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At least 685 records · Page 38Linked to original sources

Hydrology of the Yucaipa groundwater subbasin: Characterization and integrated numerical model, San Bernardino and Riverside Counties, California

Executive Summary Water management in the Santa Ana River watershed in San Bernardino and Riverside Counties in southern California is a complex task with various water purveyors navigating geographic, geologic, hydrologic, and political challenges to provide a reliable water supply to stakeholders. As the population has increased throughout southern California, so has the demand for water. The Yucaipa groundwater subbasin (hereafter referred to as “Yucaipa subbasin”), one of nine groundwater subbasins in what the California Department of Water Resources (DWR) refers to as the Upper Santa Ana Valley groundwater basin (California Department of Water Resources, 2016; the DWR naming convention is used within this report), is no exception; steady population growth since the 1940s and changes in water use has forced local water purveyors to regularly adapt their water infrastructure to meet demand. Groundwater has historically been the dominant source of water in the Yucaipa subbasin although recently, imported water via the California State Water Project has augmented the total water supply. Despite the influx of imported water, overall demand for groundwater continues to rise, and there is concern by local water managers that groundwater levels may adversely impact water supply and (or) decline to a point where it will be uneconomical to produce water, severely limiting the ability of local agencies to meet water-supply demand. To better understand the hydrogeology and water resources in the Yucaipa subbasin, the U.S. Geological Survey (USGS) and the San Bernardino Valley Municipal Water District initiated a cooperative study to understand the hydrogeologic system of the Yucaipa subbasin and in the encompassing Yucaipa Valley watershed (YVW). A three-dimensional hydrogeologic framework model was constructed to quantify the structure and extent of hydrogeologic units. Historical and present-day groundwater conditions were characterized to evaluate the groundwater-flow system. Lastly, the Yucaipa Integrated Hydrological Model (YIHM) was developed to simulate the integrated surface-water and groundwater systems, including natural and anthropogenic (that is, human influenced) recharge and discharge throughout the study area from 1947 to 2014. The Yucaipa subbasin is an inland groundwater basin located about 12 miles (mi) southeast of the City of San Bernardino and about 75 mi east of Los Angeles, California. The subbasin encompasses about 39 square miles (mi 2 ), including the City of Yucaipa. The geographic extent of the Yucaipa subbasin was established by the California Department of Water Resources, who defined the boundaries of the subbasin based on hydrogeologic transitions between crystalline rock and basin-fill sediments, active fault strands, surface-water drainage divides, and a portion of an adjudicated groundwater management boundary. Two groundwater subbasins of the Upper Santa Ana Valley groundwater basin are adjacent to the Yucaipa subbasin, the San Bernardino groundwater subbasin to the west and the San Timoteo groundwater subbasin to the south. The Yucaipa subbasin is encompassed by the YVW, which is in turn comprised of three sub-watersheds that represent surface-water flow across and within the Yucaipa subbasin. Although the Yucaipa subbasin is the specific area of interest for this study, the entire YVW was considered for the purposes of characterizing the hydrogeology of the Yucaipa subbasin and for development of the YIHM. The purposes of this report are to (1) describe the hydrologic and hydrogeologic settings of the Yucaipa subbasin and aquifer system, (2) describe the construction and calibration of the fully coupled groundwater and surface-water flow model for the Yucaipa subbasin and the encompassing YVW, referred to as the YIHM, and (3) present numerical results, including water budgets and hydraulic heads, and the effect of pumping and climate stresses (precipitation and temperature) on water-budget components.

California↗

Birds and polycyclic aromatic hydrocarbons

Polycyclic aromatic hydrocarbons (PAH) are present throughout the global environment and are produced naturally and by activities of humans. Effects of PAH on birds have been determined by studies employing egg injection, egg immersion, egg shell application, single and multiple oral doses, subcutaneous injection, and chemical analysis of field-collected eggs and tissue. The four-to six-ring aromatic compounds are the most toxic to embryos, young birds, and adult birds. For embryos, effects include death, developmental abnormalities, and a variety of cellular and biochemical responses. For adult and young birds, effects include reduced egg production and hatching, increased clutch or brood abandonment, reduced growth, increased organweights, and a variety of biochemical responses. Trophic level accumulation is unlikely. Environmental exposure to PAH in areas of high human population or habitats affected by recent petroleum spills might be sufficient to adversely affect reproduction. Evidence of long-term effects of elevated concentrations of environmental PAH on bird populations is very limited and the mechanisms of effect are unclear.

