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At least 703 records · Page 39Linked to original sources

Drivers of realized satellite tracking duration in marine turtles

Background Satellite tags have revolutionized our understanding of marine animal movements. However, tags may stop transmitting for many reasons and little research has rigorously examined tag failure. Using a long-term, large-scale, multi-species dataset, we evaluated factors influencing tracking duration of satellite tags to inform study design for future tracking studies. Methods We leveraged data on battery status transmitted with location data, recapture events, and number of transmission days to probabilistically quantify multiple potential causes of failure (i.e., battery failure, premature detachment, and tag damage/fouling). We used a combination of logistic regressions and an ordinary linear model including several predictor variables (i.e., tag type, battery life, species, sex, size, and foraging region). Results We examined subsets of data from 360 satellite tags encompassing 86,889 tracking days deployed on four species of marine turtles throughout the Gulf of Mexico, Caribbean, and Bahamas from 2008 to 2019. Only 4.1% of batteries died before failure due to other causes. We observed species-specific variation in how long tags remain attached: hawksbills retained 50% of their tags for 1649 days (95% CI 995–1800), loggerheads for 584 days (95% CI 400–690), and green turtles for 294 days (95% CI 198–450). Estimated tracking duration varied by foraging region (Caribbean: 385 days; Bahamas: 356; southern Gulf of Mexico [SGOM]: 276, northern Gulf of Mexico [NGOM]: 177). Additionally, we documented species-specific variation in estimated tracking duration among foraging regions. Based on sensor data, within the Gulf of Mexico, across species, we estimated that 50% of tags began to foul after 83 95% CI (70–120) days. Conclusions The main factor that limited tracking duration was tag damage (i.e., fouling and/or antenna breakage). Turtles that spent most of their time in the Gulf of Mexico had shorter tracking durations than those in the Bahamas and Caribbean, with shortest durations observed in the NGOM. Additionally, tracking duration varied by species, likely as a result of behaviors that damage tags. This information will help researchers, tag companies, permitting agencies, and funders better predict expected tracking durations, improving study designs for imperiled marine turtles. Our results highlight the heterogeneity in telemetry device longevity, and we provide a framework for researchers to evaluate telemetry devices with respect to their study objectives.

Alabama, Florida, Louisiana, Mississippi, Texas↗

Movement patterns of invasive red swamp crayfish vary with sex and environmental factors

Invasive species disproportionately invade freshwater ecosystems, threatening biodiversity. Defining when, where, and why aquatic invasive species move can help inform management strategies, yet the movement ecology of some of the most pervasive invasive species remains unknown. Red swamp crayfish ( Procambarus clarkii ; RSC) are the most widespread invasive crayfish and negatively affect ecosystems worldwide. We employed high-dimensional acoustic telemetry to investigate the movement patterns of 24 individual RSC across three months in an invaded water body. We assessed the effects of various extrinsic factors, such as time of day, temperature, precipitation, and proximity to the water’s edge, along with intrinsic factors, such as sex, reproductive form, and size, at different scales, including movement steps, range distribution, and behavioral states. We found that movement patterns across all scales were overwhelmingly driven by sex and reproductive form. Furthermore, RSC showed increased overall activity at night and near the water’s edge. By establishing baseline movement patterns and identifying key contributing factors, these findings provide a foundation for the development of adaptive management strategies for controlling invasive RSC populations.

Michigan↗

Ecosystem engineering varies spatially: a test of the vegetation modification paradigm for prairie dogs

