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At least 685 records · Page 38Linked to original sources

Range-wide genetic analysis of an endangered bumble bee (Bombus affinis, Hymenoptera: Apidae) reveals population structure, isolation by distance, and low colony abundance

Declines in bumble bee species range and abundances are documented across multiple continents and have prompted the need for research to aid species recovery and conservation. The rusty patched bumble bee ( Bombus affinis ) is the first federally listed bumble bee species in North America. We conducted a range-wide population genetics study of B. affinis from across all extant conservation units to inform conservation efforts. To understand the species’ vulnerability and help establish recovery targets, we examined population structure, patterns of genetic diversity, and population differentiation. Additionally, we conducted a site-level analysis of colony abundance to inform prioritizing areas for conservation, translocation, and other recovery actions. We find substantial evidence of population structuring along an east-to-west gradient. Putative populations show evidence of isolation by distance, high inbreeding coefficients, and a range-wide male diploidy rate of ~15%. Our results suggest the Appalachians represent a genetically distinct cluster with high levels of private alleles and substantial differentiation from the rest of the extant range. Site-level analyses suggest low colony abundance estimates for B. affinis compared to similar datasets of stable, co-occurring species. These results lend genetic support to trends from observational studies, suggesting that B. affinis has undergone a recent decline and exhibit substantial spatial structure. The low colony abundances observed here suggest caution in overinterpreting the stability of populations even where B. affinis is reliably detected interannually. These results help delineate informed management units, provide context for the potential risks of translocation programs, and help set clear recovery targets for this and other threatened bumble bee species.

Iowa, Illinois, Indiana, Kentucky, Michigan, Minne↗

ShakeAlert®—Communication, education, outreach and technical engagement strategic vision