Avian and Poultry Biology Reviews↗

Alaska Landbird Conservation Plan

Alaska is a land of extremes. The diversity of its avifauna reflects the heterogeneity of its landscape, with more than 500 species of birds recorded in the state. Species inhabiting primarily terrestrial habitats, known collectively as landbirds, constitute the largest and most ecologically diverse component of the Alaska avifauna. Habitats used by landbirds range from temperate rainforests in southeastern Alaska to Arctic tundra across much of northern Alaska. Most of these landbird species are migratory, and four major global migration flyways converge on rich breeding areas in Alaska. Alaska has one endemic landbird species, the McKay’s Bunting, and is home to an impressive number of landbird populations for which it hosts a large proportion of the regional, continental, or global population. Thus, Alaska has a significant stewardship responsibility for these particular landbird species and subspecies. Habitats in Alaska remain largely pristine due to the region’s remote nature, vast size, and small human population. Alaska’s growing population and attendant economic development, however, present many challenges that could affect all wildlife, including landbirds. Threats in Alaska are often considered to be less significant than those occurring elsewhere, where habitats are being altered by more rapidly increasing anthropogenic pressures, but they carry far-reaching consequences nonetheless. Habitats and ecosystem dynamics are changing rapidly due to the magnitude of climate warming at high latitudes. As such, effective landbird conservation in Alaska requires a broad, landscape-scale approach. Conservation of landbirds over such an extensive and diverse landscape also demands that we integrate efforts in habitat management, population monitoring, research, education, and outreach at local, regional, continental, and international scales. Information on distribution and habitat requirements of landbirds should be incorporated into land-use planning decisions. Synthesizing information on distribution and population trends of landbirds is a critical, time-sensitive task. Such information should be provided in a form that is readily available to land managers and policy decision-makers. The primary objectives of this plan are to (1) describe the region and Alaska’s landbird avifauna; (2) identify species of concern, important habitats, and key information needs; (3) highlight major conservation issues and threats to landbirds; and (4) identify potential conservation actions. We first examine landbird conservation at the statewide level within broad perspectives (regional, continental, and global), then take a detailed look at the specific issues, information needs, and potential conservation actions within each Bird Conservation Region in Alaska.

Alaska↗

Principles for collaborative risk communication: Reducing landslide losses in Puerto Rico

Landslides are frequent and damaging natural hazards that threaten the people and the natural and built environments of Puerto Rico. In 2017, more than 70,000 landslides were triggered across the island by heavy rainfall from Hurricane María, prompting requests by local professionals for landslide education and outreach materials. This article describes a novel collaborative risk communication framework that was developed to meet those requests and shaped the creation of a Spanish- and English-language Landslide Guide for Residents of Puerto Rico. Collaborative risk communication is defined here as an iterative process guided by a set of principles for the interdisciplinary coproduction of hazards information and communication products by local and external stakeholders. The process that supports this form of risk communication involves mapping out the risk communication stakeholders in the at-risk or disaster-affected location—in this case Puerto Rico—and collaborating over time to address a shared challenge, such as landslide hazards. The approach described in this article involved the formation of a core team of government and university partners that expanded in membership to conduct collaborative work with an informal network of hazards professionals from diverse sectors in Puerto Rico. The following principles guided this process: cultural competence, ethical engagement, listening, inclusive decision making, empathy, convergence research, nested mentoring, adaptability, and reciprocity. This article contributes to the field of risk communication and emergency management by detailing these principles and the associated process in order to motivate collaborative risk communication efforts in different geographic and cultural contexts. While the work described here focuses on addressing landslides, the principles and process are transferable to other natural, technological, and willful human-caused hazards. They may also serve as a roadmap for future partnerships among government agencies and university researchers to inform the cocreation of science education and outreach tools.

