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Reducing uncertainty with iterative model updating parses effects of competition and environment on salamander occupancy

Making timely management decisions is often hindered by uncertainty. Monitoring reduces two key types of uncertainty. First, it serves to reduce structural uncertainty of how the system works and provides support for expectations of how a system works. Second, it serves to reduce parametric uncertainty of the drivers of system dynamics. By combining monitoring data and quantitative models, we can reduce structural and parametric uncertainty. To demonstrate this, we focus on the Shenandoah salamander ( Plethodon shenandoah ), a United States Federally Endangered Species. Early work suggested that P. shenandoah extinction risk results from competition with a conspecific ( Plethodon cinereus ). However, more recent work has found equivocal support for this claim, instead suggesting that abiotic factors, such as moisture and temperature, drive P. shenandoah persistence. Using long-term monitoring data, we find that while competition may play a part in P. shenandoah extinction risk, measures of surface moisture are better predictors of occupancy dynamics. Further, we find decreased detection rates of P. shenandoah when P. cinereus is present, suggesting a conflation of detection probability with actual competition, which cautions against making inference from unadjusted observations of occurrence. Using multiple lines of inquiry allows for more robust understanding of system drivers in the face of high uncertainty, increasing opportunities to manage extinction risk.

Virginia

Sturgeon research update: Confirmed pallid sturgeon spawning in the Missouri River in 2007

The U.S. Geological Survey (USGS) in partnership with the Nebraska Game and Parks Commission (NGPC) and the U.S. Army Corps of Engineers have confirmed spawning of two female pallid sturgeon in the upstream reaches of the lower Missouri River in May 2007. Combined with supporting research in reproductive physiology, identification of spawning habitat, and early life history this result provides new understanding of environmental factors (for example, photoperiod, temperature, water quality, and flow regime) that might affect reproduction of this endangered species. The purpose of this fact sheet is to provide stakeholders, scientists, and managers with some of the preliminary results from the 2007 field assessment of sturgeon reproduction in the lower Missouri River.

Fact Sheet

Keeping up with the times: Mapping range-wide habitat suitability for endangered species in a changing environment

Biologists and policy-makers have the difficult task of allocating limited resources to habitat conservation and management for endangered species in the face of changing environmental conditions. Satellite remote sensing can inform conservation because it is an efficient means to obtain environmental data over broad spatial and temporal extents. Yet, the challenges of accessing, processing, and analyzing remote sensing data hinder wider application of these techniques in conservation planning. We used Landsat data and hierarchical statistical models to link satellite-derived habitat measurements with abundance of endangered Yuma Ridgway's rails ( Rallus obsoletus yumanensis ) within the Lower Colorado River Basin and Salton Sink, USA. We addressed many of the challenges facing the application of remote sensing techniques by using the web-based, freely-available Google Earth Engine to process Landsat datasets, apply habitat models, and generate maps to predict habitat suitability at a fine spatial grain (30 m) across the range of the species. These maps are shareable, interactive, and easy to update annually as habitat conditions change using a Google Earth Engine App we developed. Thus, we provide a framework for building habitat suitability models and maps to help target adaptive habitat management over broad extents for sensitive species, enabling biologists to improve conservation and restoration efforts regularly as conditions change in highly variable ecosystems. We demonstrate this approach for Yuma Ridgway's rails, but our methods for merging hierarchical statistical models with open-source mapping software to describe spatial-temporal heterogeneity in habitat quality are applicable to any species, and are especially helpful to species inhabiting highly variable ecosystems.

Arizona, California, Nevada

Long lives, short futures: Freshwater turtle and tortoise imports to the United States highlight global trade and conservation challenges

Global trade of freshwater turtles and tortoises presents substantial conservation, biosecurity, and regulatory challenges, particularly for long-lived species that are already highly imperiled. While the United States has historically played a key role in supplying the international chelonian trade, investigations into its role as an importer remain limited. We used import data from the U.S. Fish and Wildlife Service Law Enforcement Management Information System (LEMIS) between 2000 and 2022 to evaluate the trade of freshwater turtles and tortoises. Over 2.5 million individuals were imported into the United States during this period, comprising 172 species that are likely imported for the pet trade, food, and traditional medicine markets. Reported annual imports for freshwater turtles increased until approximately 2013 and decreased thereafter, whereas reported annual imports for tortoises have remained relatively constant. Two species, Chinese softshell turtles ( Pelodiscus sinensis ) and Horsfield's tortoises ( Testudo horsfieldii ) represent 62.9% of all imports. Imported species were largely classified as Vulnerable, Endangered, or Critically Endangered by the IUCN Red List, yet the conservation status of a concerning number of species ( n = 45; 26.2%) has not been evaluated. Many imports appear to be sourced from wild populations (28.3% of freshwater turtles, 71.3% of tortoises); however, captive-sourced imports increased significantly over time across both groups. Import volumes raise concerns regarding the sustainability of freshwater turtle and tortoise trade, the potential for invasive species establishment, and disease spread. Our results highlight the need for updated IUCN assessments, verification of trade records, and strengthening of biosecurity screening at U.S. ports of entry.

