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At least 721 records · Page 40Linked to original sources

Pandemic-driven changes in the nearshore non-commercial fishery in Hawai'i: Catch photos posted to social media capture changes in fisher behavior

Using social media, we collect evidence for how nearshore fisheries are impacted by the global COVID-19 pandemic in Hawai’i. We later confirm our social media findings and obtain a more complete understanding of the changes in nearshore non-commercial fisheries in Hawai’i through a more conventional approach—speaking directly with fishers. Resource users posted photographs to social media nearly three times as often during the pandemic with nearly double the number of fishes pictured per post. Individuals who fished for subsistence were more likely to increase the amount of time spent fishing and relied more on their catch for food security. Furthermore, individuals fishing exclusively for subsistence were more likely to fish for different species during the pandemic than individuals fishing recreationally. Traditional data collection methods are resource-intensive and this study shows that during times of rapid changes, be it ecological or societal, social media can more quickly identify how near shore marine resource use adapts. As climate change threatens additional economic and societal disturbances, it will be necessary for resource managers to collect reliable data efficiently to better target monitoring and management efforts.

Hawaii↗

Multiscale thermal refugia and stream habitat associations of chinook salmon in northwestern Oregon

We quantified distribution and behavior of adult spring chinook salmon ( Oncorhynchus tshawytscha ) related to patterns of stream temperature and physical habitat at channel-unit, reach-, and section-level spatial scales in a wilderness stream and a disturbed stream in the John Day River basin in northeastern Oregon. We investigated the effectiveness of thermal remote sensing for analyzing spatial patterns of stream temperature and assessed habitat selection by spring chinook salmon, evaluating whether thermal refugia might be responsible for the persistence of these stocks in rivers where water temperatures frequently exceed their upper tolerance levels (25°C) during spawning migration. By presenting stream temperature and the ecology of chinook salmon in a historical context, we could evaluate how changes in riverine habitat and thermal spatial structure, which can be caused by land-use practices, may influence distributional patterns of chinook salmon. Thermal remote sensing provided spatially continuous maps of stream temperature for reaches used by chinook salmon in the upper subbasins of the Middle Fork and North Fork John Day River. Electivity analysis and logistic regression were used to test for associations between the longitudinal distribution of salmon and cool-water areas and stream habitat characteristics. Chinook salmon were distributed nonuniformly in reaches throughout each stream. Salmon distribution and cool water temperature patterns were most strongly related at reach-level spatial scales in the warm stream, the Middle Fork (maximum likelihood ratio: P < 0.01), and most weakly related in the cold stream, the North Fork ( P > 0.30). Pools were preferred by adult chinook salmon in both subbasins (Bonferroni confidence interval: P ≤ 0.05); however, riffles were used proportionately more frequently in the North Fork than in the Middle Fork. Our observations of thermal refugia and their use by chinook salmon at multiple spatial scales reveal that, although heterogeneity in the longitudinal stream temperature profile may be viewed as an ecological warning sign, thermal patchiness in streams also should be recognized for its biological potential to provide habitat for species existing at the margin of their environmental tolerances.