Executive Summary In 2006, the U.S. Geological Survey (USGS) began directly supporting ShakeAlert ® research and in 2012 the ShakeAlert demonstration system began testing ( Given and others, 2018 ). The ShakeAlert earthquake early warning (EEW) system is a partnership between the U.S. Geological Survey (USGS) and the three West Coast States (Washington, Oregon, and California) served by the ShakeAlert System, which is part of the larger Advanced National Seismic System (ANSS). With more than 143 million people exposed to potentially damaging shaking in the United States ( Jaiswal and others, 2015 ), earthquakes are a national hazard. Most of our Nation’s earthquake risk is concentrated in the highly populated areas on the active plate tectonic boundaries on the West Coast of the conterminous United States. ShakeAlert is the first public alert system in the United States to provide rapid mass notification of earthquake detection, potentially offering seconds of warning before strong shaking arrives. A few seconds may not seem like much time, but the information in ShakeAlert Messages can be used to trigger automated actions that can prevent injury or death, reduce immediate damage, and speed recovery from earthquakes. The information product issued by the ShakeAlert system is called a ShakeAlert Message and is one of the information products and tools of the ANSS. The ShakeAlert System includes the USGS component, plus the pathways by which ShakeAlert-powered products and (or) services are delivered to end users. Alerts can be delivered to cell phones or be used to trigger automated systems to protect equipment, facilities, and infrastructure, such as slowing or stopping a train. ShakeAlert-powered automated actions can include fire house doors that can be opened to prevent jamming, heavy equipment (for example, trains, elevators, and cranes) that can be automatically stopped or parked in safe positions, and pipeline valves that can be closed to prevent surges and spills. A few seconds of warning also may be sufficient for people to take protective actions, such as drop, cover, and hold on or modified protective actions for a broad range of populations. Advance training may increase the benefit of a speedy response to an alert. Outreach and education about EEW may raise awareness of the overall earthquake threat and how people can best react when they receive an alert or feel shaking. ShakeAlert communication, education, outreach, and technical engagement (CEO&TE) efforts are highly collaborative and essential for the success of the ShakeAlert System. This strategic vision informs how the vast ShakeAlert CEO&TE Community operates and works together. The CEO&TE Community delineates a strategic framework that is intended to set the path for a long-term, sustainable approach to CEO&TE through three focus areas and five priorities. Focus Areas Technical engagement.— The objective of this focus area is to expand and broaden ShakeAlert technical engagement and implementation. External engagement.— This focus area targets engagement in long-term communication, education, and outreach planning, implementation, and evaluation. Internal engagement.— The purpose of this focus area is to build and sustain a robust infrastructure to optimize collaboration, information sharing, and project planning among the community of stakeholders charged with implementing ShakeAlert CEO&TE. Priorities The enumeration of the five priorities listed below does not suggest priority ranking. Public safety, preparedness, and resilience; Technical implementation and engagement; Consistent messaging and communication; Integration with other Federal and State earthquake hazards products; and Educational resources development and dissemination. This strategic vision is a tangible outcome of collaboration among many stakeholders beginning in July 2016. Since then, the work of the ShakeAlert CEO&TE Community has grown into an international effort. The USGS has developed, tested, and implemented a broad spectrum of communication, education, and outreach tools and resources—all of which recognize that seconds matter when it comes to safety and mitigating harm from earthquake hazards. The CEO&TE social science research effort has provided invaluable insights into the ShakeAlert System’s human interface. USGS-licensed technical partners develop, test, and implement real-world applications using ShakeAlert Messages. The success of ShakeAlert CEO&TE efforts is predicated on robust collaboration across numerous agencies, organizations, and groups. As such, this strategic vision outlines a “partnership model” that delineates roles and responsibilities to ensure alignment with focus areas and priorities. The partnership model includes the CEO&TE lead agency (USGS); its principal partners (State agencies and university partners); its implementation partners (for example, technical partners who build systems to deliver ShakeAlert-powered products and (or) services [focus area one]), earthquake education partners who work to increase public preparedness for seismic events (focus area two); and other organizations that work together to enhance the adoption and effectiveness of the ShakeAlert System. These partners collaborate and convene through a variety of working groups and forums, which are also described in this strategic vision and align with focus area three (internal engagement). The CEO&TE Community collaboratively developed its operating principles and a consensus-based, decision-making strategic framework to guide its collective work. Performance metrics are used to continually measure success. Ultimately, the USGS and ShakeAlert CEO&TE Community are advancing the ShakeAlert System that as of the publication of this strategic vision to “provide earthquake early warning for all” serves more than 50 million people.

Circular↗

Carbon sequestration and subsidence reversal in the Sacramento-San Joaquin Delta and Suisun Bay: Management opportunities for climate mitigation and adaptation

The aquatic landscapes of the Sacramento–San Joaquin Delta (hereafter, the Delta) and Suisun Bay represent both a significant past and future soil carbon stock. Historical alterations of hydrologic flows have led to depletion of soil carbon stocks via emissions of carbon dioxide (CO2), and loss of elevation as a result of subsidence. Optimizing ecosystem hydrology in the Delta and Suisun Bay could both reduce and reverse subsidence while also providing significant opportunities for climate mitigation and adaptation. Emissions of greenhouse gases (GHGs)—notably CO2, methane (CH4 ), and nitrous oxide (N2O)—contribute to global warming at different rates and intensities, requiring GHG accounting and modeling to assess the relative benefits of management options. Decades of data collection, model building, and map development suggest that past and current management actions have both caused—and can mitigate—losses of soil carbon. We review here the magnitude of potential GHG offsets, management options that may be achievable, and trade-offs of carbon storage under different land management. Using a land-use/land-cover framework to assess these management options, we describe the potential of three interventions (impoundment to reverse subsidence, agricultural management, and tidal reintroduction and/or maintained connectivity), both in acreage and radiative balance to clarify their relative influence on the region’s GHG balance today and in relation to its millennial history. From floodplains to farming to floating aquatic vegetation, we find specific scalable strategies to manage hydrology that can alter regional GHG balance. Preservation of soil carbon stocks and restoration of net atmospheric CO2 fluxes into soils are the primary route to net negative emissions in the Delta and Suisun Bay, with CH4 emission management occurring in a supporting role. Over a 40-year horizon of climate-mitigation markets, the resilience of different aquatic habitats introduces the most uncertainty, from expected and unexpected hydrologic changes associated with land, ocean, and operational water flows.

