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At least 649 records · Page 36Linked to original sources

Molecular ecology of the big brown bat (Eptesicus fuscus): Genetic and natural history variation in a hybrid zone

Several geographically distinct mitochondrial DNA (mtDNA) lineages of the big brown bat (Eptesicus fuscus) have been documented in North America. Individuals from 2 of these lineages, an eastern and a western form, co-occur within maternity colonies in Colorado. The discovery of 2 divergent mtDNA lineages in sympatry prompted a set of questions regarding possible biological differences between haplotypes. We captured big brown bats at maternity roosts in Colorado and recorded data on body size, pelage color, litter size, roosting and overwintering behaviors, and local distributions. Wing biopsies were collected for genetic analysis. The ND2 region of the mtDNA molecule was used to determine lineage of the bats. In addition, nuclear DNA (nDNA) intron 1 of the ??-globin gene was used to determine if mtDNA lineages are hybridizing. Eastern and western mtDNA lineages differed by 10.3% sequence divergence and examination of genetic data suggests recent population expansion for both lineages. Differences in distribution occur along the Colorado Front Range, with an increasing proportion of western haplotypes farther south. Results from nDNA analyses demonstrated hybridization between the 2 lineages. Additionally, no outstanding distinctiveness was found between the mtDNA lineages in natural history characters examined. We speculate that historical climate changes separated this species into isolated eastern and western populations, and that secondary contact with subsequent interbreeding was facilitated by European settlement. ?? 2007 American Society of Mammalogists.

Journal of Mammalogy↗

Risk assessment for bull trout introduction into Sullivan Lake and Harvey Creek, northeastern Washington

The Kalispel Tribe of Indians (KT), U. S. Fish and Wildlife Service, and Washington Department of Fish and Wildlife are engaged in conservation of bull trout ( Salvelinus confluentus ) in the Lake Pend Oreille (LPO) Core Area. The LPO is a complex habitat core area which falls within three states (Montana, Idaho, and Washington) and a tribal entity. As part of the conservation process, KT worked in cooperation with the U. S. Geological Survey (USGS) to complete a risk assessment for introduction of bull trout into Sullivan Lake/Harvey Creek, northeastern, Washington. The risk assessment was designed to evaluate potential risks to resident fish species, to bull trout introduced into Sullivan Lake, and to bull trout donor source populations. This risk assessment describes the potential risks associated with pathogens (introduction of pathogens and increased pathogen burden), genetics (such as risk to donor sources, straying and breeding with native bull trout, and introduction of bull-brook hybrids), and ecological interactions (such as predation and competition). Potential donor source populations were identified and evaluated using a qualitative approach based on expert opinion and a decision framework. Literature reviews were completed for fish species composition and abundance in Sullivan Lake basin to assess potential ecological interactions and risks to these populations and to the introduced bull trout. The USGS assessed pathogen risks through two major questions: (1) whether introduced bull trout might bring pathogens into the Sullivan Lake basin that were not previously present and (2) whether the health of introduced bull trout could be adversely affected by pathogens already present in the basin. Assessment of genetic risks included demographic risks to donor source populations, potential for hybridization with native bull trout, and the risk of introducing bull-brook hybrids. Literature reviews were used in conjunction with discussions among regional biologists to identify potential donor source populations and their population attributes. A decision framework was developed by USGS in collaboration with KT biologists that identified desirable population attributes (life history behavior, abundance, population viability, feasibility of collection, and environmental match) associated with donor source populations and established ranking criteria. The population attribute information was used with the (1) decision framework, (2) established ranking criteria, and (3) expert opinion of regional biologists, to assign scores for overall ranking of donor source populations. The LPO source population was the highest ranked and is considered a robust and stable population. The risk of introducing pathogens from LPO into Sullivan Lake via a bull trout introduction program seems low, and indirect pathogen burden risks to resident species can be mitigated using established pathogen surveillance methods. The likelihood that bull trout, introduced into Sullivan Lake, stray and spawn with native bull trout is low. Nearest-neighbor donor source populations, such as LPO, could minimize negative fitness impacts that might occur from straying and interbreeding of individuals that become entrained and help maintain natural patterns of genetic diversity in native populations. The ecological risk that a bull trout introduction presents to resident species seems to be low but with some uncertainty. Pygmy whitefish, a Washington State Sensitive species, is likely most vulnerable to extirpation with increased predation pressure with introduction of an additional piscivore into the ecosystem. The status of the pygmy whitefish in Sullivan Lake is unknown. The ecological risks most likely to reduce the viability of introduced bull trout are predation by burbot and an adequate forage base in Sullivan Lake. Prior fish surveys provided data on resident species abundance, provided an established baseline for effective monitoring, and identifying ecosystem changes post-bull trout introduction to inform future adaptive management decisions.