Colonial, burrowing herbivores can be engineers of grassland and shrubland ecosystems worldwide. Spatial variation in landscapes suggests caution when extrapolating single-place studies of single species, but lack of data and the need to generalize often leads to ‘model system’ thinking and application of results beyond appropriate statistical inference. Generalizations about the engineering effects of prairie dogs ( Cynomys sp.) developed largely from intensive study at a single complex of black-tailed prairie dogs C. ludovicianus in northern mixed prairie, but have been extrapolated to other ecoregions and prairie dog species in North America, and other colonial, burrowing herbivores. We tested the paradigm that prairie dogs decrease vegetation volume and the cover of grasses and tall shrubs, and increase bare ground and forb cover. We sampled vegetation on and off 279 colonies at 13 complexes of 3 prairie dog species widely distributed across 5 ecoregions in North America. The paradigm was generally supported at 7 black-tailed prairie dog complexes in northern mixed prairie, where vegetation volume, grass cover, and tall shrub cover were lower, and bare ground and forb cover were higher, on colonies than at paired off-colony sites. Outside the northern mixed prairie, all 3 prairie dog species consistently reduced vegetation volume, but their effects on cover of plant functional groups varied with prairie dog species and the grazing tolerance of dominant perennial grasses. White-tailed prairie dogs C. leucurus in sagebrush steppe did not reduce shrub cover, whereas black-tailed prairie dogs suppressed shrub cover at all complexes with tall shrubs in the surrounding habitat matrix. Black-tailed prairie dogs in shortgrass steppe and Gunnison's prairie dogs C. gunnisoni in Colorado Plateau grassland both had relatively minor effects on grass cover, which may reflect the dominance of grazing-tolerant shortgrasses at both complexes. Variation in modification of vegetation structure may be understood in terms of the responses of different dominant perennial grasses to intense defoliation and differences in foraging behavior among prairie dog species. Spatial variation in the engineering role of prairie dogs suggests spatial variation in their keystone role, and spatial variation in the roles of other ecosystem engineers. Thus, ecosystem engineering can have a spatial component not evident from single-place studies.

Ecography: Pattern and Diversity in Ecology↗

Integration of social and ecological sciences for natural resource decision making: Challenges and opportunities

The last 25 years have witnessed growing recognition that natural resource management decisions depend as much on understanding humans and their social interactions as on understanding the interactions between non-human organisms and their environment. Decision science provides a framework for integrating ecological and social factors into a decision, but challenges to integration remain. The decision-analytic framework elicits values and preferences to help articulate objectives, and then evaluates the outcomes of alternative management actions to achieve these objectives. Integrating social science into these steps can be hindered by failing to include social scientists as more than stakeholder-process facilitators, assuming that specific decision-analytic skills are commonplace for social scientists, misperceptions of social data as inherently qualitative, timescale mismatches for iterating through decision analysis and collecting relevant social data, difficulties in predicting human behavior, and failures of institutions to recognize the importance of this integration. We engage these challenges, and suggest solutions to them, helping move forward the integration of social and biological/ecological knowledge and considerations in decision-making.

Environmental Management↗

Red fox spatial characteristics in relation to waterfowl predation

Radio-equipped red foxes ( Vulpes vulpes ) on the Cedar Creek area in Minnesota were spatially distributed, with individual families occupying well defined, nonoverlapping, contiguous territories. Territory boundaries often conformed to natural physical boundaries and appeared to be maintained through some nonaggressive behavior mechanism. Individual foxes traveled extensively throughout the family territory each night. Fox territories appeared to range from approximately 1 to 3 square miles in size, dependent largely on population density. Red foxes used a sequence of dens to rear their pups, and the amount and location of food remains at individual dens changed as the pups matured. The denning season was divided into pre-emergence, confined-use, and dispersed-use periods of 4 to 5 weeks each. Remains of adult waterfowl were collected at rearing dens on six townships in three ecologically different regions of eastern North Dakota. Remains of 172 adult dabbling ducks and 16 adult American coots (Fulica americana) were found at 35 dens. No remains from diving ducks were found. The number of adult ducks per den averaged 1.6, 5.9, and 10.2 for paired townships in regions with relatively low, moderate and high duck populations, respectively. Eighty-four percent of the ducks were females. The species and sex composition of ducks found at dens during early and late sampling periods reflected the nesting chronology of prairie dabbling ducks. Occupied rearing dens were focal points of red fox travel, and the locations of dens may have had considerable influence on predation. Thirty-five of 38 dens found on the six township study areas were on pastured or idle lands. The distribution of rearing dens on the Sand Lake and Arrowwood national wildlife refuges suggested that, on these areas, fox dens were concentrated because of the topography and land-use practices.

