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Land cover differentially affects abundance of common and rare birds

While rare species are vulnerable to global change, large declines in common species (i.e., those with large population sizes, large geographic distributions, and/or that are habitat generalists) also are of conservation concern. Understanding if and how commonness mediates species' responses to global change, including land cover change, can help guide conservation strategies. We explored avian population responses to land cover change along a gradient from common to rare species using avian data from the North American Breeding Bird Survey (BBS) and land cover data from the National Land Cover Database for the conterminous United States. Specifically, we used generalized linear mixed effects models to ask if species' commonness affected the relationship between land cover and counts, using the initial amount of and change in land cover surrounding each North American BBS route from 2001 to 2016. We quantified species' commonness as a continuous metric at the national scale using the logarithm (base 10) of each species' total count across all routes in the conterminous United States in 2001. For our focal 15-year period, we found that higher proportions of initial natural land cover favored (i.e., were correlated with higher) counts of rare but not common species. We also found that commonness mediated how change in human land cover, but not natural land cover, was associated with species' counts at the end of the study period. Increases in developed lands did not favor counts of any species. Increases in agriculture and declines in pasture favored counts of common but not rare species. Our findings show a signal of commonness in how species respond to a major dimension of global change. Evaluating how and why commonness mediates species' responses to land cover change can help managers design conservation portfolios that sustain the spectrum of common to rare species.

Global Change Biology↗

Coexistence beyond disciplinary silos: Five dimensions of analysis for more convivial human-predator interactions

Understanding human-predator interactions has been a central goal of conservation for decades, yet many previous efforts have approached this challenge from disciplinary perspectives focused on single case studies. There is a need for more transdisciplinary and multi-sited research to enrich our understandings of the complexity of human-nonhuman interactions and to design ways to make them more convivial. The multi-year CONVIVA “convivial conservation” research project addressed this gap, involving scholars from natural sciences, social sciences and humanities to promote coexistence, biodiversity and justice in conservation across four diverse case studies of apex predators: jaguars in Brazil, wolves in Finland, lions in Tanzania, and brown bears in California, United States. In this article, we set out two key contributions. First, we highlight how our project created iterative, dialogue-based reflections amongst different disciplines and perspectives to inform research questions, methods and units of analysis, fulfilling what we see as a key need in the literature. Second, we operationalise our collaboration beyond disciplinary silos into a novel framework of five interconnected dimensions of analysis, that characterise human-predator interactions, drawing on a range of lenses and including a series of guiding questions. We also showcase empirical material from our cases across wildlife, environment, interactions, institutions and justice dimensions. We present our approach, framework and findings with collective reflections and an invitation for adaptation and further research on their suitability to other contexts and species.

Biological Conservation↗

Abbreviated bibliography on energy development—A focus on the Rocky Mountain Region

Energy development of all types continues to grow in the Rocky Mountain Region of the western United States. Federal resource managers increasingly need to balance energy demands, effects on the natural landscape and public perceptions towards these issues. To assist in efficient access to valuable information, this abbreviated bibliography provides citations to relevant information for myriad of issues for which resource managers must contend. The bibliography is organized by seven large topics with various sup-topics: broad energy topics (energy crisis, conservation, supply and demand, etc.); energy sources (fossil fuel, nuclear, renewable, etc.); natural landscape effects (climate change, ecosystem, mitigation, restoration, and reclamation, wildlife, water, etc.); human landscape effects (attitudes and perceptions, economics, community effects, health, Native Americans, etc.); research and technology; international research; and, methods and modeling. A large emphasis is placed on the natural and human landscape effects.