Puerto Rico↗

Anthropogenic activities have greatly altered mangroves over the last hundred years

Mangroves not only provide ecosystem and cultural services but also contribute to the mitigation of global warming. Mangrove dynamics and their environmental responses as re-constructed from the past can inform current mangrove conservation and restoration. However, our understanding of mangrove dynamics over the past century and the impact of human activities on these ecosystems remains limited. Using the quantified mangrove-derived organic carbon (MOC) contributions of seven sediment cores, we reconstructed the historical mangrove dynamics in Yingluo Bay and the Maowei Sea in tropical China dating back to 1900. The results indicated that the natural undisturbed mangroves in Yingluo Bay flourished in response to rising temperatures. In contrast, the significantly human-disturbed mangroves in Maowei Sea experienced a marked decline. Although both areas share similar natural conditions, intense anthropogenic disturbance reversed the natural potential for mangrove growth in the Maowei Sea. To explore the global prevalence of this phenomenon, we compiled data on mangrove pollen, δ 13 C org , MOC, and mangrove area change from over 40 sites/regions worldwide, and re-constructed the natural and human-affected mangrove dynamics over the past century. Our findings indicated that, owing to the globally rising temperatures, natural undisturbed mangroves have gradually expanded as progressively more healthy forests, while human-disturbed mangroves exhibited three patterns: (1) continuous degradation, (2) flourishing-degradation, and (3) degradation-regeneration. Anthropogenic activities, such as seawall construction, aquaculture activity, agricultural expansion, logging, and urbanization have significantly reversed the natural health of mangroves such that any conservation and restoration strategy used for mangroves globally could inherently consider anthropogenic factors along with natural environmental change for better outcomes.

Global and Planetary Change↗

Amphibian use of recently created wetlands in the Palouse region of northern Idaho, USA

Human development has resulted in the loss of natural wetlands in many regions and thus has led to amphibian habitat loss. Human-constructed wetlands are increasingly prevalent, particularly in human-modified landscapes, and can be used as breeding habitats by amphibians. It is important to identify factors influencing amphibian use of constructed wetlands to guide future wetland creation efforts. We examined wetland- and landscape-level factors influencing the presence and reproduction of native amphibians in 33 recently created (2–11 yold) wetlands within an urban-agricultural interface in northern Idaho, USA. We recorded wetland age, perimeter vegetation, and percentage of surrounding land cover as covariates and modeled detection and occupancy using Bayesian Multi-scale Occupancy Models for the three species we detected: Sierran Treefrog ( Pseudacris sierra ), Colombia Spotted Frog ( Rana luteiventris ), and Long-Toed Salamander ( Ambystoma macrodactylum ). Our results indicate that these three species can rapidly colonize recently created wetlands in an urban-agricultural interface. The effects of wetland- and landscape-scale features varied across species. Colombia Spotted Frog occupancy was greatest in older wetlands with some evidence for a negative association with more urbanized landscapes. Long Toed Salamanders and Sierran Treefrogs were not associated with wetland age but also showed some evidence of negative associations with urbanization. Long-Toed Salamanders showed evidence of using less vegetated wetlands while Sierran Treefrogs showed evidence of using more vegetated wetlands. Our results are consistent with multiple studies showing that wetlands in human-modified landscapes can provide amphibian breeding habitat, and they suggest that including vegetation plantings within recently created wetlands may promote amphibian colonization. Anecdotal observations also indicate that designing wetlands with sufficient hydroperiod for metamorphoses may be important for ensuring that newly created wetlands benefit amphibian populations.

Idaho↗

Southern sea otter range expansion and habitat use in the Santa Barbara Channel, California

The re-colonization of the Santa Barbara channel by sea otters brings these ESA-listed marine mammals closer to active oil and gas production facilities, shipping lanes and naturally occurring oil and gas seeps. However, the degree to which sea otters may actually be affected by human-caused oil spills or exposure to natural oil seeps is currently unknown. Between 2012 and 2014, the U.S. Geological Survey and collaborating agencies conducted a telemetry-based study of sea otters in Santa Barbara channel, in order to provide critical information for resource managers (specifically the Bureau of Ocean Energy Management, henceforth BOEM, and the U.S. Fish and Wildlife Service, henceforth USFWS) about the spatial ecology, population status, and potential population threats to sea otters in Santa Barbara Channel, with particular reference to exposure to manmade structures and sources of oil and natural gas. Analysis of spatial monitoring data using a Bayesian-based synoptic model allowed for description of sea otter home ranges, identification of hot-spots of use, and insights into habitat selection behavior by male and female sea otters. Important findings included the deeper modal depth preferred by males versus females, strong preferences by both sexes for areas with persistent kelp canopy, and greater use of soft-sediment areas by males. The synoptic model also provided the ability to predict population-level density distribution for each sex in new habitats: by calculating the value of these probability density distributions at the known locations of natural seeps, we were able to identify those seeps with higher potential for sea otter encounters. The relative probability of occurrence at locations near to some seeps was sufficiently high (about 1% likelihood of occurrence for some of our study animals) that one would anticipate occasional encounters. Data on male and female survival, reproductive success, activity budgets, and body condition all indicated that sea otters in Santa Barbara Channel are not resource limited, and thus we would expect to see continued strong population growth in this area. However, the principal cause of death for study animals was lethal bites by white sharks, suggesting that shark bite mortality represents the single biggest threat to continued population growth in the Santa Barbara Channel.