Minnesota↗

Direct effects of pesticides and other grassland management practices on the North American Monarch Butterfly (Danaus plexippus plexippus): A systematic review

This review synthesizes recent scientific literature on the effects of grassland management practices and pesticide applications on monarch butterflies ( Danaus plexippus ), focusing on studies published since the 2020 U.S. Fish and Wildlife Service Species Status Assessment (SSA). While the SSA highlighted habitat conservation efforts to enhance monarch populations, there has been limited empirical research on the direct effects of these management strategies on monarch survival and fitness. Following PRISMA guidelines, we conducted a systematic review to evaluate research published during and after the SSA (2019-2024) on the direct effects of common grassland management practices (mowing, grazing, burning, haying) and pesticides (herbicides, insecticides, fungicides) across monarch life stages. This search identified 29 studies that met our criteria. Of these, only two studies addressed the impacts of grassland management on monarchs, indicating a substantial and important information gap. The other 27 studies reviewed indicate significant risks of pesticide exposure to monarchs, particularly at immature life stages from lethal and sublethal effects. The effects of chronic insecticide exposure, particularly neonicotinoids, are especially critical to consider, as research shows insecticides can result in impairment of growth, development, and reproductive behaviors. Additionally, fungicides pose overlooked risks to monarchs due to their toxicity to non-target organisms. Notably, most studies evaluating pesticide effects were conducted in a laboratory setting and thus it is unclear how these results relate to fieldrealistic exposure, as well as exposure over multiple life history stages and potential synergistic effects of pesticides. Additional relevant information gaps remain, especially on studies of southern migratory paths critical for monarch population persistence. Data gaps at relevant scales for grassland management combined with growing evidence of pesticide persistence and subsequent threats to insects, highlight how more ecologically applicable metrics for monitoring environmental chemicals could help improve understanding of the effects of pesticides on monarchs and characterize contamination of milkweed and nectar resources.

Cooperator Science Series↗

Applying threshold concepts to conservation management of dryland ecosystems: Case studies on the Colorado Plateau

Ecosystems may occupy functionally distinct alternative states, some of which are more or less desirable from a management standpoint. Transitions from state to state are usually associated with a particular trigger or sequence of triggers, such as the addition or subtraction of a disturbance. Transitions are often not linear, rather it is common to see an abrupt transition come about even though the trigger increases only incrementally; these are examples of threshold behaviors. An ideal monitoring program, such as the National Park Service’s Inventory and Monitoring Program, would quantify triggers, and be able to inform managers when measurements of a trigger are approaching a threshold so that management action can avoid an unwanted state transition. Unfortunately, both triggers and the threshold points at which state transitions occur are generally only partially known. Using case studies, we advance a general procedure to help identify triggers and estimate where threshold dynamics may occur. Our procedure is as follows: (1) Operationally define the ecosystem type being considered; we suggest that the ecological site concept of the Natural Resource Conservation Service is a useful system, (2) Using all available a priori knowledge to develop a state-and-transition model (STM), which defines possible ecosystem states, plausible transitions among them and likely triggers, (3) Validate the STM by verifying the existence of its states to the greatest degree possible, (4) Use the STM model to identify transitions and triggers likely to be detectable by a monitoring program, and estimate to the greatest degree possible the value of a measurable indicator of a trigger at the point that a state transition is imminent (tipping point), and values that may indicate when management intervention should be considered (assessment points). We illustrate two different methods for attaining these goals using a data-rich case study in Canyonlands National Park, and a data-poor case study in Wupatki National Monument. In the data-rich case, STMs are validated and revised, and tipping and assessment points are estimated using statistical analysis of data. In the data-poor case, we develop an iterative expert opinion survey approach to validate the degree of confidence in an STM, revise the model, identify lack of confidence in specific model components, and create reasonable first approximations of tipping and assessment points, which can later be refined when more data are available. Our goal should be to develop the best set of models possible given the level of information available to support decisions, which is often not much. The approach presented here offers a flexible means of achieving this goal, and determining specific research areas in need of study.

