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Effects of sample gear on estuarine nekton assemblage assessments and food web model simulations

Long-term fisheries-independent sampling data inform population status and trends of species-specific biomass and are often used to drive biomass-based food web models such as the Comprehensive Aquatic Systems Model (CASM). Indicators such as total biomass and mean trophic level derived from these data and from CASM outputs inform management and facilitate assessments of on-going and predicted coastal change and restoration activities on fisheries, but rely on consistent sampling to enable comparisons across space and time. Changes in coastal estuarine gradients, combined with the availability of new sampling technologies, highlight a need to assess the potential consequences of changing sampling technologies on fisheries data and the cascading impact on model outputs. In Louisiana, USA, CASM models are used to inform coastal restoration projects, relying on 40 years of fisheries-independent data derived from 50′ seine sampling. However, alternative use of electrofishers as a sampling method has been proposed to replace the seine sampling. In this study, we examine data from concurrent seine and electrofisher sampling in Barataria Basin, Louisiana, and compare biomass, assemblage data and CASM outputs related to species biomass, food web structure and energy cycling. In a paired comparison of data in 2018–2019, the electrofisher captured higher total catch and diversity compared to the seine. The electrofisher samples were dominated by shrimp (grass, white, brown) and larger bodied fish, while seine samples were dominated by smaller-bodied fish (i.e., anchovy, menhaden). Ecosystem indicators derived from running the CASM using biomass data from seine and electrofisher sampling separately in two different simulation exercises provide contrasting results. In Simulation Exercise 1, the use of different datasets (long-term CASM calibration, 2018–2019 seine, 2018–2019 electrofisher) to initialize the CASM biomasses did not result in large or long-running changes in the simulated biomasses over time. In contrast, in Simulation Exercise 2, CASM model outputs using adjusted gear ratios indicated changes in biomass structure when using electrofisher data, with a doubling of total food web biomass due to the increased shrimp count, and a 13% increase in total energy flow through the food web. Conversions based on area and gear efficiency for overall catch may be useful in maintaining the continuity of historical data. However, differences in species-specific catch due to gear selectivity could have large consequences for constructing and calibrating fish and ecosystem models and remain difficult to reconcile. These differences in assemblages, and estimated biomasses for key food web species, suggest careful consideration in changing gears.

Louisiana↗

A targeted annual warning system developed for the conservation of a sagebrush indicator species

A fundamental goal of population ecologists is to identify drivers responsible for temporal variation in abundance. Understanding whether variation is associated with environmental stochasticity or anthropogenic disturbances, which are more amenable to management action, is crucial yet difficult to achieve. Here, we present a hierarchical monitoring framework that models rates of change in abundance from spatially structured populations and identifies when local declines fall out of synchrony with trends at larger spatial scales. Importantly, the framework provides signals that alert managers to the categorical significance of observed declines while avoiding signals where declines result from drivers operating at larger spatial scales (e.g., periodic reductions in primary productivity owing to drought). We demonstrate utility through application to a rapidly declining sagebrush ( Artemisia spp.) indicator species (greater sage-grouse; Centrocercus urophasianus ) using 30 years (1990–2019) of count data collected from greater than 4,400 leks (habitual breeding sites) distributed across the western United States. Results revealed population declines, immediately preceding triggers (2–4-year period), ranging between 58 and 68%. Conversely, population trends unassociated with triggers showed little-to-no sign of decline. Retrospective application of the monitoring framework indicated an average annual rate of 1.7% of leks or 1.3% of neighborhood clusters (lek aggregations) would have required management intervention to reverse range-wide declines and stabilize the U.S. population as a whole.