Oregon↗

Zirconium and hafnium

Zirconium and hafnium are corrosion-resistant metals that are widely used in the chemical and nuclear industries. Most zirconium is consumed in the form of the main ore mineral zircon (ZrSiO 4 , or as zirconium oxide or other zirconium chemicals. Zirconium and hafnium are both refractory lithophile elements that have nearly identical charge, ionic radii, and ionic potentials. As a result, their geochemical behavior is generally similar. Both elements are classified as incompatible because they have physical and crystallochemical properties that exclude them from the crystal lattices of most rock-forming minerals. Zircon and another, less common, ore mineral, baddeleyite (ZrO 2 ), form primarily as accessory minerals in igneous rocks. The presence and abundance of these ore minerals in igneous rocks are largely controlled by the element concentrations in the magma source and by the processes of melt generation and evolution. The world’s largest primary deposits of zirconium and hafnium are associated with alkaline igneous rocks, and, in one locality on the Kola Peninsula of Murmanskaya Oblast, Russia, baddeleyite is recovered as a byproduct of apatite and magnetite mining. Otherwise, there are few primary igneous deposits of zirconium- and hafnium-bearing minerals with economic value at present. The main ore deposits worldwide are heavy-mineral sands produced by the weathering and erosion of preexisting rocks and the concentration of zircon and other economically important heavy minerals, such as ilmenite and rutile (for titanium), chromite (for chromium), and monazite (for rare-earth elements) in sedimentary systems, particularly in coastal environments. In coastal deposits, heavy-mineral enrichment occurs where sediment is repeatedly reworked by wind, waves, currents, and tidal processes. The resulting heavy-mineral-sand deposits, called placers or paleoplacers, preferentially form at relatively low latitudes on passive continental margins and supply 100 percent of the world’s zircon. Zircon makes up a relatively small percentage of the economic heavy minerals in most deposits and is produced primarily as a byproduct of heavy-mineral-sand mining for titanium minerals. From 2003 to 2012, world zirconium mineral concentrates production increased by more than 40 percent, and Australia and South Africa were the leading producers. Global consumption of zirconium mineral concentrates generally increased during the same time period, largely as a result of increased demand in developing economies in Asia and the Middle East. Global demand weakened in 2012, causing a decrease in world production of zirconium mineral concentrates and delaying the development of several new mining projects. Global consumption is expected to increase in the future, however, as demand from the ceramics, chemicals, and metals industries increases (driven by renewed growth in developing economies) and demand for zirconium and hafnium metal increases (driven by the construction and operation of new nuclear powerplants). The behaviors of zirconium and hafnium in the environment are very similar to one another in that most zirconium- and hafnium-bearing minerals have limited solubility and reactivity. Anthropogenic sources of zirconium, and likely hafnium, are from industrial zirconium-containing byproducts and emissions from the processing of sponge zirconium, and exposure to the general population from these sources is small. Zirconium and hafnium are likely not essential to human health and generally are considered to be of low toxicity to humans. The main exposure risks are associated with industrial inhalation and dermal exposure. Because of the low solubility of zirconium and hafnium, ecological health concerns in the aquatic environment and in soils are minimal. Heavy-mineral-sand mining may lead to increased erosion rates when the mining is managed improperly. In addition, surface mining requires removal of the overlying organic soil layer and produces waste material that includes tailings and slimes. The soil removal and mining activity disturbs the surrounding ecosystem and alters the character of the landscape. Dry mineral separation processes create high amounts of airborne dust, whereas wet mineral separation processes do not. In operations that restore the landscape to pre-mining conditions, the volume of waste and the impact on the landscape may be relatively temporary.

Professional Paper↗

Lesser Prairie-chicken incubation behavior and nest success most influenced by nest vegetation structure

Incubation breaks are necessary for any nesting bird but can increase the mortality risk of the nest or attending parent. How intrinsic and extrinsic variables affect nest attentiveness—the proportion of time a female is on nest during incubation— and subsequent survival of the nest remains unclear for uniparental species. We related female nest attentiveness to nest survival and tested the effects of intrinsic and extrinsic variables on nest attentiveness by female Lesser Prairie-chickens ( Tympanuchus pallidicinctus ) using GPS locations of 87 females at 109 nest sites in 3 study areas in Kansas during 2013–2015. Daily nest survival increased by 39% when nest attentiveness increased from 21% to 98%. Female Lesser Prairie-chickens were 18% less attentive as body mass increased from 600 to 920 g. Daily precipitation and temperature, controlled for days into the incubation period, had interactive effects on nest attentiveness with nest attentiveness lowest on cool, wet days and increasing as temperature increased, regardless of precipitation (41% attentiveness at 16°C and 79 mm of precipitation to 90% attentiveness at 37°C and 41 mm of precipitation). Nest attentiveness increased by 11% as the quantity of grass at the nest site increased from 5% to 78% when visual obstruction was at 1 and 2 decimeters (dm) and increased 9% as the quantity of grass at the nest site increased from 5% to 83% when visual obstruction was at its maximum (3 dm). Our findings reveal the critical importance of nest attentiveness and incubation behavior, not only in relation to demography, but within the context of changing environmental conditions. As warmer temperatures and extreme precipitation events become more common and change the growth rates of vegetation, species like the Lesser Prairie-chicken that are ground-nesting, rely on vegetation cover, and exhibit uniparental care could experience negative demographic consequences.

