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At least 631 records · Page 35Linked to original sources

Management, morphological, and environmental factors influencing Douglas-fir bark furrows in the Oregon Coast Range

Many land managers in the Pacific Northwest have the goal of increasing late-successional forest structures. Despite the documented importance of Douglas-fir tree bark structure in forested ecosystems, little is known about factors influencing bark development and how foresters can manage development. This study investigated the relative importance of tree size, growth, environmental factors, and thinning on Douglas-fir bark furrow characteristics in the Oregon Coast Range. Bark furrow depth, area, and bark roughness were measured for Douglas-fir trees in young heavily thinned and unthinned sites and compared to older reference sites. We tested models for relationships between bark furrow response and thinning, tree diameter, diameter growth, and environmental factors. Separately, we compared bark responses measured on trees used by bark-foraging birds with trees with no observed usage. Tree diameter and diameter growth were the most important variables in predicting bark characteristics in young trees. Measured environmental variables were not strongly related to bark characteristics. Bark furrow characteristics in old trees were influenced by tree diameter and surrounding tree densities. Young trees used by bark foragers did not have different bark characteristics than unused trees. Efforts to enhance Douglas-fir bark characteristics should emphasize retention of larger diameter trees' growth enhancement.

Oregon↗

Modeling annual mallard production in the prairie-parkland region

Biologists have proposed several environmental factors that might influence production of mallards ( Anas platyrhynchos ) nesting in the prairie-parkland region of the United States and Canada. These factors include precipitation, cold spring temperatures, wetland abundance, and upland breeding habitat. I used long-term historical data sets of climate, wetland numbers, agricultural land use, and size of breeding mallard populations in multiple regression analyses to model annual indices of mallard production. Models were constructed at 2 scales: a continental scale that encompassed most of the mid-continental breeding range of mallards and a stratum-level scale that included 23 portions of that same breeding range. The production index at the continental scale was the estimated age ratio of mid-continental mallards in early fall; at the stratum scale my production index was the estimated number of broods of all duck species within an aerial survey stratum. Size of breeding mallard populations in May, and pond numbers in May and July, best modeled production at the continental scale. Variables that best modeled production at the stratum scale differed by region. Crop variables tended to appear more in models for western Canadian strata; pond variables predominated in models for United States strata; and spring temperature and pond variables dominated models for eastern Canadian strata. An index of cold spring temperatures appeared in 4 of 6 models for aspen parkland strata, and in only 1 of 11 models for strata dominated by prairie. Stratum-level models suggest that regional factors influencing mallard production are not evident at a larger scale. Testing these potential factors in a manipulative fashion would improve our understanding of mallard population dynamics, improving our ability to manage the mid-continental mallard population.

Alberta, Manitoba, Montana, North Dakota, Saskatch↗

A serosurvey of diseases of free-ranging gray wolves (Canis lupus) in Minnesota

We tested serum samples from 387 free-ranging wolves ( Canis lupus ) from 2007 to 2013 for exposure to eight canid pathogens to establish baseline data on disease prevalence and spatial distribution in Minnesota's wolf population. We found high exposure to canine adenoviruses 1 and 2 (88% adults, 45% pups), canine parvovirus (82% adults, 24% pups), and Lyme disease (76% adults, 39% pups). Sixty-six percent of adults and 36% of pups exhibited exposure to the protozoan parasite Neospora caninum . Exposure to arboviruses was confirmed, including West Nile virus (37% adults, 18% pups) and eastern equine encephalitis (3% adults). Exposure rates were lower for canine distemper (19% adults, 5% pups) and heartworm (7% adults, 3% pups). Significant spatial trends were observed in wolves exposed to canine parvovirus and Lyme disease. Serologic data do not confirm clinical disease, but better understanding of disease ecology of wolves can provide valuable insight into wildlife population dynamics and improve management of these species.