Ecological Indicators↗

Nitrogen controls on ecosystem carbon sequestration: a model implementation and application to Saskatchewan, Canada

A plant–soil nitrogen (N) cycling model was developed and incorporated into the Integrated BIosphere Simulator (IBIS) of Foley et al. [Foley, J.A., Prentice, I.C., Ramankutty, N., Levis, S., Pollard, D., Sitch, S., Haxeltine, A., 1996. An integrated biosphere model of land surface process, terrestrial carbon balance and vegetation dynamics. Global Biogeochem. Cycles 10, 603–628]. In the N-model, soil mineral N regulates ecosystem carbon (C) fluxes and ecosystem C:N ratios. Net primary productivity (NPP) is controlled by feedbacks from both leaf C:N and soil mineral N. Leaf C:N determines the foliar and canopy photosynthesis rates, while soil mineral N determines the N availability for plant growth and the efficiency of biomass construction. Nitrogen controls on the decomposition of soil organic matter (SOM) are implemented through N immobilization and mineralization separately. The model allows greater SOM mineralization at lower mineral N, and conversely, allows greater N immobilization at higher mineral N. The model's seasonal and inter-annual behaviours are demonstrated. A regional simulation for Saskatchewan, Canada, was performed for the period 1851–2000 at a 10 km × 10 km resolution. Simulated NPP was compared with high-resolution (1 km × 1 km) NPP estimated from remote sensing data using the boreal ecosystem productivity simulator (BEPS) [Liu, J., Chen, J.M., Cihlar, J., Park, W.M., 1997. A process-based boreal ecosystem productivity simulator using remote sensing inputs. Remote Sens. Environ. 44, 81–87]. The agreement between IBIS and BEPS, particularly in NPP spatial variation, was considerably improved when the N controls were introduced into IBIS.

Ecological Modelling↗

Simulating the effects of management practices on cropland soil organic carbon changes in the Temperate Prairies Ecoregion of the United States from 1980 to 2012

Understanding the effects of management practices on soil organic carbon (SOC) is important for designing effective policies to mitigate greenhouse gas emissions in agriculture. In the Midwest United States, management practices in the croplands have been improved to increase crop production and reduce SOC loss since the 1980s. Many studies of SOC dynamics in croplands have been performed to understand the effects of management, but the results are still not conclusive. This study quantified SOC dynamics in the Midwest croplands from 1980 to 2012 with the General Ensemble Biogeochemical Modelling System (GEMS) and available management data. Our results showed that the total SOC in the croplands decreased from 1190 Tg C in 1980 to 1107 TgC in 1995, and then increased to 1176 TgC in 2012. Continuous cropping and intensive tillage may have driven SOC loss in the early period. The increase of crop production and adoption of conservation tillage increased the total SOC so that the decrease in the total SOC stock after 32 years was only 1%. The small change in average SOC did not reflect the large spatial variations of SOC change in the region. Major SOC losses occurred in the north and south of the region, where SOC baseline values were high and cropland production was low. The SOC gains took place in the central part of the region where SOC baseline values were moderate and cropland production was higher than the other areas. We simulated multiple land-use land-cover (LULC) change scenarios and analyzed the results. The analysis showed that among all the LULC changes, agricultural technology that increased cropland production had the greatest impact on SOC changes, followed by the tillage practices, changes in crop species, and the conversions of cropland to other land use. Information on management practice induced spatial variation in SOC can be useful for policy makers and farm managers to develop long-term management strategies for increasing SOC sequestration in different areas.