Biological Conservation

The evolving threat of rapid Ohia death (ROD) to Hawaii’s native ecosystems and rare plant species

Hawai‘i’s most widespread native tree, ‘ōhi‘a lehua ( Metrosideros polymorpha ), has been dying across large areas of Hawai‘i Island mainly due to two fungal pathogens ( Ceratocystis lukuohia and Ceratocystis huliohia ) that cause a disease collectively known as Rapid ‘Ōhi‘a Death (ROD). Here we examine patterns of positive detections of C. lukuohia as it has been linked to the larger mortality events across Hawai‘i Island. Our analysis compares the environmental range of C. lukuohia and its spread over time through the known climatic range and distribution of ‘ōhi‘a. Analyses show this fungal pathogen generally encompassed the core, but not the extremes of the climatic range of ‘ōhi‘a. We further modeled the potential distribution of C. lukuohia across the Hawaiian Archipelago to estimate the risk of ROD to other islands. Given the potential for C. lukuohia to alter the structure of ‘ōhi‘a dominated forests, we used our projected potential distribution of C. lukuohia to assess the risk of ROD to threatened and endangered plant species across Hawai‘i. Many native plants are likely vulnerable to these types of large ‘ōhi‘a mortality events: of 234 endangered native plant species considered, 147 (62.8%) have more than half of their range within current and expanding C. lukuohia suitable areas. We also found evidence that protecting habitat by fencing out introduced feral ungulates reduces the prevalence of the disease likely by reducing physical damage caused by these animals to ‘ōhi‘a trees, a precondition for Ceratocystis infection. Given the ongoing spread of C. lukuohia , we developed a dynamic web portal to host our results online, where models and analyses are updated with new lab-confirmed detections to provide managers with a useful tool to help monitor and assess the risk of C. lukuohia as it continues to spread.

Hawaii

The Hawai'i rare bird search 1994-1996

We compiled the recent history of sightings and searched for 13 rare and missing Hawaiian forest birds to update status and distribution information. We made 23 expeditions between August 1994 and April 1996 on the islands of Hawai‘i, Maui, Moloka‘i, and Kaua‘i totaling 1,685 search hours, 146 field days, and 553 person days. During our surveys we found four critically endangered birds: the Po‘ouli ( Melamprusops phaeosoma , five to six individuals), Maui Nukupu‘u ( Hemignathus lucidus affinis , one individual), ‘I‘iwi ( Vestiaria coccinea ) on Moloka‘i (one individual), and the Puaiohi ( Myadestes palmeri , 55-70 individuals). Detection rates for each species were 0.013, 0.002, 0.012, and 0.318 detections/hr, respectively. Although not visually confirmed during our surveys, auditory detections, unconfirmed sightings, and other reports suggest the possible existence of ‘O‘u ( Psittirostra psittacea ) on Hawai‘i, Kaua‘i Nukupu‘u ( Hemignathus lucidus hanapepe ), and Maui ‘Akepa ( Loxops coccineus ochraceus ) in perilously low numbers. Six undetected forest bird populations, Kama‘o ( Myadestes myudestinus ), Kaua‘i ‘O‘o ( Moho braccatus ), Bishop’s ‘O‘o ( Moho bishopi ), ‘O‘o on Kaua‘i, Greater ‘Akialoa ( Hemignafhus ellisianus ), and Kakawahie ( Paroveomyza flammea ) have high probabilities of being extinct. Oloma‘o ( Myadestes lanaiensis ) from Moloka‘i are probably extirpated from the areas searched on that island but may persist on the unsurveyed Oloku‘i Plateau.

Hawai'i

The protectiveness of aquatic life criteria for threatened or endangered aquatic species: Cadmium in California