Minnesota↗

Post-breeding migration and connectivity of red knots in the Western Atlantic

Red knots ( Calidris canutus rufa ) have 3 distinct nonbreeding regions: 1 in the southeastern United States and Caribbean, another on the northeast coast of Brazil in the Maranhão region, and a third along the Patagonian coasts of Chile and Argentina. Effective conservation and recovery of this threatened long-distance migrant will require knowledge of population structure, migration ecology, and abundance and distribution throughout the annual cycle. We conducted a stopover population and biogeographic assessment of knots at the Altamaha River Delta, Georgia, an important stopover area in the southeastern United States. We estimated stopover population size and stopover duration during post-breeding migration in 2011 at the Altamaha study area using mark-resight data, and we inferred nonbreeding regions for this stopover population using stable isotope ratios of carbon and nitrogen in feathers, and observations (sightings and captures) during boreal winter from across the hemisphere. With an integrated Bayesian analysis of all these data, we also estimated the number of birds in the southeastern United States and northern Brazil during boreal winter. For mark-resight analyses in Georgia, we made observations of marked individuals during 14 weeks from early August to early November 2011 and detected 814 individually marked birds. We used the Jolly-Seber mark-recapture model and estimated the southbound passage population at approximately 23,400 red knots. In ongoing studies elsewhere, isotope samples were collected from 175 (21%) of the 814 birds detected in our study, and ≥1 sighting or capture record during boreal winter was located in data repositories for 659 birds (81%). Isotopic signatures and boreal winter records indicate that the majority (82–96%) of the birds that stopped at the Altamaha Delta spend the boreal winter in the northern part of the nonbreeding range (southeast USA, Caribbean, and northern Brazil). Knots migrating to the southeastern United States, Caribbean, or Brazil remained on the Altamaha Delta for 42 days, whereas birds migrating to Tierra del Fuego remained only 21 days. Combining our estimate of the Altamaha stopover population size (23,400 birds) and the estimated proportion in the northern nonbreeding region (82–96%), we derived a minimum estimate of the number of knots in the southeastern United States, Caribbean, and northern South America during the boreal winter: approximately 20,800 knots, of which approximately 10,400 knots occupy the southeastern United States and 5,400 occupy Brazil. Our results provide additional evidence that coastal Georgia is an important migration area for red knots, and provide information about population structure and migratory connectivity that will be valuable for conservation planning.

Georgia↗

Duck nest success in the prairie pothole region

We estimated nest success of mallard ( Anas platyrhynchos ), gadwall ( A. strepera ), blue-winged teal ( A. discors ), northern shoveler ( A. clypeata ), and northern pintail ( A. acuta ) for 5 regions in North Dakota, South Dakota, and Minnesota, for 1-3 periods between 1966 and 1984, and for 8 habitat classes. We obtained composite estimates of nest success for regions and periods by weighting each habitat proportional to the number of nest initiations. The distribution of nest initiations was derived from estimates of breeding populations, preferences of species for nesting habitats, and availability of habitats. Nest success rates ranged from < 5 to 36% among regions, periods, and species. Rates were lowest in western Minnesota (MNW) and eastern North Dakota (NDE), intermediate in central North Dakota (NDC) and eastern South Dakota (SDE), and highest in central South Dakota (SDC). In regions with comparable data, no consistent trend in nest success was apparent from early to late periods. Gadwalls and blue-winged teal nested more successfully than mallards and pintails; the relative success of shovelers varied regionally. Ducks nesting in idle grassland were the most successful and those nesting in cropland were least successful. Mammalian predation was the major cause of nesting failure (54-85%) in all habitats, but farming operations resulted in 37 and 27% of the nesting failures in cropland and hayland, respectively. Most of the populations studied were not self-sustaining.