Kansas↗

Structural complexity, movement bias, and metapopulation extinction risk in dendritic ecological networks

Spatial complexity in metacommunities can be separated into 3 main components: size (i.e., number of habitat patches), spatial arrangement of habitat patches (network topology), and diversity of habitat patch types. Much attention has been paid to lattice-type networks, such as patch-based metapopulations, but interest in understanding ecological networks of alternative geometries is building. Dendritic ecological networks (DENs) include some increasingly threatened ecological systems, such as caves and streams. The restrictive architecture of dendritic ecological networks might have overriding implications for species persistence. I used a modeling approach to investigate how number and spatial arrangement of habitat patches influence metapopulation extinction risk in 2 DENs of different size and topology. Metapopulation persistence was higher in larger networks, but this relationship was mediated by network topology and the dispersal pathways used to navigate the network. Larger networks, especially those with greater topological complexity, generally had lower extinction risk than smaller and less-complex networks, but dispersal bias and magnitude affected the shape of this relationship. Applying these general results to real systems will require empirical data on the movement behavior of organisms and will improve our understanding of the implications of network complexity on population and community patterns and processes.

Journal of the North American Benthological Societ↗

Populations and home range relationships of the box turtle, Terrapene c. carolina (Linnaeus)

SUMMARY: A population study of the box turtle (Terrapene c. carolina Linnaeus) was made during the years 1944 to 1947 at the Patuxent Research Refuge, Maryland. A thirty acre area in well drained bottomland forest on the flood plain of the Patuxent River was selected for intensive study. Similarly forested land extended in all directions from the study plot. Markers were established at eighty-three foot intervals over the study plot for reference in recording locality data. Individuals were marked by filing notches in the marginal scutes according to a code system. There were 2109 collections of study area turtles. Records of collecting sites and turtle behavior showed that in the bottomlands habitat cover is utilized extensively during the day as well as at night. Turtles not actively moving about are almost always found in or around brush piles, heaps of debris, and tangles of vines and briars. Gully banks and woods openings are used for sunning. Turtles are occasionally found in the mud or water of the gullies. The commonest type of night retreat is a cavity constructed by the turtle in leaves, debris, or earth. These cavities, termed 'forms,' may be used only once, but are sometimes used repeatedly, often at intervals of several days or more. Different turtles sometimes use the same form on successive nights. Weather conditions most favorable to turtle activity are high humidity, warm sunny days, and frequent rains. The most unfavorable influences are low temperatures and drought. On most summer days there are some active turtles but individual turtles are not active every day. Periods of activity are alternated with periods of quiet even in favorable weather. This behavior is most pronounced in early spring and late fall when inactive days are often more numerous than active ones. Adult turtles occupy specific home ranges which they maintain from year to year. The turtles living in the study plot retained their ranges even through a flood that completely covered the area. Maximum home range diameters were determined by measurements of the mapped ranges of individual turtles. The average range of adult males was 330 feet, adult females 370 feet. The difference between male and female ranges was not statistically significant. There was no evidence of defense of territory. Ranges of turtles of all ages and both sexes overlapped grossly. Turtles were frequently found near each other and no antagonistic behavior was observed. A trail-laying device was developed in order to follow individual travel routes. The trailer consists of a light weight housing fastened to the turtle's back. It contains a spool of white thread that unwinds as the turtle moves, thus marking its exact route. Turtles selected for this more detailed study were followed with trailers for a total of 456 turtle days. Maps illustrating their travels are shown. Normal movements within the home range are characterized by, (1) turns, doublings, detours, and criss-crossing paths completely covering the area, (2) interspersion of fairly direct traverses of the home range, (3) frequently repeated travels over certain paths or routes. Trailer records and mapped collection records both show that the maximum limits of the home range are ordinarily reached within a few days or weeks. This general procedure is varied by some turtles to include intensive coverage of only one portion of the range at a time. Some turtles have two home ranges and travel between them at infrequent intervals. One turtle showing this behavior was followed with a trailer for 161 days during 1946 and 1947. Trips outside the home range are made by some turtles. These include egg laying trips by females as well as trips of unexplained nature made by both males and females. Turtles from other areas occasionally occur as transients in the study plot. The size of the population was estimated on the basis of collections during on

Ecological Monographs↗

Pinyon and juniper encroachment into sagebrush ecosystems impacts distribution and survival of greater sage-grouse