In the United States, conflicts can arise between the processes to derive aquatic life criteria (ALC) for chemicals under the Clean Water Act (CWA) and the evaluation procedures used in Endangered Species Act (ESA) consultations on the protectiveness of those criteria for protected species. This paper examines the roots of, and possible reconciliation of, one longstanding conflict over cadmium aquatic life criteria in California. This case study includes 1) an overview of occurrences of cadmium in the aquatic environment, 2) factors affecting toxicity of cadmium to aquatic life, 3) a contrast between the analytical procedures of CWA aquatic life criteria derivation and ESA consultation, 4) quantitative estimates of no-effect concentrations of cadmium for 44 ESA listed species in comparison with updated aquatic life criteria, and 5) concludes with suggestions to update California’s aquatic life criteria for cadmium that would be more protective of sensitive ESA listed species. A root cause of conflict is the different levels of biological organization that are the focus of CWA and ESA procedures. The CWA ALC are intended to protect diverse ecosystems by protecting at least 95% of the species richness in communities, allowing that it is acceptable for some species in the residual most sensitive 5% of the community richness to be harmed or even locally extirpated so long as they are not societally important species. The ESA is charged with minimizing harm to individual organisms and disallows increasing risk of extinction or impeding recovery of protected species. With cadmium in California, these procedures converge because some of the most sensitive species to cadmium happen to be surrogates for protected species (acute responses of steelhead/rainbow trout, Oncorhynchus mykiss , and chronic responses of threespine stickleback, Gasterosteus aculeatus ). The present review concludes that while the superseded 1996 cadmium criteria versions would not be fully protective for up to half of the 44 ESA listed aquatic species in California, the updated 2016 versions would be more protective. Still, the review shows that the updated acute criteria would only fully protect the less sensitive half of the distribution of data for steelhead/rainbow trout sensitivity to cadmium, and the chronic criterion still would not protect the listed threespine stickleback. With a data rich species such as rainbow trout, instead of defining acute criteria using a central tendency statistic such as the geometric mean of multiple test responses, using a lower statistic such as the 10th percentile would ensure that the vast majority of a sensitive, protected species (and all less sensitive species) would be protected. Available data for the stickleback indicate it may be highly sensitive to cadmium, but no threshold can be derived from existing data. Additional testing with cadmium and stickleback would be needed to suggest an alternative, quantitative approach.

California

Changing Arctic Ecosystems: Updated forecast: Reducing carbon dioxide (CO2) emissions required to improve polar bear outlook

The Arctic is warming faster than other regions of the world due to the loss of snow and ice, which increases the amount of solar energy absorbed by the region. The most visible consequence has been the rapid decline in sea ice over the last 3 decades-a decline projected to bring long ice-free summers if greenhouse gas (GHG) emissions are not significantly reduced. The polar bear ( Ursus maritimus ) depends on sea ice over the biologically productive continental shelves of the Arctic Ocean as a platform for hunting seals. In 2008, the U.S. Fish and Wildlife Service listed the polar bear as threatened under the Endangered Species Act (ESA) due to the threat posed by sea ice loss. The polar bear was the first species to be listed due to forecasted population declines from climate change.

Arctic

Evaluating and ranking threats to the long-term persistence of polar bears

The polar bear ( Ursus maritimus ) was listed as a globally threatened species under the U.S. Endangered Species Act (ESA) in 2008, mostly due to the significant threat to their future population viability from rapidly declining Arctic sea ice. A core mandate of the ESA is the development of a recovery plan that identifies steps to maintain viable populations of a listed species. A substantive evaluation of the relative influence of putative threats to population persistence is helpful to recovery planning. Because management actions must often be taken in the face of substantial information gaps, a formalized evaluation hypothesizing potential stressors and their relationships with population persistence can improve identification of relevant conservation actions. To this end, we updated a Bayesian network model previously used to forecast the future status of polar bears worldwide. We used new information on actual and predicted sea ice loss and polar bear responses to evaluate the relative influence of plausible threats and their mitigation through management actions on the persistence of polar bears in four ecoregions. We found that polar bear outcomes worsened over time through the end of the century under both stabilized and unabated greenhouse gas (GHG) emission pathways. Under the unabated pathway (i.e., RCP 8.5), the time it took for polar bear populations in two of four ecoregions to reach a dominant probability of greatly decreased was hastened by about 25 years. Under the stabilized GHG emission pathway (i.e., RCP 4.5), where GHG emissions peak around the year 2040, the polar bear population in the Archipelago Ecoregion of High Arctic Canada never reached a dominant probability of greatly decreased, reinforcing earlier suggestions of this ecoregion’s potential to serve as a long-term refugium. The most influential drivers of adverse polar bear outcomes were declines to overall sea ice conditions and to the marine prey base. Improved sea ice conditions substantively lowered the probability of a decreased or greatly decreased outcome, while an elevated marine prey base was slightly less influential in lowering the probability of a decreased or greatly decreased outcome. Stressors associated with in situ human activities exerted considerably less influence on population outcomes. Reduced mortality from hunting and defense of life and property interactions resulted inmodest declines in the probability of a decreased or greatly decreased population outcome. Minimizing other stressors such as trans-Arctic shipping, oil and gas exploration, and point-source pollution had negligible effects on polar bear outcomes, but that could be attributed to uncertainties in the ecological relevance of those specific stressors. Our findings suggest adverse consequences of loss of sea ice habitat become more pronounced as the summer ice-free period lengthens beyond 4 months, which could occur in portions of the Arctic by the middle of this century under the unabated pathway. The long-term persistence of polar bears may be achieved through ameliorating the loss of sea ice habitat, which will likely require stabilizing CO 2 emissions at or below the ceiling represented by RCP 4.5. Management of other stressors may serve to slow the transition of polar bear populations to progressively worsened outcomes, and improve the prospects of persistence, pending GHG mitigation.