Minnesota, North Dakota, South Dakota↗

Waste rice seed in conventional and stripper-head harvested fields in California: Implications for wintering waterfowl

Waste rice seed is an important food for wintering waterfowl and current estimates of its availability are needed to determine the carrying capacity of rice fields and guide habitat conservation. We used a line-intercept method to estimate mass-density of rice seed remaining after harvest during 2010 in the Sacramento Valley (SACV) of California and compared results with estimates from previous studies in the SACV and Mississippi Alluvial Valley (MAV). Posterior mean (95% credible interval) estimates of total waste rice seed mass-density for the SACV in 2010 were 388 (336–449) kg/ha in conventionally harvested fields and 245 (198–307) kg/ha in stripper-head harvested fields; the 2010 mass-density is nearly identical to the mid-1980s estimate for conventionally harvested fields but 36% lower than the mid-1990s estimate for stripped fields. About 18% of SACV fields were stripper-head harvested in 2010 vs. 9–15% in the mid-1990s and 0% in the mid-1980s; but due to a 50% increase in planted rice area, total mass of waste rice seed in SACV remaining after harvest in 2010 was 43% greater than in the mid-1980s. However, total mass of seed-eating waterfowl also increased 82%, and the ratio of waste rice seed to seed-eating waterfowl mass was 21% smaller in 2010 than in the mid-1980s. Mass-densities of waste rice remaining after harvest in SACV fields are within the range reported for MAV fields. However, because there is a lag between harvest and waterfowl use in the MAV but not in the SACV, seed loss is greater in the MAV and estimated waste seed mass-density available to wintering waterfowl in SACV fields is about 5–30 times recent MAV estimates. Waste rice seed remains an abundant food source for waterfowl wintering in the SACV, but increased use of stripper-head harvesters would reduce this food. To provide accurate data on carrying capacities of rice fields necessary for conservation planning, trends in planted rice area, harvest method, and postharvest field treatment should be tracked and impacts of postharvest field treatment and other farming practices on waste rice seed availability should be investigated.

California↗

Validation of a molecular sex marker in three sturgeons from eastern North America

Despite the importance of sex-specific information for sturgeon conservation and management, sex identification has been a major challenge outside of mature adults on spawning grounds. Recent work identified a sex-specific locus ( AllWSex2 ) that appears to be broadly conserved across many Acipenserids, but the assay was not validated for all species within the family. We tested the AllWSex2 marker in three sturgeon taxa (shortnose sturgeon Acipenser brevirostrum , Gulf sturgeon A. oxyrhinchus desotoi , and Atlantic sturgeon A. oxyrhinchus oxyrhinchus ) from the Atlantic and Gulf of Mexico Coasts of North America to validate its use for sex identification. Our results indicate AllWSex2 is conserved in all three taxa, presenting a new opportunity to derive sex-specific information from tissue samples, which are routinely collected from these taxa. We found high concordance (range: 97–100%) between genotypic and phenotypic/histological methods, suggesting the assay is broadly effective. However, the small amount of discordance between the methods (< 3%) suggests further refinement may be possible.

Journal of Applied Ichthyology↗

Abundance of microplastics in a typical urban wetland in China: Association with occurrence and carbon storage

Microplastics (MPs) are gaining attention for their widespread presence and toxicity in ecosystems. However, their role as a carbon source in urban wetland carbon sinks is still unclear. In this study, the microplastic-carbon (MP-C) was firstly quantified based on the abundance and occurrence characteristics, including MP morphology, size and type in the Sanyang Wetland, a typical urban wetland of China. MP abundances ranged from 2.4 ± 0.6–14.9 ± 1.5 items/L in surface water and 6.6 ± 1.2 × 10 3 to 46.3 ± 5.9 × 10 3 items/kg in sediment. The predominant morphological characterization of MPs was fragments smaller than 200 μm in size, consisting of PP, PE, and PET, which suggests that the main source was domestic wastewater discharge nearby. Notably, in the Sanyang wetland, the contribution of MP-C to total organic carbon (TOC) was estimated to be 0.023 0.20 % in water and 0.026 0.28 % in sediment. With the continuous production of plastics globally, these values were predicted to increase to 0.12 0.71 % and 0.83 4.12 % by 2100, respectively. Although the estimations relied on simplified geometric assumptions for MP volume and theoretical carbon content, these approaches provide a reasonable basis for understanding MP-C dynamics in wetlands under current analytical constraints. The integration of MP-C characterization during environmental monitoring and management strategies would enhance our understanding of MP pollution's role in the carbon cycle.