In sagebrush ( Artemisia spp.) ecosystems, encroachment of pinyon ( Pinus spp.) and juniper ( Juniperus spp.; hereafter, “pinyon-juniper”) trees has increased dramatically since European settlement. Understanding the impacts of this encroachment on behavioral decisions, distributions, and population dynamics of greater sage-grouse (Centrocercus urophasianus) and other sagebrush obligate species could help benefit sagebrush ecosystem management actions. We employed a novel two-stage Bayesian model that linked avoidance across different levels of pinyon-juniper cover to sage-grouse survival. Our analysis relied on extensive telemetry data collected across 6 yr and seven subpopulations within the Bi-State Distinct Population Segment (DPS), on the border of Nevada and California. The first model stage indicated avoidance behavior for all canopy cover classes on average, but individual grouse exhibited a high degree of heterogeneity in avoidance behavior of the lowest cover class (e.g., scattered isolated trees). The second stage modeled survival as a function of estimated avoidance parameters and indicated increased survival rates for individuals that exhibited avoidance of the lowest cover class. A post hoc frailty analysis revealed the greatest increase in hazard (i.e., mortality risk) occurred in areas with scattered isolated trees consisting of relatively high primary plant productivity. Collectively, these results provide clear evidence that local sage-grouse distributions and demographic rates are influenced by pinyon-juniper, especially in habitats with higher primary productivity but relatively low and seemingly benign tree cover. Such areas may function as ecological traps that convey attractive resources but adversely affect population vital rates. To increase sage-grouse survival, our model predictions support reducing actual pinyon-juniper cover as low as 1.5%, which is lower than the published target of 4.0%. These results may represent effects of pinyon-juniper cover in areas with similar ecological conditions to those of the Bi-State DPS, where populations occur at relatively high elevations and pinyon-juniper is abundant and widespread.

Rangeland Ecology and Management↗

Global trends in emerging viral diseases of wildlife origin

Fifty years ago, infectious diseases were rarely considered threats to wildlife populations, and the study of wildlife diseases was largely a neglected endeavor. Furthermore, public health leaders at that time had declared that &ldquo;it is time to close the book on infectious diseases and the war against pestilence won,&rdquo; a quote attributed to Dr. William H. Stewart in 1967. There is some debate whether he actually said these words; however, they reflect the widespread belief at that time (Spellberg, 2008). Leap forward to today, and the book on infectious diseases has been dusted off. There is general consensus that the global environment favors the emergence of infectious diseases, and in particular, diseases of wildlife origin (Taylor et al., 2001). Examples of drivers of these infectious diseases include climate and landscape changes, human demographic and behavior changes, global travel and trade, microbial adaptation, and lack of appropriate infrastructure for wildlife disease control and prevention (Daszak et al., 2001). The consequences of these emerging diseases are global and profound with increased burden on the public health system, negative impacts on the global economy and food security, declines and extinctions of wildlife species, and subsequent loss of ecosystem integrity. For example, 35 million people are currently living with HIV infection globally (http://www.who.int/gho/hiv/en); 400 million poultry have been culled since 2003 as a result of efforts to control highly pathogenic H5N1 avian influenza (http://www.fao.org/avianflu/en/index.html), and there are increasing biological and ecological consequences. Examples of health threats to biodiversity include the &ldquo;spillover&rdquo; of human diseases to great ape populations (K&ouml;ndgen et al., 2008), the near-extirpation of the black-footed ferret from canine distemper and sylvatic plague (for a review see Abbott et al., 2012), and threats to Hawaiian forest birds from introduced pathogens such as avian malaria and avian pox (van Riper et al., 1986, 2002). There are also newly discovered pathogens or diseases that have resulted in population declines, and global extinctions of several species. Examples include Batrachochytrium dendrobatidis, which causes a cutaneous fungal infection of amphibians and is linked to declines of amphibians globally (Kriger and Hero, 2009); and recently discovered Pseudogymnoascus (Geomyces) destructans, the etiologic agent of white-nose syndrome (WNS), which has caused precipitous declines of North American bat species (Blehert et al., 2009). Furthermore, there is increasing evidence of the subsequent impacts on human and ecosystem health; for example, increasing risk of exposure to Lyme disease as a consequence of decreased biodiversity (LoGiudice et al., 2003) as well as the economic cost of the loss of bats due to decreased insect control services (Boyles et al., 2011). Figure A12-1 is a timeline of important diseases investigated by the U.S. Geological Survey since the 1970s, which illustrates three factors: 1. The unprecedented emergence of new pathogens and geographic spread of known pathogens since the 1990s; 2. Diseases are increasingly causing large-scale, negative impacts on wildlife populations and spreading over larger geographic areas rather than remaining localized; and 3. Diseases are increasingly of concern for multiple sectors, including public health, agriculture and wildlife management agencies. Of increasing concern are these novel diseases such as WNS as they are hard to anticipate, particularly devastating to human health or wildlife populations, challenging to manage, spread over large geographic areas in short time periods, and may result in ecological ripple effects that are difficult to predict. The following article provides examples of recently emerged viral diseases of wildlife origin. The examples have been selected to illustrate the drivers of emerging viral diseases, both novel pathogens and previously known diseases, the impacts of these diseases, as well as the role of wildlife both as &ldquo;villains&rdquo; or reservoirs as well as &ldquo;victims&rdquo; of these viral diseases. The article also discusses potential management strategies for emerging viral diseases in wildlife populations and future science directions in wildlife health to prevent, prepare, respond to, and recover from these disease events. Finally, the concept of One Health and its potential role in developing solutions to these issues of mutual concern is discussed.