Ecological Modelling↗

Space matters: Host spatial structure and the dynamics of plague transmission

The development of models to elucidate the transmission pathways and dynamics of wildlife diseases remains challenging. Sylvatic plague, caused by the bacterium Yersinia pestis ( Yp ), is an infectious zoonotic disease that primarily affects wild rodents, including prairie dogs ( Cynomys spp.) in North America. Proposed transmission pathways for Yp include flea bites, direct contacts between hosts, and environmental reservoirs (e.g. soil, carcasses). We developed a spatially explicit, agent-based model of Yp transmission to explore the effects of alternative transmission pathways, different disease initiation mechanisms (host or fleas), parameter uncertainty, and spatial structure of hosts. A particularly novel aspect of our model was the integration of ecological models with traditional disease models. Specifically, we used estimates from spatial capture-recapture models to generate data-driven spatial distributions, densities, and contact rates to capture the spatial structure of prairie dogs. We simulated ~9 million scenarios across a wide range of parameter values and conducted sensitivity analyses to determine the most influential parameters on the number of flea-days (sum of the mean number of fleas on hosts each day of the simulation), number of newly infected hosts per day, the time to depopulation (<20 prairie dogs remaining), and the proportion of the prairie dog population remaining at the end of the simulation (after 150 days). When including spatial structure, we found the probability of transmission via environmental sources of Yp (i.e. carcasses) had the greatest influence on model results when Yp infection was initiated in prairie dog hosts, rather than in fleas. Conversely, the mechanism of transmission by fleas to prairie dogs had the greatest influence on model results when Yp infection was initiated in fleas (i.e. via introduction by carnivores, a migrant prairie dog, or other mammalian host). Uncertainty in parameter estimates, particularly those related to the transmission pathways of Yp, continue to hamper efforts to realistically model plague dynamics in wild rodents. Our results elucidate the complexity of the flea-plague-prairie dog system and reiterate the importance of research on Yp transmission mechanisms to provide a full understanding of this disease. Our results also emphasize the importance of realistic estimates of spatial structure for exploring transmission dynamics of wildlife diseases and provide a framework for generating a data-driven description of spatial structure.

Ecological Modelling↗

An evaluation of multistate occupancy models for estimating relative abundance and population trends

Detecting spatiotemporal changes in the abundances of organisms is key to effectively conserving species. While indices of abundance have long been used, there has been a shift toward model-based estimators that account for the detection process. Popular approaches including traditional occupancy models and N-mixture models entail tradeoffs. The traditional occupancy approach requires the researcher coarsen the characterization of abundance to the probability that a site is occupied or unoccupied. Conversely, N-mixture models make use of variation in counts, but perform poorly when individuals have low detectability or move into or out of sites between visits. Multistate occupancy models that differentiate relatively abundant from non-abundant states have the potential to fill this gap but have been underexplored. We conducted a simulation study to test whether multistate occupancy models could capture spatial abundance patterns and detect population declines in the face of low individual detection probability ( p ≤ 0.3) and unmodeled heterogeneity (e.g., that arising from individual movement). We considered 10,773 scenarios to examine the effects of differing amounts of heterogeneity as well as alternative study designs, population parameters, and modeling choices. We tracked bias in the proportion of sites estimated to be in the abundant state for single-season models, and power to detect a declining trend across multiple years. We also evaluated data diagnostic metrics to provide guidance to users. Multistate occupancy models were able to differentiate sites with higher abundances from sites with lower abundances when there were at least medium levels of spatial heterogeneity in true abundances. If different sites were randomly selected each year, power to detect even large population declines (65%) was poor (power < 0.8). However, if the same sites were surveyed each year, and a dynamic multistate occupancy was used, multistate occupancy models could detect (power ≥ 0.8) relatively small declines (5-40%) in 20% of scenarios, and frequently detect large declines of 45-60% (mean power = 0.92). Conservation decisions rely on detecting change reliably, rarely needing absolute abundance information. Multistate occupancy models can improve our ability to detect changing abundance while accommodating low individual detection probability and heterogeneity in count monitoring data.

Ecological Modelling↗

Shifts in marsh erosion, migration, and wave exposure over nearly two centuries of sea-level rise in the Gulf of Mexico

Coastal wetlands are economically important ecosystems, but are at risk to erosion from waves, storms, and sea level rise. However, marshes can persist under rising sea level through vertical accretion and migration into adjacent higher-elevation habitats. We measured rates of marsh shoreline change and migration and compared the results for historical and modern periods in a largely undeveloped and marine-dominated estuary within the Mississippi-Alabama coast of the Northern Gulf of Mexico. Mean shoreline change rate for the modern (post-1957) period was higher than historical rates (pre-1957) at −1.55 ± 0.11 m yr −1 and -0.84 ± 0.07 m yr −1 , respectively. Shoreline change rates were highest in regions where exposure to wind-driven waves increased due to barrier island migration and land loss. Marsh migration (modern 1.25 ± 0.37 m yr −1 and historical 1.01 ± 0.13 m yr −1 ) occurred at similar rates as shoreline erosion except for the highest erosive shorelines, leading to an overall 15% marsh loss. Upland-to-marsh conversion occurred in forested areas and may have been encouraged by changes in management practices. In the Grand Bay estuary, our data show that marsh migration is not occurring at sufficient rates to compensate for marsh loss, resulting in overall loss in marsh habitat. Overall, migration may allow marsh to persist under rising sea levels but can lead to an overall reduction in forested or freshwater habitats if steep slopes or other barriers prevent their migration.