Journal of Hazardous Materials↗

Effects of mining-associated lead and zinc soil contamination on native floristic quality

We assessed the quality of plant communities across a range of lead (Pb) and zinc (Zn) soil concentrations at a variety of sites associated with Pb mining in southeast Missouri, USA. In a novel application, two standard floristic quality measures, Mean Coefficient of Conservatism (Mean C) and Floristic Quality Index (FQI), were examined in relation to concentrations of Pb and Zn, soil nutrients, and other soil characteristics. Nonmetric Multidimensional Scaling and Regression Tree Analyses identified soil Pb and Zn concentrations as primary explanatory variables for plant community composition and indicated negative relationships between soil metals concentrations and both Mean C and FQI. Univariate regression also demonstrated significant negative relationships between metals concentrations and floristic quality. The negative effects of metals in native soils with otherwise relatively undisturbed conditions indicate that elevated soil metals concentrations adversely affect native floristic quality where no other human disturbance is evident.

Missouri↗

Hydrologic effects on growth and hatching success of age-0 Channel Catfish in the Tallapoosa River basin: Implications for management in regulated systems

We assessed the effects of hydrology on growth and hatching success of age‐0 Channel Catfish Ictalurus punctatus in regulated and unregulated reaches of the Tallapoosa River basin, Alabama. Age‐0 Channel Catfish ( N = 91) were collected from sites in both the Coastal Plain and Piedmont regions in fall 2003 and fall 2005. Lapillus otoliths were used to estimate the daily ages of age‐0 Channel Catfish, for which hatch dates were back‐calculated. We performed growth analysis to determine growth histories of each fish at 20‐d increments from hatch. Across the 2 years of sampling, Channel Catfish hatches were documented from June 7 to September 15. Ages and growth rates of age‐0 Channel Catfish ranged from 20 to 126 d and 0.60 to 1.5 mm/d, respectively. In general, growth was highest among age‐0 Channel Catfish from unregulated sites in the lower Coastal Plain, lowest among fish from unregulated sites in the Piedmont, and intermediate from regulated sites in the Piedmont. Successful hatching typically occurred during periods when mean discharges were in the upper two quartiles of flows for each site but not during exceptionally high peaks in flow. Physiographic province, the frequency of high pulses, and the number of flow reversals were the most important factors influencing the growth of recently hatched Channel Catfish. Results suggest that a low to moderate frequency of high pulses (25–150 pulses per 20‐d increment) and a moderate number of flow reversals (~100–175 reversals per 20‐d increment) enhances early growth of Channel Catfish in the Tallapoosa River system. Managing flow, when possible, to minimize large releases of water that result in exceptionally high pulses and providing minimal hydropeaking may improve hatching success during the Channel Catfish spawning season.

Alabama↗

Identifying important military installations for continental-scale conservation of marsh bird breeding habitat

Degradation of wetland ecosystems has negatively impacted many species, perhaps none more so than marsh birds that breed in vegetative emergent wetlands throughout North America. The U.S. Department of Defense manages approximately 29 million acres of land within the continental U.S., and many military installations contain wetland complexes that may be important for wetland birds. Thus, failure to adequately manage habitat for marsh birds could result in species extirpations and additional listings under the Endangered Species Act, and may result in regulatory burdens that reduce military readiness. We conducted spatial analyses to identify important breeding habitat on > 500 military installations for 12 species of marsh birds, with the goal of identifying installations that are, and are not, likely to harbor breeding habitat for each species. We also sought to assess the local value of military installations for species of greatest concern by comparing habitat suitability within installations to that in areas directly adjacent to those sites. We built range-wide, spatially-explicit models of species distribution to project suitability of breeding habitat for marsh birds within and adjacent to military installations. Our results demonstrate that installations with the best marsh bird habitat are geographically aggregated (both among and within species), primarily at sites along the eastern seaboard and within the southern U.S. In addition, only a few sites appear to contain high-quality habitat for most species. Five or fewer sites contained most of the high-quality habitat for 9 of 12 species, whereas most of the high-quality habitat for remaining species was found at ≤ 10 sites. This work fills an information gap regarding the distribution of breeding habitat for marsh birds on military lands across the U.S., and should facilitate both strategic conservation of habitat over broad scales and the integration of marsh birds into management efforts at the site level. Our analyses also identify installations that are not likely to harbor breeding habitat for priority species, and thus should help minimize conflicts between needs of the military and marsh-bird conservation.