Book chapter↗

Behavioral patterns of bats at a wind turbine confirm seasonality of fatality risk

Bat fatalities at wind energy facilities in North America are predominantly comprised of migratory, tree-dependent species, but it is unclear why these bats are at higher risk. Factors influencing bat susceptibility to wind turbines might be revealed by temporal patterns in their behaviors around these dynamic landscape structures. In northern temperate zones, fatalities occur mostly from July through October, but whether this reflects seasonally variable behaviors, passage of migrants, or some combination of factors remains unknown. In this study, we examined video imagery spanning one year in the state of Colorado in the United States, to characterize patterns of seasonal and nightly variability in bat behavior at a wind turbine. We detected bats on 177 of 306 nights representing approximately 3,800 hr of video and > 2,000 discrete bat events. We observed bats approaching the turbine throughout the night across all months during which bats were observed. Two distinct seasonal peaks of bat activity occurred in July and September, representing 30% and 42% increases in discrete bat events from the preceding months June and August, respectively. Bats exhibited behaviors around the turbine that increased in both diversity and duration in July and September. The peaks in bat events were reflected in chasing and turbine approach behaviors. Many of the bat events involved multiple approaches to the turbine, including when bats were displaced through the air by moving blades. The seasonal and nightly patterns we observed were consistent with the possibility that wind turbines invoke investigative behaviors in bats in late summer and autumn coincident with migration and that bats may return and fly close to wind turbines even after experiencing potentially disruptive stimuli like moving blades. Our results point to the need for a deeper understanding of the seasonality, drivers, and characteristics of bat movement across spatial scales.

Ecology and Evolution↗

Feeding ecology of waterfowl wintering on evaporation ponds in California

We examined the feeding ecology of Northern Pintails (Anas acuta), Northern Shovelers (A. clypeata), and Ruddy Ducks (Oxyura jamaicensis) wintering on drainwater evaporation ponds in California from 1982 through 1984. Pintails primarily consumed midges (Chironomidae) (39.3%) and widegeongrass (Ruppia maritima) nutlets (34.6%). Shovelers and Ruddy Ducks consumed 92.5% and 90.1% animal matter, respectively. Water boatmen (Corixidae) (51.6%), rotifers (Rotatoria) (20.4%), and copepods (Copepoda) (15.2%) were the most important Shoveler foods, and midges (49.7%) and water boatmen (36.0%) were the most important foods of Ruddy Ducks. All three species were opportunistic foragers, shifting their diets seasonally to the most abundant foods given their behavioral and morphological attributes.

Condor↗

The extra mile: Ungulate migration distance alters the use of seasonal range and exposure to anthropogenic risk

Partial migration occurs across a variety of taxa and has important ecological and evolutionary consequences. Among ungulates, studies of partially migratory populations have allowed researchers to compare and contrast performance metrics of migrants versus residents and examine how environmental factors influence the relative abundance of each. Such studies tend to characterize animals discretely as either migratory or resident, but we suggest that variable migration distances within migratory herds are an important and overlooked form of population structure, with potential consequences for animal fitness. We examined whether the variation in individual migration distances (20–264 km) within a single wintering population of mule deer ( Odocoileus hemionus ) was associated with several critical behavioral attributes of migration, including timing of migration, time allocation to seasonal ranges, and exposure to anthropogenic mortality risks. Both the timing of migration and the amount of time animals allocated to seasonal ranges varied with migration distance. Animals migrating long distances (150–250 km) initiated spring migration more than three weeks before than those migrating moderate (50–150 km) or short distances (<50 km). Across an entire year, long-distance migrants spent approximately 100 more days migrating compared to moderate- and short-distance migrants. Relatedly, winter residency of long-distance migrants was 71 d fewer than for animals migrating shorter distances. Exposure to anthropogenic mortality factors, including highways and fences, was high for long-distance migrants, whereas vulnerability to harvest was high for short- and moderate-distance migrants. By reducing the amount of time that animals spend on winter range, long-distance migration may alleviate intraspecific competition for limited forage and effectively increase carrying capacity. Clear differences in winter residency, migration duration, and risk of anthropogenic mortality among short-, moderate-, and long-distance migrants suggest fitness trade-offs may exist among migratory segments of the population. Future studies of partial migration may benefit from expanding comparisons of residents and migrants, to consider how variable migration distances of migrants may influence the costs and benefits of migration.