California↗

Financing agricultural drought risk through ex-ante cash transfers

Despite advances in drought early warning systems, forecast information is rarely used for triggering and financing early actions, such as cash transfer. Scaling up cash transfer pay-outs , and overcoming the barriers to actions based on forecasts, requires an understanding of costs resulting from False Alarms, and the potential benefits associated with appropriate early interventions. On this study, we evaluate the potential cost-effectiveness of cash transfer responses, comparing the relative costs of ex-ante cash transfers during the maize growing season to ex-post cash transfers after harvesting in Kenya. For that, we developed a forecast model using Fast-and Frugal Trees that unravels early warning relationships between climate variability, vegetation coverage, and maize yields at multiple lead times. Results indicate that our models correctly forecast low maize yield events 85% of the time across the districts studied, some already six months before harvesting. The models’ performance improves towards the end of the growing season driven by a decrease of 39% in the probability of False Alarms. Overall, we show that timely cash transfers ex-ante to a disaster can often be more cost-effective than investing in ex-post expenditures. Our findings suggest that early response can yield significant cost savings, and can potentially increase the effectiveness of existing cash transfer systems.

Science of the Total Environment↗

Exposure, sensitivity, or adaptive capacity? Reviewing assessments that use only two of three elements of climate change vulnerability

As climate change accelerates, understanding which species are most vulnerable and why they are vulnerable will be vital to inform conservation action. Climate change vulnerability assessments (CCVAs) are tools to assess species' responses to climate change, detect drivers of vulnerability, and inform conservation planning. CCVAs are commonly composed of three elements: exposure, sensitivity, and adaptive capacity. Incorporating all three elements can be challenging, and including only two of the three elements may be a more feasible approach in many systems. Although two-element CCVA approaches have become more common, their utility and procedures remain poorly documented. We conducted a literature review to explore the scope, methods, and rationale of CCVAs that use a two-element approach to assess vertebrate vulnerability. Despite the potential to expand CCVAs into understudied systems, two-element assessments had similar geographic and taxonomic biases as those previously detected in CCVAs in general. Methods varied, yet we found that variables used in two-element studies could be condensed into standardized categories to enhance comparability. Finally, limitations in data availability and computational resources were common rationales for using a two-element approach. By clarifying the purposes, opportunities, and limitations of two-element assessment, this review can aid in selecting appropriate methods for CCVAs.

Conservation Science and Practice↗

Freshwater neurotoxins and concerns for human, animal, and ecosystemhealth: A review of anatoxin-a and saxitoxin

Toxic cyanobacteria are a concern worldwide because they can adversely affect humans, animals, and ecosystems. However, neurotoxins produced by freshwater cyanobacteria are understudied relative to microcystin. Thus, the objective of this critical review was to provide a comprehensive examination of the modes of action, production, fate, and occurrence of the freshwater neurotoxins anatoxin-a and saxitoxin as they relate to human, animal, and ecosystem health. Literature on freshwater anatoxin-a and saxitoxin was obtained and reviewed for both laboratory and field studies. Current (2020) research identifies as many as 41 anatoxin-a producing species and 15 saxitoxin-producing species of freshwater cyanobacteria. Field studies indicate that anatoxin-a and saxitoxin have widespread distribution, and examples are given from every continent except Antarctica. Human and animal health concerns can range from acute to chronic. However, few researchers studied chronic or sublethal effects of freshwater exposures to anatoxin-a or saxitoxin. Ecosystemhealth also is a concern, as the effects of toxicity may be far reaching and include consequences throughout the food web. Several gaps in knowledgewere identified for anatoxin-a and saxitoxin, including triggers of production and release, environmental fate and degradation, primary and secondary exposure routes, diel variation, food web effects, effects of cyanotoxin mixtures, and sublethal health effects on individual organisms and populations. Despite the gaps, this critical review facilitates our current understanding of freshwater neurotoxins and thus can serve to guide future research on anatoxin-a, saxitoxin, and other cyanotoxins.

