end of the ecological gradients. This information could be used to prioritize restoration efforts and enhance landcover change research in forested floodplains.

upper Mississippi River↗

PFAS contamination in Florida estuarine fishes: Levels, patterns, and estimated human and ecological health risks

Per- and polyfluoroalkyl substances (PFAS) pose a significant health threat due to their environmental persistence and toxicity. While PFAS contamination is widespread in Florida, the state currently lacks fish consumption advisories (FCAs) for these compounds, despite existing FCAs for legacy pollutants. This study quantified 40 PFAS in edible muscle tissue from 264 fish (16 species) across four estuaries along Florida's Atlantic coast to assess ecological and human health risks. The highest concentrations of total PFAS were found in Red Drum ( Sciaenops ocellatus ; 0.209 – 51.6 ng/g wet weight) and Spotted Seatrout ( Cynoscion nebulosus; 2.01 – 24.3 ng/g ww) in the Indian River Lagoon, where up to 68% of Red Drum and 75% of Spotted Seatrout exceeded ecological quality standards, indicating potential impacts on predators. PFOS was the predominant PFAS, driving ecological and human health risks. Estimated daily intakes (EDIs) of PFOS exceeded the EPA reference dose (RfD) by up to 3 orders of magnitude, with the highest exposures concentrated in Red Drum and Spotted Seatrout from the Indian River Lagoon. These findings highlight that PFAS monitoring of tissue concentrations in fish across Florida's freshwater and marine systems would be needed for accurately quantifying exposure risks. Such efforts are fundamental to informing regulatory frameworks regarding FCAs and ensuring the long-term protection of aquatic ecosystems and human health.

Florida↗

Double exposure and dynamic vulnerability: Assessing economic well-being, ecological change and the development of the oil and gas industry in coastal Louisiana

The oil and gas industry has been a powerful driver of economic change in coastal Louisiana for the latter half of the 20th century and into the 21st. Yet, the overall impact of the industry on the economic well-being of host communities is varied, both spatially and temporally. While the majority of Louisiana’s oil and gas production now occurs offshore, processing the extracted product is an energy-intensive undertaking requiring an expansive network of land-based infrastructure. Despite the positive economic aspects of this development, there are also potential negatives posed to coastal ecosystems and to communities located adjacent to oil and gas infrastructure. This research utilizes a double exposure framework to explore the relationship between oil and gas infrastructure development, fish and shellfish habitat, and economic well-being in Louisiana’s coastal zone from 1950 to 2010. The approach followed four main steps: (1) Developing a hazardousness of place model to identify areas of magnified risk due to the combined hazards of multiple potential exposure sites related to the extraction and processing of crude oil and natural gas; (2) developing a model of ecological functioning to measure the ability of aquatic habitat to support key fish and shellfish species; (3) utilizing an integrated community economic well-being index to assess change on a decadal timescale; and (4) analyzing selected oil-dependent communities to illustrate how change processes occurring in different energy sectors result in differential outcomes. The results suggest that, for many communities, the dependence on the oil and gas industry has increased economic well-being but also increased sensitivity to natural and human-induced changes, including fluctuating economic conditions, environmental stress, coastal habitat destruction, and increasing social and economic pressures.

Louisiana↗

Marine and terrestrial factors affecting Adélie penguin Pygoscelis adeliae chick growth and recruitment off the western Antarctic Peninsula