California↗

Relations between hydrology, water quality, and taste-and-odor causing organisms and compounds in Lake Houston, Texas, April 2006-September 2008

Lake Houston is a surface-water-supply reservoir and an important recreational resource for the city of Houston, Texas. Growing concerns over water quality in Lake Houston prompted a detailed assessment of water quality in the reservoir. The assessment focused on water-quality constituents that affect the aesthetic quality of drinking water. The hydrologic and water-quality conditions influencing the occurrence of taste-and-odor causing organisms and compounds in Lake Houston were assessed using discrete and continuously monitored water-quality data collected during April 2006– September 2008. The hydrology of Lake Houston is characterized by rapidly changing conditions. During inflow events, water residence time can change by orders of magnitude within a matter of hours. Likewise, the reservoir can stratify and destratify over a period of several hours, even during non-summer and at relatively short water residence times, given extended periods with warm temperatures and little wind. The rapidly changing hydrology likely influences all other aspects of water quality in Lake Houston, including the occurrence of taste-and-odor causing organisms and compounds. Water quality in Lake Houston varied with respect to season and water residence time but typically was indicative of turbid, eutrophic to hypereutrophic conditions. In general, turbidity and nutrient concentrations were largest during non-summer (October–May) and when water residence times were relatively short (less than 100 days), which reflects the influence of inflow events on water-quality conditions. Large inflow events can cause substantial changes in water-quality conditions over relatively short periods of time (hours). The taste-and-odor causing organisms cyanobacteria and actinomycetes bacteria were always present in Lake Houston. Cyanobacterial biovolume was largest during summer (June– September) and when water residence time was greater than 100 days. Annual maxima in cyanobacterial biovolume occurred during July-September of each year, when temperatures were larger than 27 degrees Celsius and water residence times were longer than 400 days. In contrast, actinomycetes bacteria were most abundant during non-summer and when water residence times were less than 100 days, reflecting the close association between these organisms and transport of suspended sediments. Geosmin and 2-methylisoborneol are the taste-and-odor causing compounds most commonly produced by cyanobacteria and actinomycetes bacteria. Geosmin was detected more frequently (62 percent of samples) than 2-methylisoborneol (29 percent of samples) in Lake Houston. Geosmin exceeded the human detection threshold (10 nanograms per liter) only once during the study period and 2-methylisoborneol exceeded the human detection threshold twice. Manganese is a naturally occurring trace element that can occasionally cause taste-andodor problems in drinking water. Manganese concentrations exceeded the human detection threshold (about 50 micrograms per liter) in about 50 percent of samples collected near the surface and 84 percent of samples collected near the bottom. The cyanotoxin microcystin was detected relatively infrequently (16 percent of samples) and at small concentrations (less than or equal to 0.2 micrograms per liter). The abundance of the taste-and-odor causing organisms cyanobacteria and actinomycetes bacteria in Lake Houston was coupled with inflow events and subsequent changes in water-quality conditions. Cyanobacterial biovolume (biomass) in Lake Houston was largest during warm periods with little inflow and relatively small turbidity values. In contrast, actinomycetes bacteria were most abundant following inflow events when turbidity was relatively large. Severe taste-and-odor problems were not observed during the study period, precluding quantification of the hydrologic and water-quality conditions associated with large concentrations of taste-and-odor causing compounds and development of predictive models. Reservoir inflow (water residence time) and turbidity, variables related to the abundance of potential taste-andodor causing organisms, are currently (2011) continuously measured in Lake Houston, and predictive models could be developed in the future when the hydrologic and water-quality conditions associated with taste-and-odor problems have been better quantified. Seasonal and water residence time influences on water-quality conditions altered relations between hydrologic and water-quality conditions and taste-and-odor causing organisms and compounds. Future data collection and development of predictive models need to account for the variability associated with season and water residence time.