Science of the Total Environment↗

Decadal-scale export of nitrogen, phosphorus, and sediment from the Susquehanna River basin, USA: Analysis and synthesis of temporal and spatial patterns

The export of nitrogen (N), phosphorus (P), and suspended sediment (SS) is a long-standing management concern for the Chesapeake Bay watershed, USA. Here we present a comprehensive evaluation of nutrient and sediment loads over the last three decades at multiple locations in the Susquehanna River basin (SRB), Chesapeake's largest tributary watershed. Sediment and nutrient riverine loadings, including both dissolved and particulate fractions, have generally declined at all sites upstream of Conowingo Dam (non-tidal SRB outlet). Period-of-record declines in riverine yield are generally smaller than those in source input, suggesting the possibility of legacy contributions. Consistent with other watershed studies, these results reinforce the importance of considering lag time between the implementation of management actions and achievement of river quality improvement. Whereas flow-normalized loadings for particulate species have increased recently below Conowingo Reservoir, those for upstream sites have declined, thus substantiating conclusions from prior studies about decreased reservoir trapping efficiency. In regard to streamflow effects, statistically significant log-linear relationships between annual streamflow and annual constituent load suggest the dominance of hydrological control on the inter-annual variability of constituent export. Concentration-discharge relationships revealed general chemostasis and mobilization effects for dissolved and particulate species, respectively, both suggesting transport-limitation conditions. In addition to affecting annual export rates, streamflow has also modulated the relative importance of dissolved and particulate fractions, as reflected by its negative correlations with dissolved P/total P, dissolved N/total N, particulate P/SS, and total N/total P ratios. For land-use effects, period-of-record median annual yields of N, P, and SS all correlate positively with the area fraction of non-forested land but negatively with that of forested land under all hydrological conditions. Overall, this work has informed understanding with respect to four major factors affecting constituent export ( i.e. , source input, reservoir modulation, streamflow, and land use) and demonstrated the value of long-term river monitoring.

Maryland, New York, Pennsylvania↗

Implementing landscape connectivity with topographic filtering model: A simulation of suspended sediment delivery in an agricultural watershed

The widespread availability of high-fidelity topography combined with advances in geospatial analysis offer the opportunity to reimagine approaches to the difficult problem of predicting sediment delivery from watersheds. Here we present a model that uses high-resolution topography to filter sediment sources to quantify sediment delivery to the watershed outlet. It is a reduced-complexity, top-down model that defines transfer functions—topographic filters—between spatially distributed sediment sources and spatially integrated sediment delivery. The goal of the model is to forecast changes in watershed suspended sediment delivery in response to spatially distributed changes in sediment source magnitude or delivery, whether a result of watershed drivers or intentional management actions. Such an application requires the context of a watershed model that accounts for all sediment sources, enforces sediment mass balance throughout the spatial domain, and accommodates sediment storage and delivery over time. The model is developed for a HUC-8 watershed with a flat upland dominated by corn-soybean agriculture and deeply incised valleys near the watershed outlet with large sediment contributions from near-channel sources. Topofilter computes delivery and storage of field-derived sediment according to its spatial and structural connectivity to the stream channel network; subsequently, delivery of both field- and near-channel-derived sediment along with floodplain storage are computed in the stream channel network to the watershed outlet. The model outputs provide a spatially rich representation of sediment delivery and storage on field and along the stream that is consistent with available independent information on sediment accumulations and fluxes. Rather than a single best-calibrated solution, Topofilter uses the Generalized Likelihood Uncertainty Estimate (GLUE) approach to develop many possible solutions with sediment delivery rates expressed as probability distributions across the watershed. The ensemble of simulation outputs provides a useful basis for estimating uncertainty in sediment delivery and the effectiveness of different landscape management allocation across a watershed.