Washington↗

Combined impacts of Black-crowned Night-Heron predation/disturbance and various management activities on Roseate Tern productivity in 2003, and testing of a video surveillance system for recording the diurnal and nocturnal behavior of terns and night-herons at Falkner Island, Stewart B. McKinney National Wildlife Refuge, Connecticut, in 2004: Report to U.S. Fish and Wildlife Service, Stewart B. McKinney National Wildlife Refuge, Westbrook, Connecticut and U.S. Fish and Wildlife Service, Region 5 Regional Office, Hadley, Massachusetts

Falkner Island (FICT), a unit of the U.S. Fish and Wildlife Service's Stewart B. McKinney National Wildlife Refuge (SBMNWR) since 1985, is located in Long Island Sound 5 km south of Guilford, CT. For more than three decades it has been the site of the only large breeding colony in Connecticut of the federally endangered Northwest Atlantic population of Roseate Terns (Sterna dougallii) and the state's largest colony of Common Terns (S. hirundo). Both species have been studied at this site since 1978 as part of the Falkner Island Tern Project (FITP), and since 1987 also as part of a regional Cooperative Roseate Tern Metapopulation Dynamics and Ecology Project (CRTMP), both coordinated by Dr. Jeffrey A. Spendelow of the U.S. Geological Survey's Patuxent Wildlife Research Center (USGS-PWRC). From 1997-2002 the Roseate Tern breeding population at this site declined by more than 50% from about 150 to about 70 nesting pairs, mostly as a result of the nocturnal predation and disturbance of tern chicks and eggs by Black-crowned Night-Herons (Nycticorax nycticorax). Here we report the results of research done with the goal of improving management of nocturnal predators and developing new practices/structures to reduce losses of tern eggs and chicks so as to prevent the abandonment of this site by Roseate Terns. Notification of release of the USGS 'Quick Response Funds' (QRF) that were to be used to support the part of this study entitled 'Nocturnal behavior/interactions of endangered Roseate Terns and Black-crowned Night-Herons', and final approval of the Study Plan for this research did not occur until after the breeding season in 2003 was well underway. As a result, some work will need to be completed during the 2004 field season. There are two major objectives of this study. The first is to collect basic information (a) on the nocturnal behavior and interactions of Roseate (and Common) Terns with predatory Black-crowned Night-Herons, and (b) on how the behavior of the night-herons and the behavior and productivity of the terns are affected by the activities of management personnel (or researchers) that may be moving around the island at night. The second objective is to develop new structures (or to modify existing ones) that can be used by adult Roseate Terns for nesting sites and/or by chicks as hiding sites so that tern eggs and chicks will be less susceptible to night-heron predation. Work on the development and comparative use of various man-made structures began prior to the start of the 2003 nesting season; work on the evaluation and testing of a video surveillance system to study the nocturnal behavior of the terns and night-herons began in June 2003. Reported here are (1) the results of work on the placement and use by Roseate Terns of several types of structures in different habitats, and (2) a description of the set-up, testing, and evaluation of a multi-camera video system to record tern and predator behavior during both day and night. Also given here is some additional information on other factors that affected the productivity of the Roseate Terns at FICT collected as part of the CRTMP which served as the underlying foundation for the additional work done with support of the 2003 Quick Response Funds.