An individual-based bioenergetics model that simulates the growth of an Adélie penguin Pygoscelis adeliae chick from hatching to fledging was used to assess marine and terrestrial factors that affect chick growth and fledging mass off the western Antarctic Peninsula. Simulations considered the effects on Adélie penguin fledging mass of (1) modification of chick diet through the addition of Antarctic silverfish Pleuragramma antarcticum to an all-Antarctic krill Euphausia superba diet, (2) reduction of provisioning rate which may occur as a result of an environmental stress such as reduced prey availability, and (3) increased thermoregulatory costs due to wetting of chicks which may result from increased precipitation or snow-melt in colonies. Addition of 17% Antarctic silverfish of Age-Class 3 yr (AC3) to a penguin chick diet composed of Antarctic krill increased chick fledging mass by 5%. Environmental stress that results in >4% reduction in provisioning rate or wetting of just 10% of the chick’s surface area decreased fledging mass enough to reduce the chick’s probability of successful recruitment. The negative effects of reduced provisioning and wetting on chick growth can be compensated for by inclusion of Antarctic silverfish of AC3 and older in the chick diet. Results provide insight into climate-driven processes that influence chick growth and highlight a need for field research designed to investigate factors that determine the availability of AC3 and older Antarctic silverfish to foraging Adélie penguins and the influence of snowfall on chick wetting, thermoregulation and adult provisioning rate.

Marine Ecology Progress Series↗

Seeing the forest and the trees: USGS scientist links local changes to global scale

The recent recipient of two major awards, Craig D. Allen, a research ecologist with the U.S. Geological Survey Fort Collins Science Center, has loved trees since childhood. He is now considered an expert of world renown on the twin phenomena of forest changes and tree mortality resulting from climate warming and drought, and in 2010 was twice recognized for his scientific contributions. In December 2010, Dr. Allen was named a 2010 Fellow of the American Association for the Advancement of Science “for outstanding leadership in the synthesis of global forest responses to climate change, built from worldwide collaboration and a deep understanding of the environmental history of the southwestern United States.” In March 2010, he was honored with the Meritorious Service Award from the U.S. Department of the Interior (DOI) in recognition of his outstanding vision, initiative, and scientific contributions to the USGS, DOI, and U.S. Department of Agriculture in establishing a model science program to support adaptive land management at the new Valles Caldera National Preserve in north-central New Mexico. Dr. Allen has authored more than 85 publications on landscape ecology and landscape change, from fire history and ecology to ecosystem responses to climate change. He has appeared on NOVA discussing fire ecology and on The Discovery Channel and Discovery Canada explaining the links between drought-induced tree mortality and climate warming, in addition to being interviewed and quoted in innumerable newspaper articles on both topics. But how did this unassuming scientist grow from nurturing maple saplings on 40 acres in Wisconsin to understanding forest system stress worldwide?

Report↗

Leopard occupancy and habitat use in the multi-use Chitwan-Annapurna Landscape, Nepal

We estimated leopard ( Panthera pardus fusca ) occupancy in a multi-use region within Nepal’s Chitwan-Annapurna Landscape to evaluate leopard habitat use and inform conservation planning in areas where most of the species’ habitat occurs outside protected areas. In 2021, sign surveys were conducted along 1277 km of transects distributed among 145 grid cells of 7×7 km within a 7105 km² study area, where 226 leopard signs (pugmarks and scats) were documented. We used an occupancy modeling framework to evaluate the influence of environmental and anthropogenic factors on leopard habitat use. We found that leopard occupancy (ψ = 0.73 ± 0.17 CI) was strongly and positively associated with areas used by wild prey such as red muntjac ( Muntiacus muntjak ), rhesus macaques ( Macaca mulatta ), chital ( Axis axis ), and wild boars ( Sus scrofa ). Our results provide evidence that large carnivores like leopards can persist in human-dominated landscapes when native prey remains abundant, underscoring the need for community-based conservation that sustains both prey and predator populations beyond protected areas. By estimating leopard occupancy outside of protected areas, the research establishes a baseline for developing management strategies to ensure the continued existence of leopards in Nepal's multi-use landscapes.