Alabama, Mississippi↗

Experimental and simulation studies of iron oxides for geochemical fixation of CO2-SO2 gas mixtures

Iron-bearing minerals are reactive phases of the subsurface environment and could potentially trap CO 2 &ndash;SO 2 gas mixtures derived from fossil fuel combustion processes by their conversion to siderite (FeCO 3 ) and dissolved sulfate. Changes in fluid and mineral compositions resulting from reactions, involving the co-injection of SO 2 with CO 2 were observed both theoretically and experimentally. Experiments were conducted with a natural hematite (&alpha;-Fe 2 O 3 ) sample. A high pressure-high temperature apparatus was used to simulate conditions in geologic formations deeper than 800 m, where CO 2 is in the supercritical state. Solid samples were allowed to react with a NaCl&ndash;NaOH brine and SO 2 -bearing CO 2 -dominated gas mixtures. The predicted equilibrium mineral assemblage at 100 &deg;C and 250 bar became hematite, dawsonite (NaAl(OH) 2 CO 3 ), siderite (FeCO 3 ) and quartz (SiO 2 ). Experimentally, siderite and dawsonite, derived from the presence of kaolinite (Al 2 Si 2 O 5 (OH) 4 ) in the parent material, were present in residual solids at longer reaction time intervals, which agreed well with results from the modelling work.

Energy Procedia↗

Long-term trends of surface-water mercury and methylmercury concentrations downstream of historic mining within the Carson River watershed

The Carson River is a vital water resource for local municipalities and migratory birds travelling the Pacific Flyway. Historic mining practices that used mercury (Hg) to extract gold from Comstock Lode ore has left much of the river system heavily contaminated with Hg, a practice that continues in many parts of the world today. Between 1998 and 2013, the United States Geological Survey (USGS) collected and analyzed Carson River water for Hg and methylmercury (MeHg) concentrations resulting in a sixteen year record of unfiltered total mercury (uf.THg), filtered (dissolved) Hg (f.THg), total methylmercury (uf.MeHg), filtered MeHg (f.MeHg), and particulate-bound THg (p.THg) and MeHg (p.MeHg) concentrations. This represents one of the longest continuous records of Hg speciation data for any riverine system, thereby providing a unique opportunity to evaluate long-term trends in concentrations and annual loads. During the period of analysis, uf.THg concentration and load trended downward at rates of −0.85% and −1.8% per year, respectively. Conversely, the f.THg concentration increased at a rate of 1.7% per year between 1998 and 2005, and 4.9% per year between 2005 and 2013. Trends in flow-normalized partition coefficients for both Hg and MeHg suggest a statistically significant shift from the particulate to the filtered phase. The upwardly accelerating f.THg concentration and observed shift from the solid phase to the aqueous phase among the pools of Hg and MeHg within the river water column signals an increased risk of deteriorating ecological conditions in the lower basin with respect to Hg contamination. More broadly, the 16-year trend analysis, completed 140 years after the commencement of major Hg releases to the Carson River, provides a poignant example of the ongoing legacy left behind by gold and silver mining techniques that relied on Hg amalgamation, and a cautionary tale for regions still pursuing the practice in other countries.