Open-File Report

A management-focused population viability analysis for North Atlantic right whales

The North Atlantic right whale ( Eubalaena glacialis ) is among the most endangered whale species in the world and has been in decline since 2010. Considerable effort is directed toward its recovery by striving to remove threats. In this report, we describe the development of a population viability analysis for right whales that is designed to assess the current status, evaluate the contributions of various threats, and explore the management interventions needed to achieve recovery. The individual-based model that underlies this analysis accounts for age- and stagespecific survival and reproductive rates, the effects of severe injury from entanglement or vessel strike, and future changes in prey availability and accessibility. Several new or updated empirical analyses supplied parameter estimates, and parametric uncertainty was carefully incorporated into the model results. We find that under the status quo conditions of 2019, prior to the enactment of new regulations by the U.S. and Canada after 2020, the North Atlantic right whale population would be expected to continue to fall, with a median decline of 75% in 100 years (95% projection interval, –98% to +9% change) and a probability of falling below 50 proven females of 0.934 in 100 years. If the recently enacted regulations reduce entanglement risk by 25%, however, the population would be expected to decrease by 42% over 100 years (95% projection interval –92% to +154% change), with a risk of falling below 50 proven females in 100 years of 0.705. If, instead, the recently enacted regulations reduce entanglement risk by 50%, the population would be expected to increase by 52% in 100 years (95% projection interval –83% to +497% change), with a probability of falling below 50 proven females of 0.349. Of the 3 primary threats explored in this analysis, the risk of entanglement contributes the most to the long-term risk of quasi-extinction, followed closely by the risk of vessel strike, and much more distantly by a decrease in prey availability. In hypothetical scenarios that fully remove one threat at a time, removal of the entanglement threat alone reduces the probability of falling below 50 proven females in 100 years from 0.934 to 0.053; removal of the vessel strike threat alone reduces it to 0.343; and a return to higher prey conditions, but with both human-related threats still in place, reduces it to 0.875. We explored a wide range of management intervention scenarios that changed the rate of entanglement risk (e.g., endline reductions, closures, implementation of ropeless/on-demand gear); the effect of entanglement (through use of weak rope technology); the rate of vessel traffic increase over time; and the severity of vessel strike risk through speed restrictions. We found, for example, that reducing entanglement risk alone by 25% reduces the risk of quasi-extinction from 0.934 to 0.705; reducing vessel strike risk alone by 25% reduces the risk of quasi-extinction from 0.934 to 0.846; but the combination of reducing both entanglement risk and vessel strike risk by 25% reduces the risk of quasi-extinction to 0.528. This model and the results it produced are meant to represent an assessment of the current status of North Atlantic right whales using the best available scientific and commercial data and state-of-the-art analytical tools. Our knowledge of the future of the right whale population, however, has limitations. We have endeavored to fully incorporate uncertainty into this model, but there are many areas for continued improvement. We view this model as a living tool that can be improved, adapted, and extended as new data, new methods, and new questions arise.

NOAA Technical Memorandum

Breeding by western Yellow-billed Cuckoos in xeroriparian habitat in southeastern Arizona

The identification of occupied habitat is an important component of recovery efforts for threatened and endangered species. The western population of the Yellow-billed Cuckoo (Coccyzus americanus), federally listed as a threatened distinct population segment, has long been considered a riparian-obligate, yet recent survey efforts in southeastern Arizona have documented cuckoos occurring in xeroriparian habitat during the nesting season. We investigated the distribution and breeding status of cuckoos in southeastern Arizona xeroriparian habitat by comparing the results of standardized call-playback surveys to the results of nest searching efforts in the same sites from 2018 to 2020. We then used this information to interpret more extensive survey data from 2013 to 2020 and develop an updated breeding distribution map for southeastern Arizona. We confirmed breeding in 94% of sites categorized as occupied according to survey results. Combining our data with previous survey data, we estimated a minimum of 100 occupied sites in southeastern Arizona xeroriparian habitat, representing a substantial increase in the known breeding population in Arizona. Occupied sites were concentrated in southern and western “Sky Island” mountain and foothill drainages, from 600–1800 m, with xeroriparian vegetation in a matrix of Madrean-evergreen woodland, semi-desert grassland, or desert scrub. Breeding by cuckoos in southeastern Arizona xeroriparian habitat is important for cuckoo conservation, but this habitat also faces potential threats from grazing, climate change, and development.