Idaho;Montana;Wyoming;Utah;Colorado;New Mexico;Ari↗

Rocky Mountain futures: An ecological perspective

The Rocky Mountain West is largely arid and steep, with ecological scars from past human use visible for hundreds of years. Just how damaging were the past 150 years of activity? How do current rates of disturbance compare with past mining, grazing, and water diversion activities? In the face of constant change, what constitutes a "natural" ecosystem? And can a high quality of life be achieved for both human and natural communities in this region. Rocky Mountain Futures presents a comprehensive and wide-ranging examination of the ecological consequences of past, current, and future human activities in the Rocky Mountain region of the United States and Canada. The book brings together 32 leading ecologists, geographers, and other scientists and researchers to present an objective assessment of the cumulative effects of human activity on the region's ecological health and to consider changes wrought by past human use. This combined view of past and present reveals where Rocky Mountain ecosystems are heading, and the authors project what the future holds based upon current economic and social trends and the patterns that emerge from them. The book: examines the biogeographic and paleoenvironmental setting and historical climate that have shaped Rocky Mountain ecosystems traces the direct human influences on landscapes and ecosystems over the past 150 years explores the cumulative effects of past, present, and projected future human activities on tundra, subalpine and montane forests, valleys, grasslands, and waters offers case studies that illustrate specific examples of human influence and current efforts to restore the environment Case studies focus on northern New Mexico; Summit County, Colorado; Flathead Valley, Montana; and Alberta, Canada. Among the contributors are Craig D. Allen, N. Thompson Hobbs, Linda L. Joyce, Robert E. Keane, David Schindler, Timothy R. Seastedt, David Theobald, Diana Tomback, William Travis, Cathy Whitlock, and Jack Stanford. The United Nations has proclaimed 2002 as the International Year of Mountains to increase international awareness of the global importance of mountain ecosystems. The case-based multidisciplinary approach of this book constitutes an important new model for understanding the implications of land-use practices and economic activity on mountains, and will serve a vital role in improving decisionmaking both in the Rocky Mountains and in other parts of the world that face similar challenges.

Book↗

Trace metals in Saharan dust: The use of in vitro bioaccessibility extractions to assess potential health risks in a dustier world

Exposure to fine particulate matter (PM) is acknowledged as a risk factor for human morbidity and mortality. Epidemiology and toxicology studies have focused on anthropogenic sources of PM and few consider contributions produced by natural processes (geogenic), or PM produced from natural sources as a result of human activities (geoanthropogenic PM). The focus of this study was to elucidate relationships between human/ecosystem health and dusts produced by a system transitioning from a dominantly natural to a geoanthropogenic PM source. As part of a larger study investigating the relationship between atmospheric transportation of African dust, human health, and coral reef declines, we examined dust samples sourced in Mali, Africa, collected using high-volume samplers from three sites (Mali, Tobago and U.S. Virgin Islands). Inhalation and ingestion exposure pathways were explored by filter extractions using simulated lung and gastric fluids. Bioaccessibility varied by metal and extraction fluid. Although too few samples were analyzed for robust statistics, concentrations for several metals decreased slightly while bioaccessibility increased at downwind sites.

Book chapter↗

Conservation, biodiversity and infectious disease: scientific evidence and policy implications

Habitat destruction and infectious disease are dual threats to nature and people. The potential to simultaneously advance conservation and human health has attracted considerable scientific and popular interest; in particular, many authors have justified conservation action by pointing out potential public health benefits . One major focus of this debate—that biodiversity conservation often decreases infectious disease transmission via the dilution effect—remains contentious. Studies that test for a dilution effect often find a negative association between a diversity metric and a disease risk metric, but how such associations should inform conservation policy remains unclear for several reasons. For one, diversity and infection risk have many definitions, making it possible to identify measures that conform to expectations. Furthermore, the premise that habitat destruction consistently reduces biodiversity is in question, and disturbance or conservation can affect disease in many ways other than through biodiversity change. To date, few studies have examined the broader set of mechanisms by which anthropogenic disturbance or conservation might increase or decrease infectious disease risk to human populations. Due to interconnections between biodiversity change, economics and human behaviour, moving from ecological theory to policy action requires understanding how social and economic factors affect conservation. This Theme Issue arose from a meeting aimed at synthesizing current theory and data on ‘biodiversity, conservation and infectious disease’ (4–6 May 2015). Ecologists, evolutionary biologists, economists, epidemiologists, veterinary scientists, public health professionals, and conservation biologists from around the world discussed the latest research on the ecological and socio-economic links between conservation, biodiversity and infectious disease, and the open questions and controversies in these areas. By combining ecological understanding with insights from the social and economic sciences, the papers in this Theme Issue address the complex relationships, patterns and ecological mechanisms that influence conservation, infectious disease, and the policy options available to protect nature and human health.

Philosophical Transactions of the Royal Society B:↗

Geographic Analysis and Monitoring Program

The surface of the Earth is changing rapidly, at local, regional, national, and global scales, with significant repercussions for people, the economy, and the environment. Some changes have natural causes, such as wildland fires or hurricanes, while other changes on the land, such as resource extraction, agricultural practices, and urban growth, are human-induced processes. There are other types of changes that are a combination of natural and human-induced factors; landslides and floods, for example, are fundamentally natural processes that are often intensified or accelerated by human land use practices. Whatever their cause, land-surface changes can have profound environmental and economic impacts.