Nevada↗

Understanding drivers of mercury in lake trout (Salvelinus namaycush), a top-predator fish in southwest Alaska's parklands

Mercury (Hg) is a widespread element and persistent pollutant, harmful to fish, wildlife, and humans in its organic, methylated form. The risk of Hg contamination is driven by factors that regulate Hg loading, methylation, bioaccumulation, and biomagnification. In remote locations, with infrequent access and limited data, understanding the relative importance of these factors can pose a challenge. Here, we assessed Hg concentrations in an apex predator fish species, lake trout (Salvelinus namaycush), collected from 14 lakes spanning two National Parks in southwest Alaska, U.S.A. We then examined factors associated with the variation in fish Hg concentrations using a Bayesian hierarchical model. We found that total Hg concentrations in water were consistently low among lakes (0.11–0.50 ng L− 1). Conversely, total Hg concentrations in lake trout spanned a thirty-fold range (101–3046 ng g− 1 dry weight), with median values at 7 lakes exceeding Alaska’s human consumption threshold. Model results showed that fish age and, to a lesser extent, body condition best explained variation in Hg concentration among fish within a lake, with Hg elevated in older, thinner lake trout. Other factors, including plankton methyl Hg content, fish species richness, volcano proximity, and glacier loss, best explained variation in lake trout Hg concentration among lakes. Collectively, these results provide evidence that multiple, hierarchically nested factors control fish Hg levels in these lakes.

Alaska↗

Hydrogen isotopes in high 3He/4He submarine basalts: Primordial vs. recycled water and the veil of mantle enrichment

The hydrogen isotope value ( δ D) of water indigenous to the mantle is masked by the early degassing and recycling of surface water through Earth's history. High 3 He/ 4 He ratios in some ocean island basalts, however, provide a clear geochemical signature of deep, primordial mantle that has been isolated within the Earth's interior from melting, degassing, and convective mixing with the upper mantle. Hydrogen isotopes were measured in high 3 He/ 4 He submarine basalt glasses from the Southeast Indian Ridge (SEIR) at the Amsterdam–St. Paul (ASP) Plateau ( δ D = −51 to −90‰, 3 He/ 4 He = 7.6 to 14.1 R A ) and in submarine glasses from Loihi seamount south of the island of Hawaii ( δ D = −70 to −90‰, 3 He/ 4 He = 22.5 to 27.8 R A ). These results highlight two contrasting patterns of δ D for high 3 He/ 4 He lavas: one trend toward high δ D of approximately −50‰, and another converging at δ D = −75‰. These same patterns are evident in a global compilation of previously reported δ D and 3 He/ 4 He results. We suggest that the high δ D values result from water recycled during subduction that is carried into the source region of mantle plumes at the core–mantle boundary where it is mixed with primordial mantle, resulting in high δ D and moderately high 3 He/ 4 He. Conversely, lower δ D values of −75‰, in basalts from Loihi seamount and also trace element depleted mid-ocean ridge basalts, imply a primordial Earth hydrogen isotopic value of −75‰ or lower. δ D values down to −100‰ also occur in the most trace element-depleted mid-ocean ridge basalts, typically in association with 87 Sr/ 86 Sr ratios near 0.703. These lower δ D values may be a result of multi-stage melting history of the upper mantle where minor D/H fractionation could be associated with hydrogen retention in nominally anhydrous residual minerals. Collectively, the predominance of δ D around −75‰ in the majority of mid-ocean ridge basalts and in high 3 He/ 4 He Loihi basalts is consistent with an origin of water on Earth that was dominated by accretion of chondritic material.

Earth and Planetary Science Letters↗

Geochemical control of microbial Fe(III) reduction potential in wetlands: Comparison of the rhizosphere to non-rhizosphere soil