Arizona

Recent recovery and expansion of Guam’s locally endangered Såli (Micronesian Starling) Aplonis opaca population in the presence of the invasive brown treesnake

Assessing the impacts of invasive predators on the demography and distribution of native species is critical for understanding mechanisms of species persistence and informing the design of recovery programmes. On the oceanic island of Guam, the introduction of the predatory brown treesnake Boiga irregularis after World War II caused the near-total loss of the native forest avifauna. Localised snake control measures have been implemented since the early 1990s, yet it remains poorly understood how they have impacted Guam’s remaining native bird populations. To address this question, we combined intensive area searches of Andersen Air Force Base (AAFB) with island-wide transect surveys and opportunistic sightings to provide a comprehensive update on the distribution and abundance of Såli (Micronesian Starling, Aplonis opaca ) – one of Guam’s last extant native bird species. Area searches of AAFB, where the largest remnant of the Såli population persists, revealed a 15-fold population increase since the last survey in the early 1990s, and transect surveys and opportunistic sightings indicate incipient recolonisation of other urbanised areas of northern and central Guam. We estimate the current island-wide population size at ~1,400 individuals. The population increase can likely be attributed to a combination of snake control measures and the Såli’s ability to exploit urban refugia for nesting and roosting. Although these trends demonstrate some population recovery, a skewed age ratio (>90% adults and subadults) at AAFB and a highly urbanised distribution and low abundance outside AAFB indicate that snake predation continues to strongly impact the population. More intensive snake suppression efforts, particularly in forested areas, may allow for the Såli population to attain its former distribution and abundance on Guam. More broadly, our findings reinforce the importance of urban areas as refugia for some threatened species.

Bird Conservation International

Visualization of Flow Alternatives, Lower Missouri River

Background The U.S. Army Corps of Engineers (COE) 'Missouri River Master Water Control Manual' (Master Manual) review has resulted in consideration of many flow alternatives for managing the water in the river (COE, 2001; 1998a). The purpose of this report is to present flow-management alternative model results in a way that can be easily visualized and understood. This report was updated in October 2001 to focus on the specific flow-management alternatives presented by the COE in the 'Master Manual Revised Draft Environmental Impact Statement' (RDEIS; COE, 2001). The original version (February 2000) is available by clicking here. The COE, U.S. Fish and Wildlife Service (FWS), Missouri River states, and Missouri River basin tribes have been participating in discussions concerning water management of the Missouri River mainstem reservoir system (MRMRS), the Missouri River Bank Stabilization and Navigation Project, and the Kansas River reservoir system since 1986. These discussions include general input to the revision of the Master Manual as well as formal consultation under Section 7 of the Endangered Species Act. In 2000, the FWS issued a Biological Opinion that prescribed changes to reservoir management on the Missouri River that were believed to be necessary to preclude jeopardy to three endangered species, the pallid sturgeon, piping plover, and interior least tern (USFWS, 2000). The combined Missouri River system is large and complex, including many reservoirs, control structures, and free-flowing reaches extending over a broad region. The ability to assess future impacts of altered management scenarios necessarily involves complex, computational models that attempt to integrate physical, chemical, biological, and economic effects. Graphical visualization of the model output is intended to improve understanding of the differences among flow-management alternatives.

Colorado, Iowa, Kansas, Missouri, Montana, Nebrask

Distribution probability of the Virginia northern flying squirrel in the High Allegheny Mountains

In the central Appalachians of Virginia and West Virginia, the Virginia northern flying squirrel ( Glaucomys sabrinus fuscus ; VNFS) is a subspecies of northern flying squirrel generally associated with red spruce ( Picea rubens )-dominated forests at high elevations. Listed as endangered by the U.S. Fish and Wildlife Service from 1985 to 2013, the VNFS currently is the subject of a 10-year post-delisting assessment. Still considered a state-listed species in Virginia and a species of greatest conservation need in West Virginia, the VNFS serves as a focal target for red spruce restoration activities in the High Allegheny Region (HAR) of the two states. Owing to the cryptic nature of VNFS and its low detection probability in live-capture surveys, managers in the region rely on habitat models to assess probable presence. Using long-term nest-box, live-trapping, and radio-telemetry data matched with updated high elevation forest-type coverage data for the region, we created a new VNFS resource selection function and spatial coverage map. Inputting red spruce cover, increasing elevation, and decreasing landform index (increasing site shelteredness) composed the best model explaining VNFS occurrence. The calculated amount of low-quality habitat was congruent with previous modeling efforts; however, inclusion of more VNFS occurrence records in the current effort indicated that previous efforts substantially underestimated the amount (>400%) of extant high quality VNFS habitat. We estimate the HAR to contain approximately 197,952 ha with ≥0.50 predicted probability of occurrence of VNFS. In addition to potentially improving current and future VNFS live-capture surveys, with this model managers may better target forests for red spruce restoration to increase high elevation forest ecological integrity and to improve habitat patch connectedness for VNFS.