Minnesota↗

Trihalomethane precursors: Land use hot spots, persistence during transport, and management options

To meet drinking water regulations, rather than investing in costly treatment plant operations, managers can look for ways to improve source water quality; this requires understanding watershed sources and fates of constituents of concern. Trihalomethanes (THMs) are one of the major classes of regulated disinfection byproducts, formed when a specific fraction of the organic carbon pool—referred to as THM precursors—reacts with chorine and/or bromine during treatment. Understanding the source, fate, timing and duration of the organic compounds that react to form THMs will allow identification of targeted and effective management actions. In this study we evaluated THM precursor contributions from multiple land use categories and hydrologic contexts, including novel data for urban land uses that demonstrate strong potential to release water with high THM formation potential (THMFP; median 618 μg L −1 ): greater than storm runoff integrated across a mixed-use (1/3 natural, 2/3 agricultural) watershed (median 460 μg L −1 ), irrigation runoff from agricultural systems (357 μg L −1 ), or runoff from a natural forested (median 123 μg L −1 ) and shrubland/grassland (median 259 μg L −1 ) watersheds. While individual storm events released high THM precursor concentrations over short periods, dry season agricultural irrigation as well as urban landscapes have the potential to release water high in THM precursors for several months. Experimental bioassays and sampling along 333 miles of the California Aqueduct confirmed bioavailability and photooxidation potential of less than 10% for THM precursors, suggesting that rivers with residence times of days to weeks may act as THM precursor conduits, shuttling THM precursors from hundreds of miles away to drinking water intakes with minimal degradation. This finding has considerable implications for water managers, who may therefore consider THM precursor management strategies that target even sources located far upstream.

California↗

A meta-analysis of mercury biomagnification in freshwater predatory invertebrates: Community diversity and dietary exposure drive variability

Accurate estimates of methylmercury (MeHg) exposure are valuable to actionably assess risk and protect wildlife and human health. MeHg trophic transfer is a critical driver of risk: MeHg is generally biomagnified by a factor of 8.3 ± 7.5 from one trophic level to the next, averaged across freshwater communities (mean ± standard deviation). This variability can produce disparate risks even where basal MeHg concentrations are similar. Taxonomy may be one driver of this variability: physiologically diverse groups, like vertebrates and invertebrates, may assimilate MeHg differently. To determine whether taxonomy affects trophic transfer efficiency, we conducted a meta-analysis characterizing predatory invertebrate MeHg biomagnification. Our analyses estimated that freshwater predatory invertebrates biomagnify MeHg by factors of 2.1 ± 0.2 to 4.3 ± 0.3, with a 98.9 ± 0.4% posterior probability that factors are below 5 (mean ± standard error). When vertebrates or primary producers were included, a site’s trophic magnification factor was 18.6 ± 6.2 to 54.1 ± 7.7% higher than estimates for invertebrates alone. Biomagnification was inversely correlated to prey MeHg concentration and varied among systematic and functional groups. These data suggest that predatory invertebrates biomagnify MeHg less efficiently than vertebrates and that a community’s diversity and structure determine its biomagnification efficiency. Incorporating organismal variation in trophic transfer estimates may improve the assessment, communication, and management of MeHg risk.

Environmental Science & Technology↗

Variation in species composition, size and fitness of two multi-species sea turtle assemblages using different neritic habitats

The neritic environment is rich in resources and as such plays a crucial role as foraging habitat for multi-species marine assemblages, including sea turtles. However, this habitat also experiences a wide array of anthropogenic threats. To prioritize conservation funds, targeting areas that support multi-species assemblages is ideal. This is particularly important in the Gulf of Mexico where restoration actions are currently ongoing following the Deepwater Horizon oil spill. To better understand these areas in the Gulf of Mexico, we characterized two multi-species aggregations of sea turtles captured in different neritic habitats. We described species composition and size classes of turtles, and calculated body condition index for 642 individuals of three species captured from 2011 to 2019: 13.6% loggerheads (Caretta caretta), 44.9% Kemp’s ridleys (Lepidochelys kempii) and 41.4% green turtles (Chelonia mydas). Species composition differed between the two sites with more loggerheads captured in seagrass and a greater proportion of green turtles captured in sand bottom. Turtles in sand bottom were smaller and weighed less than those captured in seagrass. Although small and large turtles were captured at both sites, the proportions differed between sites. Body condition index of green turtles was lower in sand habitat than seagrass habitat; there was no difference for Kemp’s ridleys or loggerheads. In general, smaller green turtles had a higher body condition index than larger green turtles. We have identified another habitat type used by juvenile sea turtle species in the northern Gulf of Mexico. In addition, we highlight the importance of habitat selection by immature turtles recruiting from the oceanic to the neritic environment, particularly for green turtles.