We compared the reactivity and microbial reduction potential of Fe(III) minerals in the rhizosphere and non-rhizosphere soil to test the hypothesis that rapid Fe(III) reduction rates in wetland soils are explained by rhizosphere processes. The rhizosphere was defined as the area immediately adjacent to a root encrusted with Fe(III)-oxides or Fe plaque, and non-rhizosphere soil was 0.5 cm from the root surface. The rhizosphere had a significantly higher percentage of poorly crystalline Fe (66??7%) than non-rhizosphere soil (23??7%); conversely, non-rhizosphere soil had a significantly higher proportion of crystalline Fe (50??7%) than the rhizosphere (18??7%, P<0.05 in all cases). The percentage of poorly crystalline Fe(III) was significantly correlated with the percentage of FeRB (r=0.76), reflecting the fact that poorly crystalline Fe(III) minerals are labile with respect to microbial reduction. Abiotic reductive dissolution consumed about 75% of the rhizosphere Fe(III)-oxide pool in 4 h compared to 23% of the soil Fe(III)-oxide pool. Similarly, microbial reduction consumed 75-80% of the rhizosphere pool in 10 days compared to 30-40% of the non-rhizosphere soil pool. Differences between the two pools persisted when samples were amended with an electron-shuttling compound (AQDS), an Fe(III)-reducing bacterium (Geobacter metallireducens), and organic carbon. Thus, Fe(III)-oxide mineralogy contributed strongly to differences in the Fe(III) reduction potential of the two pools. Higher amounts of poorly crystalline Fe(III) and possibly humic substances, and a higher Fe(III) reduction potential in the rhizosphere compared to the non-rhizosphere soil, suggested the rhizosphere is a site of unusually active microbial Fe cycling. The results were consistent with previous speculation that rapid Fe cycling in wetlands is due to the activity of wetland plant roots. ?? 2004 Federation of European Microbiological Societies. Published by Elsevier B.V. All rights reserved.

FEMS Microbiology Ecology↗

Improving short-term recruitment forecasts for coho salmon using a spatiotemporal integrated population model

Fishery managers often rely on forecasts of future population abundance to set allowable harvest quotas or exploitation rates. While there has been substantial research devoted to identifying environmental factors that can predict recruitment for individual populations, such correlations often degrade over time, thereby limiting their utility for management. Conversely, examining multiple populations at once to detect shared, spatially structured patterns can offer insights into their recruitment dynamics that are advantageous for forecasting. Here, we develop a population dynamics model for natural origin coho salmon ( Oncorhynchus kisutch ) stocks in Washington State that leverages spatial and temporal autocorrelation in marine survival to improve one-year-ahead forecasts of adult returns. Executed in a Bayesian hierarchical integrated modelling framework, our spatiotemporal approach incorporates multiple data types and shares information among stocks to estimate key biological parameters that are informative for forecasting. Retrospective evaluation of one-year-ahead forecast skill indicated that the spatiotemporal integrated population model (ST-IPM) outperformed existing forecasts of Washington State coho salmon returns by 25–38 % on average. Moreover, the ST-IPM estimates parameters that were previously non-identifiable for many stocks, and propagates uncertainty from multiple contributing data sources into model forecasts. Our results add to a growing body of work demonstrating the utility of spatiotemporal and integrated approaches for modelling population dynamics, and the framework developed here has broad applications to the assessment and management of coho salmon in Washington State and elsewhere throughout their range.

Washington↗

Using angler-submitted records to interpret the spatial seasonality of a large predator (Black bass, Micropterus spp.)

In addition to having cultural, social, and economic significance, large predatory fish affect aquatic communities from the top down and serve as markers of ecosystem health. A focus on large predators is critical for managing ecosystems, conserving species, and guaranteeing the sustainability of aquatic resources. Recreational fishing is inherently biased towards large fish, and anglers possess the strength in numbers and geographical dispersion that enable them to sample the upper tiers of size distributions rarely encountered in standard fish surveys. We sought to further understand the ecological requirements and spatial seasonality of exceptionally sized black bass ( Micropterus spp.) via angler catches. Black bass > 3.6 kg were examined across 147 reservoirs in Texas, USA, with 2817 fish recorded by anglers into an online database in 2018–2024. Most fish were caught in late-winter and early-spring in line with spawning activities that included movements in-and-out of shallow water, nest building, and nest defense. Approximately 54 % of fish were caught with bottom-oriented fishing lures and techniques, and 40 % midwater; surface catches were less common. The efficacy of angling techniques varied seasonally. Those effective in winter were midwater, while those effective in summer were bottom or surface. Conversely, a combination of bottom and midwater techniques were effective in the fall and spring, suggesting cyclic habitat transitions. Moreover, the frequency with which fish were caught over various macrohabitats varied seasonally and cyclically. Our findings have the potential to inform habitat management that supports large predators and their migratory relocations. Our findings also underscore the value of using anglers and technology as sources of difficult-to-obtain fish and environmental data that may evade regular monitoring.