Maryland, Virginia, West Virginia

Statistical analysis of the water-quality monitoring program, Upper Klamath Lake, Oregon, and optimization of the program for 2013 and beyond

Upper Klamath Lake in south-central Oregon has become increasingly eutrophic over the past century and now experiences seasonal cyanobacteria-dominated and potentially toxic phytoplankton blooms. Growth and decline of these blooms create poor water-quality conditions that can be detrimental to fish, including two resident endangered sucker species. Upper Klamath Lake is the primary water supply to agricultural areas within the upper Klamath Basin. Water from the lake is also used to generate power and to enhance and sustain downstream flows in the Klamath River. Water quality in Upper Klamath Lake has been monitored by the Klamath Tribes since the early 1990s and by the U.S. Geological Survey (USGS) since 2002. Management agencies and other stakeholders have determined that a re-evaluation of the goals for water-quality monitoring is warranted to assess whether current data-collection activities will continue to adequately provide data for researchers to address questions of interest and to facilitate future natural resource management decisions. The purpose of this study was to (1) compile an updated list of the goals and objectives for long-term water-quality monitoring in Upper Klamath Lake with input from upper Klamath Basin stakeholders, (2) assess the current water-quality monitoring programs in Upper Klamath Lake to determine whether existing data-collection strategies can fulfill the updated goals and objectives for monitoring, and (3) identify potential modifications to future monitoring plans in accordance with the updated monitoring objectives and improve stakeholder cooperation and data-collection efficiency. Data collected by the Klamath Tribes and the USGS were evaluated to determine whether consistent long-term trends in water-quality variables can be described by the dataset and whether the number and distribution of currently monitored sites captures the full range of environmental conditions and the multi-scale variability of water-quality parameters in the lake. Also, current monitoring strategies were scrutinized for unnecessary redundancy within the overall network.

Oregon

Cadmium risks to freshwater life: derivation and validation of low-effect criteria values using laboratory and field studies

In 2001, the U.S. Environmental Protection Agency (EPA) released updated aquatic life criteria for cadmium. Since then, additional data on the effects of cadmium to aquatic life have become available from studies supported by the EPA, Idaho Department of Environmental Quality (IDEQ), and the U.S. Geological Survey, among other sources. Updated data on the effects of cadmium to aquatic life were compiled and reviewed and low-effect concentrations were estimated. Low-effect values were calculated using EPA's guidelines for deriving numerical national water-quality criteria for the protection of aquatic organisms and their uses. Data on the short-term (acute) effects of cadmium on North American freshwater species that were suitable for criteria derivation were located for 69 species representing 57 genera and 33 families. For longer-term (chronic) effects of cadmium on North American freshwater species, suitable data were located for 28 species representing 21 genera and 17 families. Both the acute and chronic toxicity of cadmium were dependent on the hardness of the test water. Hardness-toxicity regressions were developed for both acute and chronic datasets so that effects data from different tests could be adjusted to a common water hardness. Hardness-adjusted effects values were pooled to obtain species and genus mean acute and chronic values, which then were ranked by their sensitivity to cadmium. The four most sensitive genera to acute exposures were, in order of increasing cadmium resistance, Oncorhynchus (Pacific trout and salmon), Salvelinus ('char' trout), Salmo (Atlantic trout and salmon), and Cottus (sculpin). The four most sensitive genera to chronic exposures were Hyalella (amphipod), Cottus, Gammarus (amphipod), and Salvelinus. Using the updated datasets, hardness dependent criteria equations were calculated for acute and chronic exposures to cadmium. At a hardness of 50 mg/L as calcium carbonate, the criterion maximum concentration (CMC, or 'acute' criterion) was calculated as 0.75 mug/L cadmium using the hardness-dependent equation CMC = e(0.8403 ? ln(hardness)-3.572) where the 'ln hardness' is the natural logarithm of the water hardness. Likewise, the criterion continuous concentration (CCC, or 'chronic' criterion) was calculated as 0.37 mug/L cadmium using the hardness-dependent equation CCC = (e(0.6247 ? ln(hardness)-3.384)) ? (1.101672 - ((ln hardness) ? 0.041838))). Using data that were independent of those used to derive the criteria, the criteria concentrations were evaluated to estimate whether adverse effects were expected to the biological integrity of natural waters or to selected species listed as threatened or endangered. One species was identified that would not be fully protected by the derived CCC, the amphipod Hyalella azteca. Exposure to CCC conditions likely would lead to population decreases in Hyalella azteca, the food web consequences of which probably would be slight if macroinvertebrate communities were otherwise diverse. Some data also suggested adverse behavioral changes are possible in fish following long-term exposures to low levels of cadmium, particularly in char (genus Salvelinus). Although ambiguous, these data indicate a need to periodically review the literature on behavioral changes in fish following metals exposure as more information becomes available. Most data reviewed indicated that criteria conditions were unlikely to contribute to overt adverse effects to either biological integrity or listed species. If elevated cadmium concentrations that approach the chronic criterion values occur in ambient waters, careful biological monitoring of invertebrate and fish assemblages would be prudent to validate the prediction that the assemblages would not be adversely affected by cadmium at criterion concentrations.