Wyoming↗

Phoretic sharksuckers (Echeneis naucrates) associated with an elasmobranch host occupy higher relative trophic positions

The relationship between phoretic diskfishes and their hosts is a classic example of marine symbiosis, yet surprisingly few studies have quantified this trophic relationship. We investigated the hypothesis that by consuming host parasites and prey scraps phoretic diskfishes (Echeneidae) feed at a higher relative trophic position than free-living individuals through expanded foraging opportunities. We used carbon and nitrogen stable isotope analysis of muscle tissue from both free-living and commensal sharksuckers Echeneis naucrates and their hosts, supplemented with gut-content analysis, to investigate this hypothesis. Our analysis revealed that commensal sharksuckers likely occupy higher relative trophic positions than free-living sharksuckers. The importance of scavenging host prey decreased ontogenetically as sharksuckers shifted from symbiotic phoresis to free-swimming behavior, leading to an ontogenetic change in which obligately commensal juveniles occupy higher trophic positions than free-living adults which are only facultatively commensal. Relative differences in δ 13 C and δ 15 N among individual host-commensal pairs varied among host species, suggesting potential differences in foraging opportunities among host taxa.

Marine Ecology Progress Series↗

Risk assessment of chanchita Cichlasoma dimerus (Heckel, 1840), a newly identified non-native cichlid fish in Florida

The risk of a newly discovered non-native fish species in Florida (USA): Cichlasoma dimerus ([Heckel, 1840]; Family: Cichlidae) is assessed. Its tolerance to cold temperatures was experimentally evaluated and information on its biology and ecology was synthesized. In the cold-temperature tolerance experiment, temperature was lowered from 24 °C by increments of 1 °C per hour, mimicking a typical cold weather front. Fish lost equilibrium at a mean temperature of 7.8 °C and died at 4.7 °C. Those values are lower than most other non-native fishes from the state that have been experimentally evaluated, and it appears C. dimerus is the most cold-tolerant cichlid established in Florida. The combination of cold-temperature tolerance and other biological/ecological factors (e.g., adult size, reproduction and parental care, diet, habitat, and other behaviors) along with the geographic range and habitat diversity of specimens vouchered in museums, indicate C. dimerus may be able to invade many freshwater ecosystems in the state, including environmentally sensitive freshwater springs.

Florida↗

Mechanism and ecological significance of sperm storage in the Northern Fulmar with reference to its occurrence in other birds

Sperm-storage glands were found in the uterovaginal (UV) region of the oviduct in Northern Fulmars ( Fulmarus glacialis ), Horned Puffins ( Fratercula corniculata ), and Leach's Storm-Petrels ( Oceanodroma leucorhoa ) collected before or shortly after egg laying. Previously described only in domestic Galliformes, UV sperm-storage glands may prove to be a common feature of the avian reproductive system. There is as yet no compelling explanation of their function in the Horned Puffin. In the Northern Fulmar, and probably in other petrels, however, sperm-storage glands allow the separation of the male and female over pelagic waters for several weeks immediately before egg laying. The likelihood of prolonged viability of sperm in the female reproductive tract should be considered in interpreting the sexual behavior of other wild birds.