Texas↗

Change in the forested and developed landscape of the Lake Tahoe basin, California and Nevada, USA, 1940-2002

The current ecological state of the Lake Tahoe basin has been shaped by significant landscape-altering human activity and management practices since the mid-1850s; first through widespread timber harvesting from the 1850s to 1920s followed by urban development from the 1950s to the present. Consequences of landscape change, both from development and forest management practices including fire suppression, have prompted rising levels of concern for the ecological integrity of the region. The impacts from these activities include decreased water quality, degraded biotic communities, and increased fire hazard. To establish an understanding of the Lake Tahoe basin's landscape change in the context of forest management and development we mapped, quantified, and described the spatial and temporal distribution and variability of historical changes in land use and land cover in the southern Lake Tahoe basin (279 km2) from 1940 to 2002. Our assessment relied on post-classification change detection of multi-temporal land-use/cover and impervious-surface-area data that were derived through manual interpretation, image processing, and GIS data integration for four dates of imagery: 1940, 1969, 1987, and 2002. The most significant land conversion during the 62-year study period was an increase in developed lands with a corresponding decrease in forests, wetlands, and shrublands. Forest stand densities increased throughout the 62-year study period, and modern thinning efforts resulted in localized stand density decreases in the latter part of the study period. Additionally forests were gained from succession, and towards the end of the study period extensive tree mortality occurred. The highest rates of change occurred between 1940 and 1969, corresponding with dramatic development, then rates declined through 2002 for all observed landscape changes except forest density decrease and tree mortality. Causes of landscape change included regional population growth, tourism demands, timber harvest for local use, fire suppression, bark beetle attack, and fuels reduction activities. Results from this study offer land managers within the Lake Tahoe basin and in similar regions a basis for making better informed land-use and management decisions to potentially minimize detrimental ecological impacts of landscape change. The perspective to be gained is based on quantitative retrospection of the effects of human-driven changes and the impacts of management action or inaction to the forested landscape. ?? 2008 Elsevier B.V. All rights reserved.

Forest Ecology and Management↗

Predicting breeding bird occurrence by stand- and microhabitat-scale features in even-aged stands in the Central Appalachians

Spatial scale is an important consideration when managing forest wildlife habitat, and models can be used to improve our understanding of these habitats at relevant scales. Our objectives were to determine whether stand- or microhabitat-scale variables better predicted bird metrics (diversity, species presence, and abundance) and to examine breeding bird response to clearcut size and age in a highly forested landscape. In 2004–2007, vegetation data were collected from 62 even-aged stands that were 3.6–34.6 ha in size and harvested in 1963–1990 on the Monongahela National Forest, WV, USA. In 2005–2007, we also surveyed birds at vegetation plots. We used classification and regression trees to model breeding bird habitat use with a suite of stand and microhabitat variables. Among stand variables, elevation, stand age, and stand size were most commonly retained as important variables in guild and species models. Among microhabitat variables, medium-sized tree density and tree species diversity most commonly predicted bird presence or abundance. Early successional and generalist bird presence, abundance, and diversity were better predicted by microhabitat variables than stand variables. Thus, more intensive field sampling may be required to predict habitat use for these species, and management may be needed at a finer scale. Conversely, stand-level variables had greater utility in predicting late-successional species occurrence and abundance; thus management decisions and modeling at this scale may be suitable in areas with a uniform landscape, such as our study area. Our study suggests that late-successional breeding bird diversity can be maximized long-term by including harvests >10 ha in size into our study area and by increasing tree diversity. Some harvesting will need to be incorporated regularly, because after 15 years, the study stands did not provide habitat for most early successional breeding specialists.