Florida↗

Delta blue(green)s: The effect of drought and drought-management actions on microcystis in the Sacramento–San Joaquin Delta

Cyanobacterial phytoplankton blooms are more prevalent in the freshwater Sacramento-San Joaquin Delta (Delta) since the late 1990s, including blooms driven by overgrowths of potentially toxigenic organisms of the genus Microcystis . Data from 2014 to 2021 were used to show how flow dynamics, water temperature, and water clarity drive occurrence of Microcystis . We used a Microcystis bloom in the central Delta from 2021 as a case study for how novel monitoring tools can track blooms in real-time and be used post hoc to evaluate the effects of management actions. Microcystis was detected throughout the Delta in all but the highest-flow years, and bloom incidence and severity increased during drier years. In the South Delta, Franks Tract, lower San Joaquin River, and Old River regions, where blooms are most prevalent, higher water temperatures and clarities combined with lower exports from state and federal water projects were the best explanatory factors for the occurrence of Microcystis blooms. Nutrient concentrations were lower in summer than in winter, but only became limiting at high phytoplankton concentrations. We used satellite data and in situ continuous monitoring of flow, phytoplankton communities, and water quality to track hydro-biogeochemical conditions during the 2021 case study Microcystis bloom in the Central Delta. We did not find evidence that changes to Delta outflow regulatory standards contributed to this bloom, but changes in flow caused by a salinity barrier placed in west False River may have exacerbated the bloom. The frequency and severity of droughts are expected to increase in the future as a result of climate change, and our study demonstrates how continued monitoring of cyanotoxins, water quality, and phytoplankton communities could help improve management of cyanobacterial blooms in the Delta and other estuaries.

California↗

Significant challenges to the sustainability of the California coast considering climate change

Climate change is an existential threat to the environmental and socioeconomic sustainability of the coastal zone and impacts will be complex and widespread. Evidence from California and across the United States shows that climate change is impacting coastal communities and challenging managers with a plethora of stressors already present. Widespread action could be taken that would sustain California’s coastal ecosystems and communities. In this perspective, we highlight the main threat to coastal sustainability: the compound effects of episodic events amplified with ongoing climate change, which will present unprecedented challenges to the state. We present two key challenges for California’s sustainability in the coastal zone: 1) accelerating sea-level rise combined with storm impacts, and 2) continued warming of the oceans and marine heatwaves. Cascading effects from these types of compounding events will occur within the context of an already stressed system that has experienced extensive alterations due to intensive development, resource extraction and harvesting, spatial containment, and other human use pressures. There are critical components that could be used to address these immediate concerns, including comanagement strategies that include diverse groups and organizations, strategic planning integrated across large areas, rapid implementation of solutions, and a cohesive and policy relevant research agenda for the California coast. Much of this has been started in the state, but the scale could be increased, and timelines accelerated. The ideas and information presented here are intended to help expand discussions to sharpen the focus on how to encourage sustainability of California’s iconic coastal region.