Scientific Investigations Report

Population and habitat analyses for greater sage-grouse (Centrocercus urophasianus) in the bi-state distinct population segment—2018 update

Executive Summary The Bi-State Distinct Population Segment (Bi-State DPS) of greater sage-grouse ( Centrocercus urophasianus , hereinafter “sage-grouse”) represents a genetically distinct and geographically isolated population that straddles the border between Nevada and California. The primary threat to these sage-grouse populations is the expansion of single-leaf pinyon ( Pinus monophylla ) and Utah juniper ( Juniperus osteosperma ) into sagebrush ecosystems, which fragments and reduces population connectivity and survival. Other important threats include low water availability during brood-rearing, particularly during drought, and increased predation by common ravens ( Corvus corax ), a generalist predator often associated with anthropogenic resource subsidies. Although the Bi-State DPS occurs at high elevations relative to sage-grouse range-wide, changes in historical wildfire cycles and the conversion of native shrubs to invasive annual grasslands still threaten these populations. The Bi-State DPS has undergone multiple federal status assessments and associated litigation. For example, in October of 2013, the Bi-State DPS was proposed for listing as threatened under the Endangered Species Act of 1973 by the U.S. Fish and Wildlife Service (USFWS), then withdrawn in April 2015. The withdrawal decision was challenged, and in May 2018, a Federal district court ordered the withdrawal decision to be vacated, and USFWS was required to re-open the October 2013 listing evaluation. In response, the U.S. Geological Survey (USGS), with State and Federal collaborators, embarked on a multipronged analysis to provide current and best available science regarding population status of sage-grouse within the Bi-State DPS. Using data from a long-term monitoring program, we carried out four analytical study objectives, and here, we provide preliminary results of these analyses. First, we used integrated population modeling (IPM) to predict annual population abundance and annual finite rate of population change for the Bi-State DPS, as a whole, and for each subpopulation between 1995 and 2018. Because sage-grouse exhibit population cycles (periodic increases and decreases in abundance across approximately 6- to 10-year wavelengths), we estimated trends across three nested temporal scales that represent one (11 years), two (18 years), and three (24 years) complete population cycles. These estimates of relatively long-term averaged population change account for temporal (that is, interannual) variation. Our model predicted population abundance for the Bi-State DPS during 2018 at 3,305 individuals (2,247–4,683), with the majority occupying Bodie Hills and Long Valley. The model also predicted cyclic dynamics in abundance through time with evidence of 24-year population growth and slight trends of decline over the past 18 years. Specifically, across the Bi-State DPS as a whole, we estimated annual average at 0.99, 0.99, and 1.02 over the one, two, and three population cycles, which equated to a 10.5 percent, 16.6 percent decrease, and 60.0 percent increase in abundance over the 11-, 18-, and 24-year cycles. Estimated abundance in 2018 had not reached numbers lower than those predicted during 1995. However, we found spatial variation in population trends across the three cycles. Bodie Hills subpopulation comprised the greatest (1,521) and exhibited average annual greater than 1.0 across all periods resulting in average annual increases of 7 percent. This relatively large subpopulation has grown 5 times larger than what was predicted in 1995 while experiencing cyclical dynamics within that period. Conversely, other smaller subpopulations within the Bi-State DPS exhibited average annual equal to or less than 1.0 resulting in estimated 10-year risks of extirpation ranging from 2.0 to 76.1 percent. In general, evidence of decline among smaller subpopulations was greatest for the most recent period (2008–18) compared to a period that encompassed three full population cycles (24-year). This difference coincides with an intense period of drought that began in 2012. For comparative purposes as part of this first objective, we conducted a similar analysis for populations of sage-grouse within Nevada and California but outside the Bi-State DPS. We developed a region-wide and distance-weighted IPM using lek count from Nevada Department of Wildlife (NDOW) and California Department of Fish and Wildlife (CDFW) databases and with telemetry data collected by USGS across 12 sage-grouse subpopulations. Our models predicted similar patterns in population cycling outside the Bi-State DPS but with much stronger evidence of long-term declines across 24 years. Specifically, median averaged across each year of the 11-, 18-, and 24-year periods resulted in average annual values of 0.94, 0.97, and 0.99, respectively. These values equate to 41.0 percent, 38.5 percent, and 21.3 percent declines over the corresponding periods. Second, we used lek count data in a state-space modeling framework to compare trends in population abundance across different spatial scales (that is, leks versus Bi-State DPS). This hierarchical framework allowed us to disentangle declines associated with climate conditions as opposed to other local level factors that might signal the need for management intervention. Specifically, we identified 7 leks that were both declining and recently decoupled from larger spatial scale trends, typically governed by climatic conditions (referred to as soft or hard signals). The goal of this analysis was to provide an early warning system that might have implications for conservation actions at local scales. Third, we developed phenological (spring, summer–fall, and winter) and reproductive life stage (nesting, early brood-rearing, and late-brood rearing) based resource selection functions using various environmental covariates. We report rankings of variable importance for each season and life stage, developed maps of habitat selection indices (HSI), binned categories representing low, moderate, and high classes of quality (where any category greater than or equal to low indicated selected habitat) for each phenological season and life stage, and produced composite maps by selected phenological and reproductive stage to estimate annual habitat. Fourth, we used for each lek within the Bi-State DPS to carry out a spatial analysis that quantified substantial changes in the distribution of occupied habitat across long- (24-year) and short- (11-year) term periods. Owing to differences among available datasets, the long-term analysis primarily reflected spatial shifts among subpopulations comprising the majority of the Bi-State DPS (that is, Bodie Hills and Long Valley) while the short-term analysis also quantified changes among subpopulations along the periphery. Over long and short-term periods, the overall distribution of occupied habitat (as measured by 99 percent utilization distributions intersecting any quantified habitat) was reduced by 20,573 ha and 55,492 ha, respectively. Occupied core areas (as measured by 50 percent utilization distributions intersecting any quantified habitat) over long-term periods were solely located in Bodie Hills and Long Valley. Although nearly all subpopulations experienced contractions in occupied overall and core distribution, Bodie Hills experienced spatial expansion that occurred with concomitant spatial contraction at Long Valley over both periods. Subpopulations at the northern (Pine Nuts), central (Sagehen) and southern (White-Mountains) extents of the Bi-State DPS also experienced spatial contraction over the short-term period. These findings, coupled with those of population trends, indicate long-term patterns in redistribution of sage-grouse from Long Valley and peripheral subpopulations to Bodie Hills. That is, sage-grouse subpopulations at the periphery are declining while the largest population at the core is increasing, which could have meaningful impacts on overall metapopulation persistence. We provide evidence for loss of occupied habitat (reduced distribution) given local extirpation of subpopulations. Fifth, we calculated percentages of selected phenological, life stage, and annual habitat that each subpopulation contributed to the Bi-State DPS. We then intersected these maps with a composite estimate of occupied habitat from the fourth objective and calculated percentages of selected habitat likely occupied by sage-grouse that each subpopulation contributed to the Bi-State DPS. These values provide evidence for loss of occupied habitat and subsequent reductions in spatial distribution given reductions in abundance and, in some cases, extirpation of leks within subpopulations. Lastly, we carried out an initial in-depth analysis of selection for irrigated pastures and wet meadows during the brood-rearing stage for the Long Valley subpopulation. We chose this subpopulation because it represents a population core, representing 26.5 percent of total sage-grouse within the Bi-State DPS, and has exhibited long-term declines in abundance and distribution. This subpopulation is highly sensitive to precipitation and other factors that influence water availability. Models predicted higher use of the interior portions of irrigated pastures and wet meadows during late brood-rearing period, which represented a potentially risky use of habitat that was exacerbated during periods of low moisture (for example, drought, reduced water delivery, or both). Sage-grouse typically used edges of riparian areas and pastures, largely because the interior of these mesic areas consisted of considerably less overhead concealment cover (for example, shrubs) that likely resulted in a higher risk of mortality. We found that a lack of water delivery to pastures in the form of overwinter precipitation or diversion ditches increased the movements of sage-grouse to the interior of pastures. Although further investigation of water delivery impacts on chick survival are warrented, our initial findings regarding resource selection may explain recent declines in population growth at Long Valley.