Book↗

Seabirds in Alaska

About 100 million seabirds reside in marine waters of Alaska during some part of the year. Perhaps half this population is composed of 50 species of nonbreeding residents, visitors, and breeding species that use marine habitats only seasonally (Gould et al. 1982). Another 30 species include 40-60 million individuals that breed in Alaska and spend most of their lives in U.S. territorial waters (Sowls et al. 1978). Alaskan populations account for more than 95% of the breeding seabirds in the continental United States, and eight species nest nowhere else in North America (USFWS 1992). Seabird nest sites include rock ledges, open ground, underground burrows, and crevices in cliffs or talus. Seabirds take a variety of prey from the ocean, including krill, small fish, and squid. Suitable nest sites and oceanic prey are the most important factors controlling the natural distribution and abundance of seabirds. The impetus for seabird monitoring is based partly on public concern for the welfare of these birds, which are affected by a variety of human activities like oil pollution and commercial fishing. Equally important is the role seabirds serve as indicators of ecological change in the marine environment. Seabirds are long-lived and slow to mature, so parameters such as breeding success, diet, or survival rates often give earlier signals of changing environmental conditions that population size itself. Seabird survival data are of interest because they reflect conditions affecting seabirds in the nonbreeding season, when most annual mortality occurs. Techniques for monitoring seabird populations vary according to habitat types and the breeding behavior of individual species (Hatch and Hatch 1978, 1989; Byrd et al. 1983). An affordable monitoring program can include but a few of the 1,300 seabird colonies identified in Alaska, and since the mid-1970's, monitoring effotrts have emphasized a small selection of surface-feeding and diving species, primarily kittiwakes ( Rissa spp.) and murres ( Uria spp.). Little or no information on trends is available for other seabirds (Hatch 1993a). The existing monitoring program occurs largely on sites within the Alaska Maritime National Wildlife Refuge, which was established primarily for the conservation of marine birds. Data are collected by refuge staff, other state and federal agencies, private organizations, university faculty, and students.

Alaska↗

Nonlinear reaction–diffusion process models improve inference for population dynamics

Partial differential equations (PDEs) are a useful tool for modeling spatiotemporal dynamics of ecological processes. However, as an ecological process evolves, we need statistical models that can adapt to changing dynamics as new data are collected. We developed a model that combines an ecological diffusion equation and logistic growth to characterize colonization processes of a population that establishes long-term equilibrium over a heterogeneous environment. We also developed a homogenization strategy to statistically upscale the PDE for faster computation and adopted a hierarchical framework to accommodate multiple data sources collected at different spatial scales. We highlighted the advantages of using a logistic reaction component instead of a Malthusian component when population growth demonstrates asymptotic behavior. As a case study, we demonstrated that our model improves spatiotemporal abundance forecasts of sea otters in Glacier Bay, Alaska. Furthermore, we predicted spatially varying local equilibrium abundances as a result of environmentally driven diffusion and density-regulated growth. Integrating equilibrium abundances over the study area in our application enabled us to infer the overall carrying capacity of sea otters in Glacier Bay, Alaska.

Alaska↗

Differing modes of biotic connectivity within freshwater ecosystem mosaics

We describe a collection of aquatic and wetland habitats in an inland landscape, and their occurrence within a terrestrial matrix, as a “freshwater ecosystem mosaic” (FEM). Aquatic and wetland habitats in any FEM can vary widely, from permanently ponded lakes, to ephemerally ponded wetlands, to groundwater‐fed springs, to flowing rivers and streams. The terrestrial matrix can also vary, including in its influence on flows of energy, materials, and organisms among ecosystems. Biota occurring in a specific region are adapted to the unique opportunities and challenges presented by spatial and temporal patterns of habitat types inherent to each FEM. To persist in any given landscape, most species move to recolonize habitats and maintain mixtures of genetic materials. Species also connect habitats through time if they possess needed morphological, physiological, or behavioral traits to persist in a habitat through periods of unfavorable environmental conditions. By examining key spatial and temporal patterns underlying FEMs, and species‐specific adaptations to these patterns, a better understanding of the structural and functional connectivity of a landscape can be obtained. Fully including aquatic, wetland, and terrestrial habitats in FEMs facilitates adoption of the next generation of individual‐based models that integrate the principles of population, community, and ecosystem ecology.