Chitwan-Annapurna Landscape↗

Establishing a definition of polar bear (Ursus maritimus) health: A guide to research and management activities

The meaning of health for wildlife and perspectives on how to assess and measure health, are not well characterized. For wildlife at risk, such as some polar bear (Ursus maritimus) subpopulations, establishing comprehensive monitoring programs that include health status is an emerging need. Environmental changes, especially loss of sea ice habitat, have raised concern about polar bear health. Effective and consistent monitoring of polar bear health requires an unambiguous definition of health. We used the Delphi method of soliciting and interpreting expert knowledge to propose a working definition of polar bear health and to identify current concerns regarding health, challenges in measuring health, and important metrics for monitoring health. The expert opinion elicited through the exercise agreed that polar bear health is defined by characteristics and knowledge at the individual, population, and ecosystem level. The most important threats identified were in decreasing order: climate change, increased nutritional stress, chronic physiological stress, harvest management, increased exposure to contaminants, increased frequency of human interaction, diseases and parasites, and increased exposure to competitors. Fifteen metrics were identified to monitor polar bear health. Of these, indicators of body condition, disease and parasite exposure, contaminant exposure, and reproductive success were ranked as most important. We suggest that a cumulative effects approach to research and monitoring will improve the ability to assess the biological, ecological, and social determinants of polar bear health and provide measurable objectives for conservation goals and priorities and to evaluate progress.

Science of the Total Environment↗

Determinants and consequences of dispersal in vertebrates with complex life cycles: a review of pond-breeding amphibians

Dispersal is a central process in ecology and evolution. It strongly influences the dynamics of spatially structured populations, by affecting population growth rate and local colonization-extinction processes. Dispersal can also influence evolutionary processes because it determines rates and patterns of gene flow in spatially structured populations and is closely linked to local adaptation. For these reasons, dispersal has received considerable attention from ecologists and evolutionary biologists. However, although it has been studied extensively in taxa such as birds and mammals, much less is known about dispersal in vertebrates with complex life cycles such as pond-breeding amphibians. Over the past two decades, researchers have taken an interest in amphibian dispersal and initiated both fundamental and applied studies, using a broad range of experimental and observational approaches. This body of research reveals complex dispersal patterns, causations and syndromes, with dramatic consequences for the demography and genetics of amphibian populations. In this review, our goals are to (1) redefine and clarify the concept of amphibian dispersal, (2) review current knowledge about the effects of individual (i.e., condition-dependent dispersal) and environmental (i.e., context-dependent dispersal) factors during the three stages of dispersal (i.e., emigration, immigration, transience), (3) identify the demographic and genetic consequences of dispersal in spatially structured amphibian populations, and (4) propose new research avenues to extend our understanding of amphibian dispersal. In particular, we emphasize the need to (1) quantify dispersal rate and distance rigorously using suitable model systems, (2) investigate the genetic basis and dispersal evolution patterns, and (3) examine dispersal-related eco-evolutionary dynamics. These proposed research avenues tap from the recent advances in quantitative and molecular methods and have the potential to improve our understanding of dispersal in organisms with complex life cycles.

The Quarterly Review of Biology↗

The potential for species distribution models to distinguish source populations from sinks

1. While species distribution models (SDM) are frequently used to predict species occurrences to help inform conservation management, there is limited evidence evaluating whether habitat suitability can reliably predict intrinsic growth rates or distinguish source from sink populations. Filling this knowledge gap is critical for conservation science, as applications of SDMs for management purposes ultimately depend on these typically unobserved population or metapopulation dynamics. 2. Using regression, we associate previously published population level estimates of intrinsic growth and abundance derived from a Bayesian analysis of mark-recapture data for 17 bird species found in the contiguous United States with SDM habitat suitability estimates fitted here to opportunistic data for these same species. We then use AUC to measure how well SDMs can distinguish populations categorized as sources and sinks, depending on their intrinsic growth rates estimated from the mark-recapture data. We built SDMs using two different approaches, boosted regression trees (BRT) and Generalized Linear Models (GLM), and compared their predictive performance. Each SDM was built with presence points obtained from eBird and 10 environmental variables previously selected to model intrinsic growth rates and abundance for these species. 3. We show that SDMs built with opportunistic data are poor predictors of species demography in general; both BRT and GLM explained very little spatial variation of intrinsic growth rate and population abundance (median R2 across 17 species was close to 0.1 for both SDM methods). SDMs do, however, estimate higher suitability for source populations as compared to sinks. Out of 13 species which had both source and sink populations, both BRT and GLM had AUC values greater than 0.7 for 7 species when discriminating between sources and sinks. 4. Habitat suitability have the potential to be a useful measure to indicate a population’s ability to sustain itself as a source population, however more research on a diverse set of taxa is essential to fully explore this potential. This interpretation of habitat suitability can be particularly useful for conservation practice, and identification of explicit cases of when and how SDMs fail to match population demography can be informative for advancing ecological theory.