Forest Ecology and Management↗

Woodland salamander responses to a shelterwood harvest-prescribed burn silvicultural treatment within Appalachian mixed-oak forests

Forest management practices that mimic natural canopy disturbances, including prescribed fire and timber harvests, may reduce competition and facilitate establishment of favorable vegetative species within various ecosystems. Fire suppression in the central Appalachian region for almost a century has contributed to a transition from oak-dominated to more mesophytic, fire-intolerant forest communities. Prescribed fire coupled with timber removal is currently implemented to aid in oak regeneration and establishment but responses of woodland salamanders to this complex silvicultural system is poorly documented. The purpose of our research was to determine how woodland salamanders respond to shelterwood harvests following successive burns in a central Appalachian mixed-oak forest. Woodland salamanders were surveyed using coverboard arrays in May, July, and August&ndash;September 2011 and 2012. Surveys were conducted within fenced shelterwood-burn (prescribed fires, shelterwood harvest, and fencing to prevent white-tailed deer [Odocoileus virginianus] herbivory), shelterwood-burn (prescribed fires and shelterwood harvest), and control plots. Relative abundance was modeled in relation to habitat variables measured within treatments for mountain dusky salamanders (Desmognathus ochrophaeus), slimy salamanders (Plethodon glutinosus), and eastern red-backed salamanders (Plethodon cinereus). Mountain dusky salamander relative abundance was positively associated with canopy cover and there were significantly more individuals within controls than either shelterwood-burn or fenced shelterwood-burn treatments. Conversely, habitat variables associated with slimy salamanders and eastern red-backed salamanders did not differ among treatments. Salamander age-class structure within controls did not differ from shelterwood-burn or fenced shelterwood-burn treatments for any species. Overall, the woodland salamander assemblage remained relatively intact throughout the shelterwoodburn silvicultural treatment compared to previous research within the same study area that examined pre-harvest fire effects. However, because of the multi-faceted complexities of this specific silvicultural system, continued research is warranted that evaluates long-term, additive impacts on woodland salamanders within managed central Appalachian deciduous forests.

West Virginia↗

Historical dominance of low-severity fire in dry and wet mixed-conifer forest habitats of the endangered terrestrial Jemez Mountains salamander ( Plethodon neomexicanus )

Anthropogenic alteration of ecosystem processes confounds forest management and conservation of rare, declining species. Restoration of forest structure and fire hazard reduction are central goals of forest management policy in the western United States, but restoration priorities and treatments have become increasingly contentious. Numerous studies have documented changes in fire regimes, forest stand structure and species composition following a century of fire exclusion in dry, frequent-fire forests of the western U.S. (e.g., ponderosa pine and dry mixed-conifer). In contrast, wet mixed-conifer forests are thought to have historically burned infrequently with mixed- or high-severity fire&mdash;resulting in reduced impacts from fire exclusion and low restoration need&mdash;but data are limited. In this study we quantified the current forest habitat of the federally endangered, terrestrial Jemez Mountains salamander (Plethodon neomexicanus) and compared it to dendroecological reconstructions of historical habitat (e.g., stand structure and composition), and fire regime parameters along a gradient from upper ponderosa pine to wet mixed-conifer forests. We found that current fire-free intervals in Jemez Mountains salamander habitat (116&ndash;165 years) are significantly longer than historical intervals, even in wet mixed-conifer forests. Historical mean fire intervals ranged from 10 to 42 years along the forest gradient. Low-severity fires were historically dominant across all forest types (92 of 102 fires). Although some mixed- or highseverity fire historically occurred at 67% of the plots over the last four centuries, complete mortality within 1.0 ha plots was rare, and asynchronous within and among sites. Climate was an important driver of temporal variability in fire severity, such that mixed- and high-severity fires were associated with more extreme drought than low-severity fires. Tree density in dry conifer forests historically ranged from open (90 trees/ha) to moderately dense (400 trees/ha), but has doubled on average since fire exclusion. Infill of fire-sensitive tree species has contributed to the conversion of historically dry mixedconifer to wet mixed-conifer forest. We conclude that low-severity fire, which has been absent for over a century, was a critical ecosystem process across the forest gradient in Jemez Mountains salamander habitat, and thus is an important element of ecosystem restoration, resilience, and rare species recovery.

Forest Ecology and Management↗