Journal of the American Water Resources Associatio↗

Bee species richness through time in an urbanizing landscape of the southeastern United State

Compared to non-urban environments, cities host ecological communities with altered taxonomic diversity and functional trait composition. However, we know little about how these urban changes take shape over time. Using historical bee (Apoidea: Anthophila) museum specimens supplemented with online repositories and researcher collections, we investigated whether bee species richness tracked urban and human population growth over the past 118 years. We also determined which species were no longer collected, whether those species shared certain traits, and if collector behavior changed over time. We focused on Wake County, North Carolina, United States where human population size has increased over 16 times over the last century along with the urban area within its largest city, Raleigh, which has increased over four times. We estimated bee species richness with occupancy models, and rarefaction and extrapolation curves to account for imperfect detection and sample coverage. To determine if bee traits correlated with when species were collected, we compiled information on native status, nesting habits, diet breadth, and sociality. We used non-metric multidimensional scaling to determine if individual collectors contributed different bee assemblages over time. In total, there were 328 species collected in Wake County. We found that although bee species richness varied, there was no clear trend in bee species richness over time. However, recent collections (since 2003) were missing 195 species, and there was a shift in trait composition, particularly lost species were below-ground nesters. The top collectors in the dataset differed in how often they collected bee species, but this was not consistent between historic and contemporary time periods; some contemporary collectors grouped closer together than others, potentially due to focusing on urban habitats. Use of historical collections and complimentary analyses can fill knowledge gaps to help understand temporal patterns of species richness in taxonomic groups that may not have planned long-term data.

North Carolina↗

The diamondback terrapin: The biology, ecology, cultural history, and conservation status of an obligate estuarine turtle

Ranging from Cape Cod to nearly the Texas-Mexico border, the diamondback terrapin (Malaclemys terrapin) is the only species of North American turtle restricted to estuarine systems. Despite this extensive distribution, its zone of occurrence is very linear, and in places fragmented, resulting in a relatively small total area of occupancy. On a global scale, excluding marine species, few turtles even venture into brackish water on a regular basis, and only two Asian species approach the North American terrapin's dependency on estuarine habitats. Here we describe some of the biological and behavioral adaptations of terrapins that allow them to live in the rather harsh estuarine environment. In this chapter we review the natural and cultural history of this turtle, discuss conservation issues, and provide information on the types of research needed to make sound management decisions for terrapin populations in peril.

Studies in Avian Biology↗

Landscape attributes and life history variability shape genetic structure of trout populations in a stream network

Spatial and temporal landscape patterns have long been recognized to influence biological processes, but these processes often operate at scales that are difficult to study by conventional means. Inferences from genetic markers can overcome some of these limitations. We used a landscape genetics approach to test hypotheses concerning landscape processes influencing the demography of Lahontan cutthroat trout in a complex stream network in the Great Basin desert of the western US. Predictions were tested with population- and individual-based analyses of microsatellite DNA variation, reflecting patterns of dispersal, population stability, and local effective population sizes. Complementary genetic inferences suggested samples from migratory corridors housed a mixture of fish from tributaries, as predicted based on assumed migratory life histories in those habitats. Also as predicted, populations presumed to have greater proportions of migratory fish or from physically connected, large, or high quality habitats had higher genetic variability and reduced genetic differentiation from other populations. Populations thought to contain largely non-migratory individuals generally showed the opposite pattern, suggesting behavioral isolation. Estimated effective sizes were small, and we identified significant and severe genetic bottlenecks in several populations that were isolated, recently founded, or that inhabit streams that desiccate frequently. Overall, this work suggested that Lahontan cutthroat trout populations in stream networks are affected by a combination of landscape and metapopulation processes. Results also demonstrated that genetic patterns can reveal unexpected processes, even within a system that is well studied from a conventional ecological perspective. ?? Springer 2006.

Landscape Ecology↗

Long-term effects of rangeland improvements on cattle distribution: A ranch-scale case study