Conference Paper↗

Effects of snake fungal disease on short‐term survival, behavior, and movement in free‐ranging snakes

Pathogenic fungi are increasingly associated with epidemics in wildlife populations. Snake fungal disease (SFD, also referred to as Ophidiomycosis) is an emerging threat to snakes, taxa that are elusive and difficult to sample. Thus, assessments of the effects of SFD on populations have rarely occurred. We used a field technique to enhance detection, Passive Integrated Transponder (PIT) telemetry, and a multi‐state capture–mark–recapture model to assess SFD effects on short‐term (within‐season) survival, movement, and surface activity of two wild snake species, Regina septemvittata (Queensnake) and Nerodia sipedon (Common Watersnake). We were unable to detect an effect of disease state on short‐term survival for either species. However, we estimated Bayesian posterior probabilities of >0.99 that R. septemvittata with SFD spent more time surface‐active and were less likely to permanently emigrate from the study area. We also estimated probabilities of 0.98 and 0.87 that temporary immigration and temporary emigration rates, respectively, were lower in diseased R. septemvittata . We found evidence of elevated surface activity and lower temporary immigration rates in diseased N. sipedon , with estimated probabilities of 0.89, and found considerably less support for differences in permanent or temporary emigration rates. This study is the first to yield estimates for key demographic and behavioral parameters (survival, emigration, surface activity) of snakes in wild populations afflicted with SFD. Given the increase in surface activity of diseased snakes, future surveys of snake populations could benefit from exploring longer‐term demographic consequences of SFD and recognize that disease prevalence in surface‐active animals may exceed that of the population as a whole.

Ecological Applications↗

Assessing large landscape patterns of potential fire connectivity using circuit methods

Context Minimizing negative impacts of wildfire is a major societal objective in fire-prone landscapes. Models of fire connectivity can aid in understanding and managing wildfires by analyzing potential fire spread and conductance patterns. We define ‘fire connectivity’ as the landscape’s capacity to facilitate fire transmission from one point on the landscape to another. Objectives Our objective was to develop an approach for modeling fire connectivity patterns representing potential fire spread and relative flow across a broad landscape extent, particularly in the management-relevant context of fuel breaks. Methods We applied an omnidirectional circuit theory algorithm to model fire connectivity in the Great Basin of the western United States. We used predicted rates of fire spread to approximate conductance and calculated current densities to identify connections among areas with high spread rates. We compared existing and planned fuel breaks with fire connectivity patterns. Results Fire connectivity and relative flow outputs were characterized by spatial heterogeneity in the landscape’s capacity to transmit fire. We found that existing fuel break networks were denser in areas with relatively diffuse and impeded flow patterns, rather than in locations with channelized flow. Conclusions This approach could be paired with traditional fire behavior and risk analyses to better understand wildfire spread as well as direct strategic placement of individual fuel breaks within larger networks to constrain fire spread. Thus, our findings may offer local- to landscape-level support for management actions that aim to disrupt fire spread and mitigate the costs of fire on the landscape.