Continental United States↗

A study of the spawning ecology and early life history survival of Bonneville Cutthroat Trout

We completed a large‐scale field experiment in four tributaries of the Logan River, Utah, where the largest metapopulation of imperiled Bonneville cutthroat trout Oncorhynchus clarkii utah persists. We documented the spatial and temporal distributions of spawners, quantified substrate use versus substrate availability, and evaluated differences in hatch and emergence fry success between and among sites in relation to habitat characteristics. We observed considerable variability in the timing, magnitude, and duration of spawning among study areas (streams), in part as a function of a variable, multipeaked hydrograph. Nevertheless, across study areas, >70% of redds were constructed on the final descending limb of the hydrograph. Despite large differences in the amount of spawning substrate available, Bonneville cutthroat trout utilized a narrow range of substrate and sizes (3–80 mm) similar to that utilized by other subspecies of cutthroat trout, albeit biased towards larger sizes. Water temperatures generally remained below the recommended range (6–17°C) for spawning; however, the viability of this metapopulation of cutthroat trout suggests that the recommended temperature range for spawning is overestimated for this subspecies and (or) does not account for local thermal adaptation. Hatch varied from 43% to 77% and emergence survival from 39% to 65% among streams, and within‐stream variability was substantial; both survival rates declined significantly as a function of increased fine sediment concentrations. Egg development rates were nearly 50% greater in a high‐elevation tributary where redd counts were also lowest. In high, mountain systems with short growing seasons, this incubation delay likely presents a significant growth disadvantage for age‐0 trout. Our research enhances our understanding of Bonneville cutthroat trout spawning ecology and early survival and provides critical information for aiding in the development of benchmarks for their recovery. Effective conservation efforts should be directed towards minimizing anthropogenic activities that result in excess sedimentation in their critical spawning tributaries.

Utah↗

Influence of flow and temperature on survival of wild subyearling fall chinook salmon in the Snake River

Summer flow augmentation to increase the survival of wild subyearling fall chinook salmon Oncorhynchus tshawytscha is implemented annually to mitigate for the development of the hydropower system in the Snake River basin, but the efficacy of this practice has been disputed. We studied some of the factors affecting survival of wild subyearling fall chinook salmon from capture, tagging, and release in the free-flowing Snake River to the tailrace of the first dam encountered by smolts en route to the sea. We then assessed the effects of summer flow augmentation on survival to the tailrace of this dam. We tagged and released 5,030 wild juvenile fall chinook salmon in the free-flowing Snake River from 1998 to 2000. We separated these tagged fish into four sequential within-year release groups termed cohorts (N = 12). Survival probability estimates (mean ?? SE) to the tailrace of the dam for the 12 cohorts when summer flow augmentation was implemented ranged from 36% ?? 4% to 88% ?? 5%. We fit an ordinary least-squares multiple regression model from indices of flow and temperature that explained 92% (N = 12; P < 0.0001) of the observed variability in cohort survival. Survival generally increased with increasing flow and decreased with increasing temperature. We used the regression model to predict cohort survival for flow and temperature conditions observed when summer flow augmentation was implemented and for approximated flow and temperature conditions had the summer flow augmentation not been implemented. Survival of all cohorts was predicted to be higher when flow was augmented than when flow was not augmented because summer flow augmentation increased the flow levels and decreased the temperatures fish were exposed to as they moved seaward. We conclude that summer flow augmentation increases the survival of young fall chinook salmon.