Fact Sheet↗

Interdisciplinary science approach for harmful algal blooms (HABs) and algal toxins—A strategic science vision for the U.S. Geological Survey

Executive Summary Algal blooms in water, soils, dusts, and the environment have captured national attention because of concerns associated with exposure to algal toxins for humans and animals. Algal blooms naturally occur in all surface-water types and are important primary producers for aquatic ecosystems. However, excessive algae growth can be associated with many harmful effects ranging from aesthetic to toxicity concerns, so this excessive growth is commonly called a harmful algal bloom (HAB). Ecological imbalances that can lead to excessive algal growth, such as increased nutrient availability to waterbodies from natural and anthropogenic sources, are well documented in scientific literature. On the other hand, fundamental scientific understandings of environmental causes and controls leading to algal toxin production, environmental exposures, and adverse health outcomes for humans and animals could benefit from more attention by U.S. Geological Survey (USGS) scientists. Understanding when, why, and how the toxin is produced by individual algal cells or communities and why the toxin is released to the surrounding waterbody requires fundamental research to determine a toxin’s role, whether it provides competitive advantage or if other potential reasons exist for toxin production and release, such as secretions from otherwise benign biological processes. This research will require groundbreaking scientific discovery about underlying biologic and abiotic (non-living) processes commonly complicated by local variation in land use, microbial species composition, and ecosystem structure of the surrounding watershed. Although underlying processes by which HABs form may be similar from one waterbody to another, individual waterbodies may be controlled by local factors for HAB development and toxin production that are unique to the watershed. Consequently, many fundamental science gaps exist that prevent informed mitigation and prevention of toxic HAB events. There are also gaps in understanding local conditions that control algal growth unique to specific watersheds. Addressing these science gaps is needed to inform evidence-based decisions that protect human and animal health and that reduce recreational and socioeconomic losses.

Circular↗

Future marsh evolution due to tidal changes induced by human adaptation to sea level rise

With sea level rise threatening coastal development, decision-makers are beginning to act by modifying shorelines. Previous research has shown that hardening or softening shorelines may change the tidal range under future sea level rise. Tidal range can also be changed by natural factors. Coastal marshes, which humans increasingly depend on for shoreline protection, are ecologically sensitive to tidal range. Therefore, it is critical to examine how changes in tidal range could influence marsh processes. A marsh accretion model was used to investigate the ecological response of a San Francisco Bay, California, USA marsh to multiple tidal range scenarios and sea level rise from 2010 to 2100. The scenarios include a baseline scenario with no shoreline modifications in the estuary, a shoreline hardening scenario that amplifies the tidal range, and 14 tidal range scenarios as a sensitivity analysis that span tidal amplification and reduction of the baseline scenario. The modeling results expose key tradeoffs to consider when planning for sea level rise. Compared to the baseline, the hardening scenario shows minor differences. However, further tidal amplification prolongs marsh survival but decreases Sarcocornia pacifica cover, an important species for certain threatened wildlife and an effective attenuator of wave energy. Conversely, tidal reduction precipitates marsh drowning but shows gains in Sarcocornia pacifica cover. These mixed impacts of tidal amplification and reduction shown by the model indicate potential tradeoffs in relation to marsh survival, habitat characteristics, and shoreline protection. This study suggests the need for a cross-sectoral, regional approach to sea level rise adaptation.