Journal of Animal Ecology↗

A synthesis of the characteristics and drivers of introduced fishes in prairie streams: Can we manage introduced harmful fishes in these dynamic environments?

Prairie streams of North America support native fishes that are adapted to the dynamic environment that characterizes these ecologically and economically important ecosystems. However, prairie streams have been altered by landscape changes that may affect the proportions of native and introduced species in fish communities. Herein, we investigate drivers of introduced fish in prairie streams, detail common introduced species and their traits and effects, investigate how climate change may alter the balance between native and introduced species, and summarize management options. Commonly introduced fishes are those with the ability to tolerate extreme variations in temperature, hydrology, and salinity and, as a result, most of the introduced fishes were native to other prairie streams within the Great Plains ecoregion. This suggests environmental extremes may act as a filter for establishment or that short-distance translocations are more common than introductions from other ecoregions. The mechanisms or extent to which introduced species affect native fishes is often assumed or understudied. Climate change may amplify environmental disturbances in ways that may favor native or introduced fishes depending on species traits and biotic interactions. Actions such as habitat modifications or disturbances may favor introduced fishes over native fishes. Research to understand the relative roles of trait preadaptation and spatial proximity of source populations in introduced species establishment could benefit future management. Moreover, patterns observed in other ecosystems may not be transferrable to prairie streams, highlighting the need to understand the context dependency of effects of introduced species.

North American Great Plains↗

Co-mast: Harmonized seed production data for woody plants across US long-term research sites

Plants display a range of temporal patterns of inter-annual reproduction, from relatively constant seed production to “mast seeding,” the synchronized and highly variable interannual seed production of plants within a population. Previous efforts have compiled global records of seed production in long-lived plants to gain insight into seed production, forest and animal population dynamics, and the effects of global change on masting. Existing datasets focus on seed production dynamics at the population scale but are limited in their ability to examine community-level mast seeding dynamics across different plant species at the continental scale. We harmonized decades of plant reproduction data for 141 woody plant species across nine Long-Term Ecological Research (LTER) or long-term ecological monitoring sites from a wide range of habitats across the United States. Plant reproduction data are reported annually between 1957 and 2021 and based on either seed traps or seed and/or cone counts on individual trees. A wide range of woody plant species including trees, shrubs, and lianas are represented within sites allowing for direct community-level comparisons among species. We share code for filtering of data that enables the comparison of plot and individual tree data across sites. For each species, we compiled relevant life history attributes (e.g., seed mass, dispersal syndrome, seed longevity, sexual system) that may serve as important predictors of mast seeding in future analyses. To aid in phylogenetically informed analyses, we also share a phylogeny and phylogenetic distance matrix for all species in the dataset. These data can be used to investigate continent-scale ecological properties of seed production, including individual and population variability, synchrony within and across species, and how these properties of seed production vary in relation to plant species traits and environmental conditions. In addition, these data can be used to assess how annual variability in seed production is associated with climate conditions and how that varies across populations, species, and regions. The dataset is released under a CC0 1.0 Universal public domain license.

Ecology↗