California↗

Observations of coastal circulation, waves, and sediment transport along West Maui, Hawaiʻi (November 2017– March 2018), and modeling effects of potential watershed restoration on decreasing sediment loads to adjacent coral reefs

Terrestrial sediment discharging from watersheds off West Maui, Hawaiʻi, has been documented as a primary stressor to local coral reefs, causing coral reef health to decline. The U.S. Geological Survey acquired and analyzed physical oceanographic and sedimentologic field data off the coast of West Maui to calibrate and validate physics-based, numerical hydrodynamic and sediment transport models of the study area developed by Deltares. These models simulated terrestrial sediment transport and dispersal from West Maui watersheds into coastal waters and how terrestrial sediment affects nearby coral reefs under different oceanographic forcing and watershed restoration scenarios. Wave energy and near-bed turbidity are positively correlated in the field observations, illustrating a process not captured by the model simulations in which sediment already deposited on the seabed is resuspended by wave action and subsequently transported by prevailing currents. In the model simulations, large waves during flood events led to a decrease in suspended-sediment concentrations. Notably, however, the model results only consider sediment entering coastal waters from five stream sources and do not simulate sediment already present on the seabed. The model simulations project that the Honokeana and Māhinahina coral reefs would experience the greatest reduction in sediment impacts from theoretical watershed restoration. Additionally, when large waves coincide with flood events, post-storm sedimentation generally decreases in the nearshore region, but increases in the region offshore of the reefs. The measured and modeled sediment dynamics demonstrate a demarcation between the coral reefs sheltered within embayments (Honolua reef) or behind points (Wahikuli reef) and those along the relatively open coastline between Kapalua and Kāʻanapali (Kapalua, Honokeana, Māhinahina, and Honokōwai reefs). The sheltered sites are affected by terrestrial sediment from single stream mouths, where most sediment is delivered within hours of a flood (rain) event. Once this sediment enters the nearshore, it settles out and remains within the reef area for a prolonged period owing to a lack of wave or current-driven bed shear stress. Thus, the primary effect of sediment on the reefs within these sheltered areas is sedimentation. In contrast, coral reefs along the unsheltered (or “open”) section of coastline (between Kapalua and Kāʻanapali) are more exposed to waves and terrestrial sediment from multiple stream sources. At these reefs, fine-grained terrestrial sediment can rarely settle but instead remains in suspension. Thus, even long after a flood event has occurred, these sites chronically experience light attenuation from suspended sediment. These analyses underscore the importance of understanding how coastal ocean waves and circulation can lead to different sediment dynamics and stressors for coral reefs along the same region of the West Maui coastline. These differing factors indicate that the most effective watershed restoration and mitigation strategies may vary among the different coral reefs and streams. An important next step is to determine how the science of this study can support management goals for these coral reefs: what are target reductions of sedimentation, suspended-sediment concentrations, or the resulting light attenuation? Then, using the coupled hydrodynamic-sediment model, we can examine which watershed restoration scenarios in each stream will best achieve those targets.

Hawaii↗

Connecting and coordinating conservation action across landscapes through regional planning processes and syntheses

Modern threats to conservation are often global; however, relevant conservation decisions and actions typically occur within local jurisdictions. The socio-ecological complexity of these problems requires collaboration across large landscapes, diverse community interests, and geopolitical boundaries, yet a lack of interoperability of planning products among decision makers, jurisdictions, and objectives impedes collaboration. Here, we provide a working model for the collaborative, iterative development of a landscape conservation design (LCD) in the Midwest region of the United States, the Midwest Conservation Blueprint, and demonstrate its applicability to the coordination of voluntary conservation actions and investments across jurisdictional boundaries. We used spatial prioritization software to synthesize over 20 datasets to develop a basemap of priority lands and waters for conservation across a diverse set of societal and ecological values (e.g., water quality, biodiversity, recreation). The Midwest Conservation Blueprint is a living plan, updated annually based on improvements in underlying data, understanding of local conditions, and public input. Landscape-scale planning is not designed to replace local knowledge or supersede decision-making authorities. However, by synthesizing existing data that represent diverse socio-ecological values and planning at a broader scale, the Midwest Conservation Blueprint documents where there are shared priorities and opportunities for collaborative landscape conservation.

Midwest↗

Can nutrient additions facilitate recovery of Pacific salmon?