California↗

Predicting hydrologic disturbance of streams using species occurrence data

Aquatic organisms have adapted over evolutionary time-scales to hydrologic variability represented by the natural flow regime of rivers and streams in their unimpaired state. Rapid landscape change coupled with growing human demand for water have altered natural flow regimes of many rivers and streams on a global scale. Climate non-stationarity is expected to further intensify hydrologic variability, placing increased pressure on aquatic communities. Using a machine learning approach and georeferenced species occurrence data, we modeled and mapped spatial patterns of hydrologic disturbance for streams in Arkansas, Missouri, and eastern Oklahoma. Random forest (RF) models trained on fish community data, hydrologic, and landscape metrics for gaged streams in the National Hydrography (NHDPlusV2) database were used to predict a hydrologic disturbance index (HDI) for ungaged streams. The HDI is part of the USGS Geospatial Attributes of Gages for Evaluating Streamflow (GAGESII) database and is a composite index of watershed-scale disturbance from anthropogenic stressors. Fish presence/absence data had similar overall model prediction accuracy (77%; 95% CI: 0.74, 0.80) as flow variables (76%; CI: 0.73, 0.80). Including topographic variables increased the RF prediction accuracy of both the fish (90%; CI: 0.88, 0.92) and flow models (86%; CI: 0.84, 0.89). Spatial patterns of hydrologic disturbance suggest distinct ecohydrological regions exist where conservation actions may be focused. Streams with low HDI were predominately located in the Ozark Highlands, Boston Mountains, and Ouachita Mountains. Correlation analysis of HDI by flow regime showed groundwater stable streams had the lowest disturbance frequency, with over 50% of stream reaches with low HDI located in forested land cover. HDI was highest for big rivers, intermittent runoff streams and streams in areas of agricultural land use. Our results show long-term georeferenced biological data can provide a valuable resource for predictive modeling of hydrologic disturbance for ungaged rivers and streams.

Arkansas, Missouri, Oklahoma↗

Contributions of erosion, deposition, and human activities to a change in sand storage in the bed of San Francisco Bay, California, 1980s to 2010s

This study by the U.S. Geological Survey (USGS) provides estimates of the change in sand storage in bed sediments from the 1980s to 2010s in the San Francisco Bay area, California. The study is part of a larger project called “Research to Understand Impacts of Bay Sand Mining on Sand Transport in San Francisco Bay and the Outer Coast” that has the goal of providing information for the California Coastal Conservancy to inform decision making regarding sand mining activities. Information from this study will contribute to the sand budget for the San Francisco Bay system by accounting for sand made available by erosion of bay sediment and sequestered by deposition in the bay. Sediment budgets for estuaries typically account for change in sediment storage in the bed without discriminating for sediment size. However, the physics of mud and sand erosion, deposition, and transport differ. Sediment budgets that treat mud and sand separately give a more complete understanding of the system, including how human activities related to sediment size, such as sand mining, affect the system. We used bathymetric change analysis in combination with a three-dimensional model to generate estimates of net change in sand storage within the San Francisco Bay floor. We document sediment volume change from a 1980s bathymetric surface to a 2010s bathymetric surface, in combination with information on the sand content of the bed sediment derived from sediment cores and surface samples from six different sediment studies, to estimate the net change in sand volume in the bed of San Francisco Bay. This analysis includes areas heavily affected by human activities (such as sand mining, dredging, and sediment disposal) as well as regions more representative of natural transport processes. Overall, the sediment bed of San Francisco Bay is losing sand. Across the total area surveyed in San Francisco Bay, including areas affected by natural processes, oyster shell beds, and human activities, a net loss of about 17 million cubic meters (Mm 3 ) of sand from the sediment bed occurred from the 1980s to 2010s, at a rate of about 0.8 Mm 3 per year. For the period of this study, sand loss from bed level changes in permitted sand-lease mining areas (about 11 Mm 3 ) accounts for about two-thirds of the total sand loss throughout the study area. It is important to consider potential uncertainty bounds when interpreting these findings. A key part of the report is an assessment of the uncertainties in our estimates of sand volumes. We estimate that variability in modeled sand content values of Bay floor sediments could result in an uncertainty of approximately 25 percent of the net sand volume change. Even larger uncertainty amounts may be associated with uncertainty in the systematic errors in the bathymetric surveys. Further refining estimates of uncertainty in bathymetric change is important in guiding the use of this study. The results presented here can fill a critical gap that may enable the creation of the first comprehensive sand budget of San Francisco Bay.

California↗

Tracking data highlight the importance of human-induced mortality for large migratory birds at a flyway scale

Human-induced direct mortality affects huge numbers of birds each year, threatening hundreds of species worldwide. Tracking technologies can be an important tool to investigate temporal and spatial patterns of bird mortality as well as their drivers. We compiled 1704 mortality records from tracking studies across the African-Eurasian flyway for 45 species, including raptors, storks, and cranes, covering the period from 2003 to 2021. Our results show a higher frequency of human-induced causes of mortality than natural causes across taxonomic groups, geographical areas, and age classes. Moreover, we found that the frequency of human-induced mortality remained stable over the study period. From the human-induced mortality events with a known cause ( n = 637), three main causes were identified: electrocution (40.5 %), illegal killing (21.7 %), and poisoning (16.3 %). Additionally, combined energy infrastructure-related mortality (i.e., electrocution, power line collision, and wind-farm collision) represented 49 % of all human-induced mortality events. Using a random forest model, the main predictors of human-induced mortality were found to be taxonomic group, geographic location (latitude and longitude), and human footprint index value at the location of mortality. Despite conservation efforts, human drivers of bird mortality in the African-Eurasian flyway do not appear to have declined over the last 15 years for the studied group of species. Results suggest that stronger conservation actions to address these threats across the flyway can reduce their impacts on species. In particular, projected future development of energy infrastructure is a representative example where application of planning, operation, and mitigation measures can enhance bird conservation.