Resource matching can be a common assumption that underlies anthropogenic rangeland improvements for wildlife or livestock. Countless resources are spent on targeted vegetation manipulations for both livestock and wildlife, but selection for improved areas has not been well quantified in livestock. This case study investigates whether cattle exhibit preferential use of historically improved rangeland sites within sagebrush steppe ecosystems, and whether these effects are relevant long-term compared with inherent landscape heterogeneity. We used a generalized linear mixed-effects resource selection function on Global Positioning System points collected at a fix rate of 2 h from a subset of animals grazing throughout 14 pastures (totaling 13 079 ha) over 3 yr to investigate cattle distribution in relation to historical rangeland improvements. These consisted of various methods for reducing woody plant cover and increasing forage production, most followed by grass and legume reseeding. Overall selection for treated areas was positive (0.16, P < 0.0 0 01), but highly variable (pasture estimates range from-1.81 to 0.77). Differences in enhanced vegetation index (EVI) accounted for 25% of the variation in treatment selection, whereas herbaceous production did not have an appreciable effect on treatment selection. Within individual pastures, the effects of landscape variables (distance to water, slope, herbaceous production, EVI, tree cover, and shrub cover) were more variable than treatment effects and on average 2.4-fold more influential to selection than anthropogenic treatments. Still, the combined effects of all landscape variables accounted for only 8% of the variation in site selection. The observed inconsistency among selection patterns underscores the complexity of large herbivore resource selection behavior, and the statistical challenges to modeling that behavior. These results provide limited and inconsistent support for the hypothesis that large herbivores select long-term (5–20 yr post establishment) for range improvements in relation to their forage quality/quantity in a resource-matching manner.

Utah↗

Landscape genetics identifies streams and drainage infrastructure as dispersal corridors for an endangered wetland bird

Anthropogenic alterations to landscape structure and composition can have significant impacts on biodiversity, potentially leading to species extinctions. Population‐level impacts of landscape change are mediated by animal behaviors, in particular dispersal behavior. Little is known about the dispersal habits of rails (Rallidae) due to their cryptic behavior and tendency to occupy densely vegetated habitats. The effects of landscape structure on the movement behavior of waterbirds in general are poorly studied due to their reputation for having high dispersal abilities. We used a landscape genetic approach to test hypotheses of landscape effects on dispersal behavior of the Hawaiian gallinule ( Gallinula galeata sandvicensis ), an endangered subspecies endemic to the Hawaiian Islands. We created a suite of alternative resistance surfaces representing biologically plausible a priori hypotheses of how gallinules might navigate the landscape matrix and ranked these surfaces by their ability to explain observed patterns in genetic distance among 12 populations on the island of O`ahu. We modeled effective distance among wetland locations on all surfaces using both cumulative least‐cost‐path and resistance‐distance approaches and evaluated relative model performance using Mantel tests, a causal modeling approach, and the mixed‐model maximum‐likelihood population‐effects framework. Across all genetic markers, simulation methods, and model comparison metrics, surfaces that treated linear water features like streams, ditches, and canals as corridors for gallinule movement outperformed all other models. This is the first landscape genetic study on the movement behavior of any waterbird species to our knowledge. Our results indicate that lotic water features, including drainage infrastructure previously thought to be of minimal habitat value, contribute to habitat connectivity in this listed subspecies.

Hawai`i↗

The use of fuel breaks in landscape fire management

Shaded fuelbreaks and larger landscape fuel treatments, such as prescribed fire, are receiving renewed interest as forest protection strategies in the western United States. The effectiveness of fuelbreaks remains a subject of debate because of differing fuelbreak objectives, prescriptions for creation and maintenance, and their placement in landscapes with differing fire regimes. A well-designed fuelbreak will alter the behavior of wildland fire entering the fuel-altered zone. Both surface and crown fire behavior may be reduced. Shaded fuelbreaks must be created in the context of the landscape within which they are placed. No absolute standards for fuelbreak width or fuel reduction are possible, although recent proposals for forested fuelbreaks suggest 400 m wide bands where surface fuels are reduced and crown fuels are thinned. Landscape-level treatments such as prescribed fire can use shaded fuelbreaks as anchor points, and extend the zone of altered fire behavior to larger proportions of the landscape. Coupling fuelbreaks with area-wide fuel treatments can reduce the size, intensity, and effects of wildland fires.

Forest Ecology and Management↗

A stage-structured, spatially explicit migration model for Myotis bats: mortality location affects system dynamics

Bats are ecologically and economically important species because they consume insects, transport nutrients, and pollinate flowers. Many species of bats, including those in the Myotis genus, are facing population decline and increased extinction risk. Despite these conservation concerns, few models exist for providing insight into the population dynamics of bats in a spatially explicit context. We developed a model for bats by considering the stage-structured colonial life history of Myotis bats with their annual migration behavior. This model provided insight into network dynamics. We specifically focused on two Myotis species living in the eastern United States: the Indiana bat ( M. sodalis ), which is a Federally listed endangered species, and the little brown bat ( M. lucifugus ), which is under consideration for listing as an endangered species. We found that multiple equilibria exist for the local, migratory subpopulations even though the total population was constant. These equilibria suggest the location and magnitude of stressors such as White-nose Syndrome, meteorological phenomena, or impacts of wind turbines on survival influence system dynamics and risk of population extirpation in difficult to predict ways.