Texas↗

Neither microcystin, nor nodularin, nor cylindrospermopsin directly interact with human toll-like receptors

Various stressors including temperature, environmental chemicals, and toxins can have profound impacts on immunity to pathogens. Increased eutrophication near rivers and lakes coupled with climate change are predicted to lead to increased algal blooms. Currently, the effects of cyanobacterial toxins on disease resistance in mammals is a largely unexplored area of research. Recent studies have suggested that freshwater cyanotoxins can elicit immunomodulation through interaction with specific components of innate immunity, thus potentially altering disease susceptibility parameters for fish, wildlife, and human health owing to the conserved nature of the vertebrate immune system. In this study, we investigated the effects of three microcystin congeners (LR, LA, and RR), nodularin-R, and cylindrospermopsin for their ability to directly interact with nine different human Toll-like receptors (TLRs)—key pathogen recognition receptors for innate immunity. Toxin concentrations were verified by LC/MS/MS prior to use. Using an established HEK293-hTLR NF-κB reporter assay, we concluded that none of the tested toxins (29–90 nM final concentration) directly interacted with human TLRs in either an agonistic or antagonistic manner. These results suggest that earlier reports of cyanotoxin-induced NF-κB responses likely occur through different surface receptors to mediate inflammation.

Chemosphere↗

W(h)ither the Oracle? Cognitive biases and other human challenges of integrated environmental modeling

Integrated environmental modeling (IEM) can organize and increase our knowledge of the complex, dynamic ecosystems that house our natural resources and control the quality of our environments. Human behavior, however, must be taken into account. Human biases/heuristics reflect adaptation over our evolutionary past to frequently experienced situations that affected our survival and that provided sharply distinguished feedbacks at the level of the individual. Unfortunately, human behavior is not adapted to the more diffusely experienced, less frequently encountered, problems and issues that IEM typically seeks to address in the simulation of natural resources and environments. While seeking inspiration from the prophetic traditions of the Oracle of Delphi, several human biases are identified that may affect how the science base of IEM is assembled, and how IEM results are interpreted and used. These biases are supported by personal observations, and by the findings of behavioral scientists. A process for critical analysis is proposed that solicits explicit accounting and cognizance of potential human biases. A number of suggestions are made to address the human challenges of IEM, in addition to maintaining attitudes of watchful humility, open-mindedness, honesty, and transparent accountability. These include creating a new area of study in the behavioral biogeosciences, using structured processes for engaging the modeling and stakeholder community in IEM, and using “red teams” to increase resilience of IEM constructs and use.

Conference Paper↗

Guiding concepts for park and wilderness stewardship in an era of global environmental change

The major challenge to stewardship of protected areas is to decide where, when, and how to intervene in physical and biological processes, to conserve what we value in these places. To make such decisions, planners and managers must articulate more clearly the purposes of parks, what is valued, and what needs to be sustained. A key aim for conservation today is the maintenance and restoration of biodiversity, but a broader range of values are also likely to be considered important, including ecological integrity, resilience, historical fidelity (ie the ecosystem appears and functions much as it did in the past), and autonomy of nature. Until recently, the concept of “naturalness” was the guiding principle when making conservation‐related decisions in park and wilderness ecosystems. However, this concept is multifaceted and often means different things to different people, including notions of historical fidelity and autonomy from human influence. Achieving the goal of nature conservation intended for such areas requires a clear articulation of management objectives, which must be geared to the realities of the rapid environmental changes currently underway. We advocate a pluralistic approach that incorporates a suite of guiding principles, including historical fidelity, autonomy of nature, ecological integrity, and resilience, as well as managing with humility. The relative importance of these guiding principles will vary, depending on management goals and ecological conditions.