Multiple restoration actions have been implemented in response to declining salmon populations. Among these is the addition of salmon carcasses or artificial nutrients to mimic marine-derived nutrients historically provided by large spawning runs of salmon. A key assumption in this approach is that increased nutrients will catalyze salmon population growth. Although effects on aquatic ecosystems have been observed during treatments, it is unclear whether permanent population increases for salmon will occur. To test this assumption and address associated uncertainties, we linked a food web model with a salmon life cycle model to examine whether carcass additions in a river reach would improve conditions for salmon in the long term. Model results confirmed immediate increases in the biomass of periphyton, macroinvertebrates, and fish during carcass additions. In turn, juvenile salmon grew larger and experienced improved freshwater and smolt survival, which translated to a greater number of adults returning to spawn. However, once additions ceased, salmon abundance returned to pretreatment levels, which, based on our model, is owing to a combination of instream and out-of-basin factors. Overall, results of this work suggest that benefits during carcass and nutrient additions may not translate into persistent productivity of salmon unless additions are sustained indefinitely or other limiting factors are addressed.

Alberta, British Columbia, Idaho, Montana, Nevada,↗

Mapping out a future for ungulate migrations

Migration of ungulates (hooved mammals) is a fundamental ecological process that promotes abundant herds, whose effects cascade up and down terrestrial food webs. Migratory ungulates provide the prey base that maintains large carnivore and scavenger populations and underpins terrestrial biodiversity (fig. S1). When ungulates move in large aggregations, their hooves, feces, and urine create conditions that facilitate distinct biotic communities. The migrations of ungulates have sustained humans for thousands of years, forming tight cultural links among Indigenous people and local communities. Yet ungulate migrations are disappearing at an alarming rate ( 1 ). Efforts by wildlife managers and conservationists are thwarted by a singular challenge: Most ungulate migrations have never been mapped in sufficient detail to guide effective conservation. Without a strategic and collaborative effort, many of the world's great migrations will continue to be truncated, severed, or lost in the coming decades. Fortunately, a combination of animal tracking datasets, historical records, and local and Indigenous knowledge can form the basis for a global atlas of migrations, designed to support conservation action and policy at local, national, and international levels.

Science↗

Foraging behavior in a generalist snake (brown treesnake, Boiga irregularis) with implications for avian reintroduction and recovery

Broad foraging classifications, such as generalist or specialist forager, are generally beneficial for population management in defining expectations of typical behavior. However, better understanding as to how individual variance in behavior interfaces with management actions, such as control of an invasive predator (such as brown treesnakes; Boiga irregularis ) responsible for ecological collapse of a taxonomic group (birds), may affect conservation goals. In the context of predator control, better understanding of foraging ecology and prey specificity helps to ensure that food-based control programs are removing the target individuals. We sought to quantify whether differences in a dietary generalist snake species was measurable during captive trials using mice or birds as the prey choice. We presented snakes with prey choices that could be or are integrated with tools deployed by managers for control to directly relate choice or preference to management action. We collected wild brown treesnakes and classified them as bird eaters or of unknown diet based on food items present in their digestive tract at the time of capture. In experimental tests, we used live birds and live mice in traps, as well as bird and mouse carrion presented on platforms, to measure interest, take rates, and repeatability (preference) by snakes. We found that all individuals spent more time investigating live birds than they did mice, independent of dietary history, which resulted in twice as many snakes being captured in traps with live birds compared to live mice. There was, however, roughly equal interest in mouse and bird carrion. Within individuals, there was evidence for decreased interest in mouse carrion, if individuals ate birds in the wild. Choice of carrion type was repeatable across trials, suggesting preference may exist. Overall, interest in both live mice and mouse carrion was greatest for medium-bodied snakes, while interest in bird carrion was independent of snake size. Our results indicate that management of invasive predators, including reptiles, may more rapidly achieve conservation targets when managers consider individual heterogeneity in behavior. For brown treesnakes more interested in birds, managers may remove more snakes if they use avian food lures; increased removal of avian specialists may facilitate avian recovery.

Applied Animal Behavior Science↗