Alaska↗

Why do some, but not all, tropical birds migrate? A comparative study of diet breadth and fruit preference

Annual migrations of birds profoundly influence terrestrial communities. However, few empirical studies examine why birds migrate, in part due to the difficulty of testing causal hypotheses in long-distance migration systems. Short-distance altitudinal migrations provide relatively tractable systems in which to test explanations for migration. Many past studies explain tropical altitudinal migration as a response to spatial and temporal variation in fruit availability. Yet this hypothesis fails to explain why some coexisting, closely-related frugivorous birds remain resident year-round. We take a mechanistic approach by proposing and evaluating two hypotheses (one based on competitive exclusion and the other based on differences in dietary specialization) to explain why some, but not all, tropical frugivores migrate. We tested predictions of these hypotheses by comparing diets, fruit preferences, and the relationships between diet and preference in closely-related pairs of migrant and resident species. Fecal samples and experimental choice trials revealed that sympatric migrants and residents differed in both their diets and fruit preferences. Migrants consumed a greater diversity of fruits and fewer arthropods than did their resident counterparts. Migrants also tended to have slightly stronger fruit preferences than residents. Most critically, diets of migrants more closely matched their preferences than did the diets of residents. These results suggest that migrants may be competitively superior foragers for fruit compared to residents (rather than vice versa), implying that current competitive interactions are unlikely to explain variation in migratory behavior among coexisting frugivores. We found some support for the dietary specialization hypothesis, propose refinements to the mechanism underlying this hypothesis, and discuss how dietary specialization might ultimately reflect past interspecific competition. We recommend that future studies quantify variation in nutritional content of tropical fruits, and determine whether frugivory is a consequence or a cause of migratory behaviour.

Evolutionary Ecology↗

Use of PRD1 bacteriophage in groundwater viral transport, inactivation, and attachment studies

PRD1, an icosahedra-shaped, 62 nm (diameter), double-stranded DNA bacteriophage with an internal membrane, has emerged as an important model virus for studying the manner in which microorganisms are transported through a variety of groundwater environments. The popularity of this phage for use in transport studies involving geologic media is due, in part, to its relative stability over a range of temperatures and low degree of attachment in aquifer sediments. Laboratory and field investigations employing PRD1 are leading to a better understanding of viral attachment and transport behaviors in saturated geologic media and to improved methods for describing mathematically subsurface microbial transport at environmentally significant field scales. Radioisotopic labeling of PRD1 is facilitating additional information about the nature of viral interactions with solid surfaces in geologic media, the importance of iron oxide surfaces, and allowing differentiation between inactivation and attachment in field-scale tracer tests.

FEMS Microbiology Ecology↗

Weather, habitat area, connectivity, and number of patches influence breeding ecology of ring-necked pheasants

Understanding habitat selection is critical in habitat prioritization for species of conservation and management concern. Information on habitat selection is particularly important for grassland bird species whose populations have suffered steep declines over the last few decades. We assessed ring-necked pheasants' ( Phasianus colchicus ) habitat selection in a dynamic agricultural landscape. The population dynamics of pheasants are partially related to nest survival, which may be influenced by the quality of nesting habitat. Consequently, knowledge of vegetation composition and structural characteristics associated with the selection and survival of nests would help inform management decisions to improve nest success. We monitored nests from 103 radio-collared pheasants inhabiting an agricultural landscape in South Dakota, USA, from 2017–2019 to determine the effect of landscape composition and configuration on nest-site selection and nest survival. We explored nesting behavior at 2 orders of selection: resource selection within the home range (third order) and selection of specific resource items from a resource patch (fourth order). Proportion of row crop and connectivity of row crop was negatively associated with nest-site selection at the third order. At the fourth order, pheasants tended to select for taller vegetation and greater percent grass cover than at paired random sites. Pheasants also selected areas with more grasslands. A 1% increase in grass cover and proportion of grassland increased the odds of nest-site selection by 1% and 2%, respectively. Connectivity of row crop patches was negatively associated with daily nest survival. We also evaluated factors affecting pheasant brood-site selection. A 1-unit increase in grass cover and Hemiptera biomass increased the odds of brood-site selection by 4%. The probability of brood-site selection also increased with fewer row crop patches. Weather played a crucial role in driving nest survival. The consideration of local weather trends and regional variation in habitat can inform habitat management for pheasants. Pheasant populations may benefit from research that identifies thermal landscapes and land management techniques that promote cooler microclimates for nesting and brood-rearing activities.