California, Nevada

Synopsis of research programs that can provide baseline and monitoring information for offshore energy activities in the Pacific region: Seabird and marine mammal surveys in the Pacific region

We assembled and tabulated information about marine bird and mammal research and monitoring programs that could provide data needed to support environmental risk assessments. This included identifying ongoing or completed research programs that contain information on species and habitats sensitive to offshore energy activities and that could provide baseline and monitoring data to understand and mitigate potential impacts of offshore energy development in the Southern California Planning Area, Washington-Oregon Planning Area, and the Hawaiian OCS of the Bureau of Ocean Energy Management (BOEM). When available, we also included information regarding programs in Alaska, but the catalog for Alaska is not comprehensive. We included programs that assessed the distribution, abundance, or biology of marine birds (seabirds, waterbirds, or sea ducks) and marine mammals (cetaceans, pinnipeds, and sea otters), some of which are protected species under the Endangered Species Act (ESA of 1973) or the Marine Mammal Protection Act (MMPA of 1972). We canvassed data providers with spreadsheet or web-based survey forms. The marine bird survey returned information on research and monitoring efforts for 28 parameters across 46 species from 36 entities. The marine mammal survey returned information on research and monitoring efforts for 24 parameters across 22 marine mammal species from 22 entities. We tabulated the parameters by species to show which parameters are most commonly measured and where there might be information gaps. Both marine bird and marine mammal research and monitoring are widespread throughout the Pacific, with 535 entries for marine mammals and 1,911 entries for marine birds. Although we provide summaries of key aspects within research and monitoring programs, the associated database can be further queried in several ways. Versioning of this database format essentially creates a “living database” that can be updated in the future as new information becomes available.

California, Oregon, Washington