Biological Conservation↗

Soil formation: Chapter 6

Soil formation reflects the complex interaction of many factors, among the most important of which are (i) the nature of the soil parent material, (ii) regional climate, (iii) organisms, including humans, (iv) topography and (v) time. These processes operate in Earth's critical zone; the thin veneer of our planet where rock meets life. Understanding the operation of these soil-forming factors requires an interdisciplinary approach and is a necessary predicate to charactering soil processes and functions, mitigating soil degradation and adapting soil management to environmental change. In this chapter, we discuss how these soil-forming factors operate both singly and in concert in natural and human modified environments. We emphasize the role that soil organic matter plays in these processes to provide context for understanding the benefits that it bestows on humanity.

Book chapter↗

Preliminary analysis of down-core biotic assemblages Bob Allen Keys, Everglades National Park, Florida Bay

Introduction A series of short piston cores (< 2m) were taken from eleven stations in Florida Bay in May, 1994 by researchers from the U.S. Geological Survey (St. Petersburg, FL., Woods Hole, MA., and Denver CO.) in cooperation with South Florida Water Management District, and the Everglades National Park, and the National Oceanic and Atmospheric Administration (NOAA). Core 6A from Bob Allen Keys (25° 1.391” N, 80°39.41” W) penetrated 172 cm of Holocene sediments in 0.6 m of water on a grass covered mud bank, approximately 1.75 miles (2.82 km) east of the water monitoring station on the southern end of the Bob Allen Keys. Core 6A was sampled for particle size, insoluble residue, water content, loss on ignition, Pb 210 , Rasup>222, and paleontologic analyses. Here we present the results of the preliminary paleontologic analyses of the biotic components from core #6A. The Everglades/Florida Bay ecosystem has formed over the last 5000 years at the southern tip of peninsular Florida. Here it has been influenced by Atlantic, Caribbean and Gulf of Mexico waters, and by tropical and subtropical climatic regimes. This location ensures that over time the ecosystem has undergone climatic changes on both a seasonal and long term basis, and that it has been subjected to many major storms. Additionally, in the last century, the hydrologic regime of the region has been altered profoundly through construction of a canal system to control flooding in southern Florida. This system regulates the timing and amount of freshwater flow into Florida Bay. Recently, algal blooms, seagrass, and sponge die-offs, and declining numbers of shellfish, have been reported in Florida Bay; although it has been assumed that these changes have resulted from human alteration of freshwater flow into the bay, this assumption has not been rigorously tested. The research described here is part of a project designed to examine the history of the Everglades/Florida Bay ecosystem over the last 150 years and to test assumptions of cause and effect. The purpose of the project is two-fold; first, to determine the characteristics of the ecosystem prior to significant human-induced alteration, including the natural range of variation in the ecosystem. This information will establish a baseline for restoration of the system. Second, the project aims to establish the extent, range, and timing of changes to the ecosystem over the last 150 years, and to determine whether these changes correlate with human alteration of the environment, or meteorological patterns, such as precipitation and major storms, or a combination of factors.

Florida↗

Facing tomorrow’s challenges—U.S. Geological Survey science in the decade 2007–2017