Letters in Biomathematics↗

Savanna tree density, herbivores, and the herbaceous community: Bottom-up vs. top-down effects

Herbivores choose their habitats both to maximize forage intake and to minimize their risk of predation. For African savanna herbivores, the available habitats range in woody cover from open areas with few trees to dense, almost‐closed woodlands. This variation in woody cover or density can have a number of consequences for herbaceous species composition, cover, and productivity, as well as for ease of predator detection and avoidance. Here, we consider two alternative possibilities: first, that tree density affects the herbaceous vegetation, with concomitant “bottom‐up” effects on herbivore habitat preferences; or, second, that tree density affects predator visibility, mediating “top‐down” effects of predators on herbivore habitat preferences. We sampled sites spanning a 10‐fold range of tree densities in an Acacia drepanolobium‐dominated savanna in Laikipia, Kenya, for variation in (1) herbaceous cover, composition, and species richness; (2) wild and domestic herbivore use; and (3) degree of visibility obstruction by the tree layer. We then used structural equation modeling to consider the potential influences that tree density may have on herbivores and herbaceous community properties. Tree density was associated with substantial variation in herbaceous species composition and richness. Cattle exhibited a fairly uniform use of the landscape, whereas wild herbivores, with the exception of elephants, exhibited a strong preference for areas of low tree density. Model results suggest that this was not a response to variation in herbaceous‐community characteristics, but rather a response to the greater visibility associated with more open places. Elephants, in contrast, preferred areas with higher densities of trees, apparently because of greater forage availability. These results suggest that, for all but the largest species, top‐down behavioral effects of predator avoidance on herbivores are mediated by tree density. This, in turn, appears to have cascading effects on the herbaceous vegetation. These results shed light on one of the major features of the “landscape of fear” in which African savanna herbivores exist.

Laikipia County↗

Idiosyncratic spatial scaling of biodiversity–disease relationships

High host biodiversity is hypothesized to dilute the risk of vector-borne diseases if many host species are ‘dead ends' that cannot effectively transmit the disease and low-diversity areas tend to be dominated by competent host species. However, many studies on biodiversity–disease relationships characterize host biodiversity at single, local spatial scales, which complicates efforts to forecast disease risk if associations between host biodiversity and disease change with spatial scale. Here, our objective is to evaluate the spatial scaling of relationships between host biodiversity and Borrelia (the bacterial taxon which causes Lyme disease) infection prevalence in small mammals. We compared the associations between infection prevalence and small mammal host diversity for local communities (individual plots) and metacommunities (multiple plots aggregated within a landscape) sampled by the National Ecological Observatory Network (NEON), an emerging continental-scale environmental monitoring program with a hierarchical sampling design. We applied a multispecies, spatially-stratified capture–recapture model to a trapping dataset to estimate five small mammal biodiversity metrics, which we used to predict infection status for a subset of trapped individuals. We found that relationships between Borrelia infection prevalence and biodiversity did indeed vary when biodiversity was quantified at different spatial scales but that these scaling behaviors were idiosyncratic among the five biodiversity metrics. For example, species richness of local communities showed a negative (dilution) effect on infection prevalence, while species richness of the small mammal metacommunity showed a positive (amplification) effect on infection prevalence. Our modeling approach can inform future analyses as data from similar monitoring programs accumulate and become increasingly available through time. Our results indicate that a focus on single spatial scales when assessing the influence of biodiversity on disease risk provides an incomplete picture of the complexity of disease dynamics in ecosystems.