North American Journal of Fisheries Management↗

Greater sage-grouse seasonal habitat associations: A review and considerations for interpretation and management applications

Habitat features needed by wildlife can change in composition throughout the year, particularly in temperate ecosystems, leading to distinct seasonal spatial-use patterns. Studies of species-habitat associations therefore often focus on understanding relationships within discrete seasonal periods with common goals of prediction (e.g., habitat mapping) and inference (e.g., interpreting model coefficients). Across the range of the greater sage-grouse ( Centrocercus urophasianus ) of western North America, the increasing use of high-frequency tracking devices has led to a surge in habitat association studies covering multiple temporal periods and spatial extents. We reviewed the literature for seasonal habitat association studies corresponding to the second and third orders of selection (Johnson 1980). Our objectives were to summarize the methodological approaches used to estimate habitat associations to aid understanding in cross-study comparisons and identify common habitat features reported as selected or avoided within different seasonal periods. We reviewed 71 second- and third-order studies published from 2007–2023 that evaluated covariates collected in a geographic information system (GIS) and modeled probability of selection or intensity of use. The most common study design evaluated a single level of selection (third-order) and was multi-scale (i.e., covariates were measured at varying spatial grains). The most common model approach estimated habitat associations using resource selection functions (RSFs) fit with logistic regression. Studies mostly focused on the breeding periods and winter, but all seasons throughout the annual cycle were covered. There was clear support for selection of sagebrush and avoidance of trees and rugged terrain across seasons, and strong selection of mesic conditions in summer. However, habitat associations for most covariates were mixed, with proportionally equivalent selection and avoidance reported, even within the same seasons. Different factors hampered cross-study comparisons, including variation in study design, but additional contributors likely included important context-dependent habitat associations, such as functional responses to changing habitat availability. We suggest collaborative studies leveraging multiple datasets can help improve seasonal habitat inference by removing the effects of variable study designs.

Journal of Wildlife Management↗

Identifying suitable sites for Florida panther reintroduction

A major objective of the 1995 Florida Panther ( Puma concolor cory ) Recovery Plan is the establishment of 2 additional panther populations within the historic range. Our goal was to identify prospective sites for Florida panther reintroduction within the historic range based on quantitative landscape assessments. First, we delineated 86 panther home ranges using telemetry data collected from 1981 to 2001 in south Florida to develop a Mahalanobis distance (D 2 ) habitat model, using 4 anthropogenic variables and 3 landscape variables mapped at a 500-m resolution. From that analysis, we identified 9 potential reintroduction sites of sufficient size to support a panther population. We then developed a similar D 2 model at a higher spatial resolution to quantify the area of favorable panther habitat at each site. To address potential for the population to expand, we calculated the amount of favorable habitat adjacent to each prospective reintroduction site within a range of dispersal distances of female panthers. We then added those totals to the contiguous patches to estimate the total amount of effective panther habitat at each site. Finally, we developed an expert-assisted model to rank and incorporate potentially important habitat variables that were not appropriate for our empirical analysis (e.g., area of public lands, livestock density). Anthropogenic factors heavily influenced both the landscape and the expert-assisted models. Of the 9 areas we identified, the Okefenokee National Wildlife Refuge, Ozark National Forest, and Felsenthal National Wildlife Refuge regions had the highest combination of effective habitat area and expert opinion scores. Sensitivity analyses indicated that variability among key model parameters did not affect the high ranking of those sites. Those sites should be considered as starting points for the field evaluation of potential reintroduction sites.

Florida↗

Desert tortoise use of burned habitat in the Eastern Mojave desert

Wildfires burned 24,254&thinsp;ha of critical habitat designated for the recovery of the threatened Mojave desert tortoise ( Gopherus agassizii ) in southern Nevada during 2005. The proliferation of non-native annual grasses has increased wildfire frequency and extent in recent decades and continues to accelerate the conversion of tortoise habitat across the Mojave Desert. Immediate changes to vegetation are expected to reduce quality of critical habitat, yet whether tortoises will use burned and recovering habitat differently from intact unburned habitat is unknown. We compared movement patterns, home-range size, behavior, microhabitat use, reproduction, and survival for adult desert tortoises located in, and adjacent to, burned habitat to understand how tortoises respond to recovering burned habitat. Approximately 45% of home ranges in the post-fire environment contained burned habitat, and numerous observations ( n &thinsp;=&thinsp;12,223) corroborated tortoise use of both habitat types (52% unburned, 48% burned). Tortoises moved progressively deeper into burned habitat during the first 5 years following the fire, frequently foraging in burned habitats that had abundant annual plants, and returning to adjacent unburned habitat for cover provided by intact perennial vegetation. However, by years 6 and 7, the live cover of the short-lived herbaceous perennial desert globemallow ( Sphaeralcea ambigua ) that typically re-colonizes burned areas declined, resulting in a contraction of tortoise movements from the burned areas. Health and egg production were similar between burned and unburned areas indicating that tortoises were able to acquire necessary resources using both areas. This study documents that adult Mojave desert tortoises continue to use habitat burned once by wildfire. Thus, continued management of this burned habitat may contribute toward the recovery of the species in the face of many sources of habitat loss.