South Dakota↗

Controls on variations in MODIS fire radiative power in Alaskan boreal forests: implications for fire severity conditions

Fire activity in the Alaskan boreal forest, though episodic at annual and intra-annual time scales, has experienced an increase over the last several decades. Increases in burned area and fire severity are not only releasing more carbon to the atmosphere, but likely shifting vegetation composition in the region towards greater deciduous dominance and a reduction in coniferous stands. While some recent studies have addressed qualitative differences between large and small fire years in the Alaskan boreal forest, the ecological effects of a greater proportion of burning occurring during large fire years and during late season fires have not yet been examined. Some characteristics of wildfires that can be detected remotely are related to fire severity and can provide new information on spatial and temporal patterns of burning. This analysis focused on boreal wildfire intensity (fire radiative power, or FRP) contained in the Moderate Resolution Imaging Spectroradiometer (MODIS) daily active fire product from 2003 to 2010. We found that differences in FRP resulted from seasonality and intra-annual variability in fire activity levels, vegetation composition, latitudinal variation, and fire spread behavior. Our studies determined two general categories of active fire detections: new detections associated with the spread of the fire front and residual pixels in areas that had already experienced front burning. Residual pixels had a lower average FRP than front pixels, but represented a high percentage of all pixels during periods of high fire activity (large fire years, late season burning, and seasonal periods of high fire activity). As a result, the FRP from periods of high fire activity was less intense than those from periods of low fire activity. Differences related to latitude were greater than expected, with higher latitudes burning later in the season and at a higher intensity than lower latitudes. Differences in vegetation type indicate that coniferous vegetation is the most fire prone, but deciduous vegetation is not particularly fire resistant, as the proportion of active fire detections in deciduous stands is roughly the same as the fraction of deciduous vegetation in the region. Qualitative differences between periods of high and low fire activity are likely to reflect important differences in fire severity. Large fire years are likely to be more severe, characterized by more late season fires and a greater proportion of residual burning. Given the potential for severe fires to effect changes in vegetation cover, the shift toward a greater proportion of area burning during large fire years may influence vegetation patterns in the region over the medium to long term.

Alaska↗

Postfledging survival of European starlings exposed as nestlings to an organophosphorus insecticide

To test the hypothesis that exposure to organophosphorus (OP) insecticides reduces postfledging survival of altricial birds, 16—d—old European Starlings ( Sturnus vulgaris ) were weighed and orally dosed with corn oil containing 6.0 mg of dicrotophos per kilogram of body mass or an equivalent exposure of pure corn oil (controls). Two days later, each survivor was weighed again and patagially tagged for identification after fledging. Resightings of marked fledglings were made during weekly 2—d intensive observations yielding four estimates of postfledging survival. Before fledging, only OP—dosed birds died (18.5%), and OP—dosed survivors lost more mass (5.2%, P = .001) than controls (1.4%) but their masses on day 18 were only slightly lower (2% of control mean, P = .10). Brain cholinesterase activity, a sensitive indicator of OP exposure in birds, was depressed and average of 93% in OP—dosed nestlings that died compared to controls, and an average of 46% in OP—dosed nestlings alive on day 18. Age at fledging, postfledging survival, flocking behavior, and habitat use, however, did not differ between OP—dosed and control birds. The effects of the OP on the nestlings appeared to be rapid, to be reversible in survivors, and did not extend into the postfledging period. In addition, we found no relationship between body mass at fledging and postfledging survival.

Maryland↗