Executive Summary In order for the U.S. Geological Survey (USGS) to respond to evolving national and global priorities, it must periodically reflect on, and optimize, its strategic directions. This report is the first comprehensive science strategy since the early 1990s to examine critically major USGS science goals and priorities. The development of this science strategy comes at a time of global trends and rapidly evolving societal needs that pose important natural-science challenges. The emergence of a global economy affects the demand for all resources. The last decade has witnessed the emergence of a new model for managing Federal lands—ecosystem-based management. The U.S. Climate Change Science Program predicts that the next few decades will see rapid changes in the Nation’s and the Earth’s environment. Finally, the natural environment continues to pose risks to society in the form of volcanoes, earthquakes, wildland fires, floods, droughts, invasive species, variable and changing climate, and natural and anthropogenic toxins, as well as animal-borne diseases that affect humans. The use of, and competition for, natural resources on the global scale, and natural threats to those resources, has the potential to impact the Nation’s ability to sustain its economy, national security, quality of life, and natural environment. Responding to these national priorities and global trends requires a science strategy that not only builds on existing USGS strengths and partnerships but also demands the innovation made possible by integrating the full breadth and depth of USGS capabilities. The USGS chooses to go forward in the science directions proposed here because the societal issues addressed by these science directions represent major challenges for the Nation’s future and for the stewards of Federal lands, both onshore and offshore. The six science directions proposed in this science strategy are summarized in the following paragraphs. The ecosystems strategy is listed first because it has a dual nature. It is itself an essential direction for the USGS to pursue to meet a pressing national and global need, but ecosystem-based approaches are also an underpinning of the other five directions, which all require ecosystem perspectives and tools for their execution. The remaining strategic directions are listed in alphabetical order.

Circular↗

Developmental instability as an indicator of natural stress on the Pacific Hake (Merlussius productus)

Developmental lnstability (DI) has been proposed as an inexpensive, quickly applied, and sensitive indicator of stress that can be utilized in early warning and in monitoring anthropogenic impacts on fish and other animals and plants. A problem arises, however, to the extent that natural stressors confound the effects of human-induced disturbances. Our objective in this work was to investigate whether a natural stressor, in the form of EI Nino conditions, contributed to DI in the Pacific hake. Right-left (fluctuating> asymmetry of otolith length, width, growth rate, and weight, as well as right-left otolith shape differences, were used as measures of DI. Results show that indeed EI Nino disrupts development, indicating stress. This outcome suggests that DI, as an early warning and monitoring tool for stress, must be used with caution.

Fishery Bulletin↗

Assessing impacts of human stressors on stream fish habitats across the Mississippi River basin

Effective conservation of stream fishes and their habitats is complicated by the fact that human stressors alter the way in which natural factors such as stream size, catchment geology, and regional climate influence stream ecosystems. Consequently, efforts to assess the condition of stream fishes and their habitats must not only attempt to characterize the effects of human stressors but must account for the effects of natural influences as well. This study is an assessment of all stream fish habitats in the Mississippi River basin, USA. The basin supports over 400 stream fish species, drains a land area of 3.2 M km 2 , and includes a myriad of human stressors such as intensive agriculture, urbanization, nutrient loading, and habitat fragmentation by dams and road/stream crossings. To effectively characterize types and levels of human stressors specifically impacting the basin’s stream fish species, our assessment approach first accounted for the influence of natural landscape conditions on species abundances with multiple steps, including stratifying our analyses by region and stream size and quantitatively modeling the influences of natural factors on stream fishes. We next quantified individual fish species responses to explicit human stressors for different measures of land use, fragmentation, and water quality, including summaries of measures in local vs. catchment extents. Results showed that many species had negative threshold responses to human stressors and that impacts varied by species, by region, and by the spatial extents in which stressors were summarized. Our spatially explicit results indicated the degree of stream reach impairment for specific stressor categories, for individual species, and for entire assemblages, all of which are types of information that can aid decision makers in achieving specific conservation goals in the region.

Mississippi River basin↗

Foundational principles of an applied cultural evolutionary science for natural resource management and conservation

Culture, as the filter through which people view the world and a key determinant of human behaviour, is central to the practice of natural resource management and conservation. Conservation is intended to moderate the impacts of human cultural modification of the environment, exists as an endeavour because it is culturally valued, and acts largely through policies to encourage or discourage targeted human behaviours. However, culture is not static; as organisms and ecologies evolve, so too does culture exist as a dynamic, interconnected, coevolving element of the social–ecological systems in which management action is situated and implemented. Cultural evolution (CE) offers a valuable theoretical contribution to the scientific understanding of culture, cultural diversity and culture change and has the potential to be harnessed in the applied research and practice of conservation social science. We illustrate the essential principles necessary to grow an applied science of CE for natural resource management and conservation, and identify opportunities for CE to provide valuable information for science-based decision making and help conservation institutions and organizations adapt to the ongoing challenges posed by culture change. This transdisciplinary integration can contribute to improved outcomes across conservation objectives and build more resilient, sustainable social–ecological systems.

Philosophical Transactions of the Royal Society B ↗