Frontiers in Ecology and the Environment↗

Understanding nutrients in the Chesapeake Bay watershed and implications for management and restoration: The Eastern Shore

The Eastern Shore includes only a small part of the Chesapeake Bay watershed, but contributes disproportionately large loads of the excess nitrogen and phosphorus that have contributed to ecological and economic degradation of the bay in recent decades. Chesapeake Bay is the largest estuary in the United States and a vital ecological and economic resource. The bay and its tributaries have been degraded in recent decades by excessive nitrogen and phosphorus in the water column, however, which cause harmful algal blooms and decreased water clarity, submerged aquatic vegetation, and dissolved oxygen. The disproportionately large nitrogen and phosphorus yields from the Eastern Shore to Chesapeake Bay are attributable to human land-use practices as well as natural hydrogeologic and soil conditions. Applications of nitrogen and phosphorus compounds to the Eastern Shore from human activities are intensive. More than 90 percent of nitrogen and phosphorus reaching the land in the Eastern Shore is applied as part of inorganic fertilizers or manure, or (for nitrogen) fixed directly from the atmosphere in cropland. Also, hydrogeologic and soil conditions promote the movement of these compounds from application areas on the landscape to groundwater and (or) surface waters, and the proximity of much of the Eastern Shore to tidal waters limits opportunities for natural removal of these compounds in the landscape. The Eastern Shore only includes 7 percent of the Chesapeake Bay watershed, but receives nearly twice as much nitrogen and phosphorus applications (per area) as the remainder of the watershed and yields greater nitrogen and phosphorus, on average, to the bay. Nitrogen and phosphorus commonly occur in streams at concentrations that may adversely affect aquatic ecosystems and have increased in recent decades.

Delaware, Maryland, New York, Pennylvania, Virgini↗

Effects of human activity on brown bear use of the Kulik River, Alaska

I systematically observed brown bear ( Ursus arctos ) and human activity on a sockeye salmon ( Oncorhynchus nerka ) stream in Katmai National Park during fall 1993 and 1995. More than 700 hours of observations were used to determine the temporal and spatial use patterns by people and bears as well as the frequency, nature, and outcome of bear-human interactions. Bears altered their temporal and spatial use of the river to accommodate human activity, seeking times and places where human use was lowest. Bear-human interactions were primarily the result of people venturing into areas of concentrated bear activity, rather than bears entering areas heavily used by people. Approximately one-fourth of bears involved in bear-human interactions left the river, not to return for several hours. Bears acted differently in river zones dominated by people than in zones dominated by bears in that they spent less time on the river, less time resting, and more time moving about in human-dominated zones. The data suggest that as long as there are areas where bears can avoid human activity, they will seek them to gain access to salmon. If, however, human use of the river continues to increase as it has the past decade, the day may come when there will be no more room for bears.

Alaska↗

What makes a natural clay antibacterial?

Natural clays have been used in ancient and modern medicine, but the mechanism(s) that make certain clays lethal against bacterial pathogens has not been identified. We have compared the depositional environments, mineralogies, and chemistries of clays that exhibit antibacterial effects on a broad spectrum of human pathogens including antibiotic resistant strains. Natural antibacterial clays contain nanoscale (<200 nm), illite-smectite and reduced iron phases. The role of clay minerals in the bactericidal process is to buffer the aqueous pH and oxidation state to conditions that promote Fe 2+ solubility. Chemical analyses of E. coli killed by aqueous leachates of an antibacterial clay show that intracellular concentrations of Fe and P are elevated relative to controls. Phosphorus uptake by the cells supports a regulatory role of polyphosphate or phospholipids in controlling Fe 2+ . Fenton reaction products can degrade critical cell components, but we deduce that extracellular processes do not cause cell death. Rather, Fe 2+ overwhelms outer membrane regulatory proteins and is oxidized when it enters the cell, precipitating Fe 3+ and producing lethal hydroxyl radicals.

Environmental Science & Technology↗

The Navajo country: A geographic and hydrographic reconnaissance of parts of Arizona, New Mexico, and Utah

To my mind the period of direct contact with nature is the true "heroic age" of human history, an age in which heroic accomplishment and heroic endurance are parts of the daily routine. The activities of people on this stage of progress deserve a place among the cherished traditions of the human race. I believe also that the sanest missionary effort includes an endeavor to assist the uncivilized man in his adjustment to natural laws. With these ideas in mind the opportunity to conduct exploratory work in the Navajo country appealed to me with peculiar force. Within this little-known region are the remnants of an almost extinct race whose long occupation of the country is recorded in ruined dwellings and abandoned fields. This country is also the home of the vigorous and promising Navajos - a tribe in remarkably close adjustment to their physical surroundings. To improve the condition of this long-neglected but capable race, to render their life more intelligently wholesome by applying scientific knowledge, gives pleasure in no degree less than that obtained by the study of the interesting geologic problems which this country affords.