Ecography↗

Foraging trade-offs along a predator-permanence gradient in subalpine wetlands

We conducted a series of field and laboratory experiments to determine the direct and indirect effects of a top predator, the tiger salamander ( Ambystoma tigrinum nebulosum ), on larvae of two species of limnephilid caddisflies ( Limnephilus externus and Asynarchus nigriculus ) in subalpine wetlands in central Colorado. Asynarchus larvae predominate in temporary wetlands and are aggressive intraguild predators on Limnephilus larvae, which only predominate in permanent basins with salamanders. We first conducted a field experiment in mesocosms (cattle tanks) to quantify the predatory effects of different life stages of salamanders on the two caddisfly species. Two life stages of the salamanders (larvae and paedomorphs) preferentially preyed on Asynarchus relative to Limnephilus. Subsequent laboratory experiments revealed that high Asynarchus activity rates and relatively ineffective antipredatory behaviors led to higher salamander detection and attack rates compared to Limnephilus. In a second field experiment (full factorial for presence and absence of each of the three species), we found that salamander predation on Asynarchus had an indirect positive effect on Limnephilus : survival was higher in the presence of salamanders + Asynarchus than with just Asynarchus. In the laboratory we compared the predatory effects of salamanders with and without their mouths sewn shut and found the observed indirect positive effect on Limnephilus survival to be mainly the result of reduced numbers of Asynarchus rather than salamander-induced changes in Asynarchus behavior. We argue that indirect effects of predator–predator interactions on shared prey will be mainly density-mediated and not trait-mediated when one of the predators (in this case, Asynarchus ) is under strong selection for rapid growth and therefore does not modify foraging behaviors in response to the other predator. The reciprocal dominance of Limnephilus and Asynarchus in habitats with and without salamanders probably reflects a trade-off between competitive superiority and vulnerability to predation. The high activity levels and aggressiveness that enable Asynarchus to complete development in temporary habitats result in strong asymmetric competition (via intraguild predation) with Limnephilus. In permanent habitats these same behaviors increase Asynarchus vulnerability to salamander predation, which indirectly benefits Limnephilus. This and previous work implicate salamanders as keystone predators that exert a major influence on the composition of benthic and planktonic assemblages in subalpine wetlands.

Ecology↗

Legacy or colonization? Posteruption establishment of peregrine falcons (Falco peregrinus) on a volcanically active subarctic island.

How populations and communities reassemble following disturbances are affected by a number of factors, with the arrival order of founding populations often having a profound influence on later populations and community structure. Kasatochi Island is a small volcano located in the central Aleutian archipelago that erupted violently August 8, 2008, sterilizing the island of avian biodiversity. Prior to the eruption, Kasatochi was the center of abundance for breeding seabirds in the central Aleutian Islands and supported several breeding pairs of peregrine falcons ( Falco peregrinus ). We examined the reestablishment of peregrine falcons on Kasatochi by evaluating the genetic relatedness among legacy samples collected in 2006 to those collected posteruption and to other falcons breeding along the archipelago. No genotypes found in posteruption samples were identical to genotypes collected from pre-eruption samples. However, genetic analyses suggest that individuals closely related to peregrine falcons occupying pre-eruption Kasatochi returned following the eruption and successfully fledged young; thus, a genetic legacy of pre-eruption falcons was present on posteruption Kasatochi Island. We hypothesize that the rapid reestablishment of peregrine falcons on Kasatochi was likely facilitated by behavioral characteristics of peregrine falcons breeding in the Aleutian Islands, such as year-round residency and breeding site fidelity, the presence of an abundant food source (seabirds), and limited vegetation requirements by seabirds and falcons.

Alaska↗

Potential causes of shedding aggregations in prairie rattlesnakes

Aggregation is common across taxa and typically confers clear benefits to group members (e.g., allo-parenting, group defense, thermoregulation, access to resources). But aggregation can also be costly. The mechanisms that underpin aggregation—and the cues that elicit it—inform our understanding of how animals resolve tradeoffs among selection pressures. Snakes sometimes form conspicuous aggregations associated with hibernation, gestation, or parturition. Aggregation during ecdysis has also been described in some species, but infrequent observations and the synchronicity of ecdysis have confounded attempts to deduce the mechanism(s) responsible for the behavior. We documented aggregation during ecdysis in a population of asynchronously shedding prairie rattlesnakes ( Crotalus viridis ) and tested predictions generated from four hypotheses proposed to explain this behavior. We found that individuals undergoing ecdysis were more likely to aggregate. Our data did not support the hypothesis that rattlesnakes aggregate to improve their thermal efficiency, but we found some support for the reproductive facilitation and thermal landscape hypotheses as possible explanations for aggregation during ecdysis.

Wyoming↗