Nevada↗

Genetic evidence of local exploitation of Atlantic salmon in a coastal subsistence fishery in the Northwest Atlantic

Fisheries targeting mixtures of populations risk the over utilization of minor stock constituents unless harvests are monitored and managed. We evaluated stock composition and exploitation of Atlantic salmon in a subsistence fishery in coastal Labrador, Canada using genetic mixture analysis and individual assignment with a microsatellite baseline (15 loci, 11 829 individuals, 12 regional groups) encompassing the species western Atlantic range. Bayesian and maximum likelihood mixture analyses of fishery samples over six years (2006-2011; 1 772 individuals) indicate contributions of adjacent stocks of 96-97%. Estimates of fishery associated exploitation were highest for Labrador salmon (4.2-10.6% per year) and generally < 1% for other regions. Individual assignment of fishery samples indicated non-local contributions to the fishery (e.g., Quebec, Newfoundland) were rare and primarily in southern Labrador, consistent with migration pathways utilizing the Strait of Belle Isle. This work illustrates how genetic analysis of mixed stock Atlantic salmon fisheries in the northwest Atlantic using this new baseline can disentangle exploitation and reveal complex migratory behaviours.

Canadian Journal of Fisheries and Aquatic Sciences↗

Quantifying suspended sediment loads delivered to Cheney Reservoir, Kansas: Temporal patterns and management implications

Cheney Reservoir, constructed during 1962 to 1965, is the primary water supply for the city of Wichita, the largest city in Kansas. Sediment is an important concern for the reservoir as it degrades water quality and progressively decreases water storage capacity. Long-term data collection provided a unique opportunity to estimate the annual suspended sediment loads for the entire history of the reservoir. To quantify and characterize sediment loading to Cheney Reservoir, discrete suspended sediment samples and continuously measured streamflow data were collected from the North Fork Ninnescah River, the primary inflow to Cheney Reservoir, over a 48-year period. Continuous turbidity data also were collected over a 15-year period. These data were used together to develop simple linear regression models to compute continuous suspended sediment concentrations and loads from 1966 to 2013. The inclusion of turbidity as an additional explanatory variable with streamflow improved regression model diagnostics and increased the amount of variability in suspended sediment concentration explained by 14%. Using suspended sediment concentration from the streamflow-only model, the average annual suspended sediment load was 102,517 t (113,006 tn) and ranged from 4,826 t (5,320 tn) in 1966 to 967,569 t (1,066,562 tn) in 1979. The sediment load in 1979 accounted for about 20% of the total load over the 48-year history of the reservoir and 92% of the 1979 sediment load occurred in one 24-hour period during a 1% annual exceedance probability flow event (104-year flood). Nearly 60% of the reservoir sediment load during the 48-year study period occurred in 5 years with extreme flow events (9% to 1% annual exceedance probability, or 11- to 104-year flood events). A substantial portion (41%) of sediment was transported to the reservoir during five storm events spanning only eight 24-hour periods during 1966 to 2013. Annual suspended sediment load estimates based on streamflow were, on average, within &plusmn;20% of estimates based on streamflow and turbidity combined. Results demonstrate that large suspended sediment loads are delivered to Cheney Reservoir in very short time periods, indicating that sediment management plans eventually must address large, infrequent inflow events to be effective.

Kansas↗