Arizona, New Mexico, Utah↗

Using the risk-disturbance hypothesis to assess the relative effects of human disturbance and predation risk on foraging American Oystercatchers

The risk-disturbance hypothesis asserts that animals perceive human disturbance similar to nonlethal predation stimuli, and exhibit comparable responses in the form of optimization tradeoffs. However, few studies have examined how natural predation risk factors interact with human-disturbance stimuli to elicit such responses. We observed American Oystercatcher ( Haematopus palliatus ) vigilance behavior from September–December 2002 on the Cape Romain National Wildlife Refuge, South Carolina. A set of models was constructed based on 340 focal-animal samples and models revealed relationships between vigilance behavior, predator density, and boat activity. Oystercatchers increased vigilance in response to aerial predators, particularly late in the season when predator species composition was dominated by Northern Harriers ( Circus cyaneus ). At a broader temporal scale, oystercatchers exhibited the highest vigilance rates during simultaneous peaks in boating disturbance and Osprey ( Pandion haliaetus ) activity. Due to this temporal overlap of stimuli, it is difficult to interpret what may have been driving the observed increased in vigilance. Foraging rates appeared to be primarily driven by habitat and tidal stage indicating that time lost to vigilance did not effectively reduce intake. Taken together, these findings provide some support for the risk-disturbance hypothesis, underscore the sensitivity of disturbance studies to temporal scale, and draw attention to the potential confounding effects of natural predation risk.

South Carolina↗

Tooth wear and the apparent consumption of human foods among American black bears (Ursus americanus) in Great Smoky Mountains National Park, USA

Stable isotope analyses of hair have been used to estimate the consumption of human foods by American black bears ( Ursus americanus ). Consumption of human foods influences body mass and reproductive success of bears. However, the underlying factors that cause some bears to become conflict bears and resort to consuming human foods as a portion of their diet are not fully understood. We collected hair samples for stable isotope analysis from 51 black bears in Great Smoky Mountains National Park, Tennessee, USA in 2006. We used δ 13 C values of hairs to determine if the bears were consuming C 3 -based (natural foods) or C 4 -based (human foods) diets, and δ 15 N values, which increase with more meat in the diet, as a further indication of the consumption of human foods. Male bears with the heaviest tooth wear had a combination of higher δ 15 N and δ 13 C values, suggesting that they consume human foods to a greater extent than do other black bears. Based on our results, we hypothesize that tooth wear, and thus dental health, may play a role in the consumption of human foods by larger, male bears.

Tennessee↗

From causes of conflict to solutions: Shifting the lens on human–carnivore coexistence research

Human-carnivore conflicts pose significant challenges in the management and conservation of carnivores across the globe. Abundant research has led to generalizable insights into the causes of such conflicts. For example, conflicts predictably occur when carnivores have access to human food resources, particularly when their natural foods are scarce. However, similar insights into the effectiveness of interventions aimed at coexistence remains comparatively scarce. We hypothesized that this disparity might be reflected in a bias toward research focused on causes of conflict rather than interventions to address it. To test our hypothesis, we evaluated the content of studies on human–carnivore conflicts and coexistence in Canada and the United States from 2010 to 2021. We found that studies disproportionately focused on causes of conflict, with that discrepancy increasing through our study period. We also found a disproportionate focus on black bears and wolves and western jurisdictions, and a disproportionate use of observational (vs. experimental) approaches. Studies on conflict interventions were primarily directed at the carnivores themselves (e.g., lethal approaches) versus human elements (e.g., attractant management, policies), despite evidence that the latter are more effective. We expect that a shift in focus toward solutions-oriented research, integrating insights across geographies, taxa, social contexts, and disciplines, would facilitate effective interventions and foster coexistence, improving outcomes for people and carnivores alike.

Conservation Science and Practice↗