California, Idaho, Nevada, Oregon, Utah↗

White-tailed deer detection rates increase when coyotes are present

Predator species can indirectly affect prey species through the cost of anti-predator behavior responses, which may involve shifts in occupancy, space use, or movement. Quantifying the various strategies implemented by prey species to avoid adverse interactions with predators can lead to a better understanding of potential population-level repercussions. Therefore, the purpose of this study was to examine predator–prey interactions by quantifying the effect of predator species presence on detection rates of prey species, using coyotes ( Canis latrans ) and white-tailed deer ( Odocoileus virginianus ) in Central Appalachian forests of the eastern United States as a model predator–prey system. To test two competing hypotheses related to interspecific interactions, we modeled species detections from 319 camera traps with a two-species occupancy model that incorporated a continuous-time detection process. We found that white-tailed deer occupancy was independent of coyote occupancy, but white-tailed deer were more frequently detectable and had greater detection intensity at sites where coyotes were present, regardless of vegetation-related covariates. In addition, white-tailed deer detection rates at sites with coyotes were highest when presumed forage availability was relatively low. These findings suggest that white-tailed deer may be exhibiting an active avoidance behavioral response to predators by increasing movement rates when coyotes are present in an area, perhaps due to reactive evasive maneuvers and/or proactive attempts to reduce adverse encounters with them. Concurrently, coyotes could be occupying sites with higher white-tailed deer densities. Because white-tailed deer did not exhibit significant shifts in daily activity patterns based on coyote occupancy, we further suggest that white-tailed deer in our study system generally do not use temporal partitioning as their primary strategy for avoiding encounters with coyotes. Overall, our study implements a recently developed analytical approach for modeling multi-species occupancy from camera traps and provides novel ecological insight into the complex relationships between predator and prey species.

Pennsylvania, West Virginia↗

Competing risks and the development of adaptive management plans for water resources: Field reconnaissance investigation of risks to fishes and other aquatic biota exposed to endocrine disrupting chemicals (edcs) in lake mead, Nevada USA

The analysis and characterization of competing risks for water resources rely on a wide spectrum of tools to evaluate hazards and risks associated with their management. For example, waters of the lower Colorado River stored in reservoirs such as Lake Mead present a wide range of competing risks related to water quantity and water quality. These risks are often interdependent and complicated by competing uses of source waters for sustaining biological resources and for supporting a range of agricultural, municipal, recreational, and industrial uses. USGS is currently conducting a series of interdisciplinary case-studies on water quality of Lake Mead and its source waters. In this case-study we examine selected constituents potentially entering the Lake Mead system, particularly endocrine disrupting chemicals (EDCs). Worldwide, a number of environmental EDCs have been identified that affect reproduction, development, and adaptive behaviors in a wide range of organisms. Many EDCs are minimally affected by current treatment technologies and occur in treated sewage effluents. Several EDCs have been detected in Lake Mead, and several substances have been identified that are of concern because of potential impacts to the aquatic biota, including the sport fishery of Lake Mead and endangered razorback suckers (Xyrauchen texanus) that occur in the Colorado River system. For example, altered biomarkers relevant to reproduction and thyroid function in fishes have been observed and may be predictive of impaired metabolism and development. Few studies, however, have addressed whether such EDC-induced responses observed in the field have an ecologically significant effect on the reproductive success of fishes. To identify potential linkages between EDCs and species of management concern, the risk analysis and characterization in this reconnaissance study focused on effects (and attendant uncertainties) that might be expressed by exposed populations. In addition, risk reduction measures that may be of interest to resource managers are considered relative to emerging contaminants in treated effluents, interdependencies among biological resources at risk, and uses of reservoir waters derived from multiple inflows of widely varying qualities. ??2009 ASCE.

Nevada↗

Improving conservation outcomes with a new paradigm for understanding species’ fundamental and realized adaptive capacity

Worldwide, many species are responding to ongoing climate change with shifts in distribution, abundance, phenology, or behavior. Consequently, natural-resource managers face increasingly urgent conservation questions related to biodiversity loss, expansion of invasive species, and deteriorating ecosystem services. We argue that our ability to address these questions is hampered by the lack of explicit consideration of species&rsquo; adaptive capacity (AC). AC is the ability of a species or population to cope with climatic changes and is characterized by three fundamental components: phenotypic plasticity, dispersal ability, and genetic diversity. However, few studies simultaneously address all elements; often, AC is confused with sensitivity or omitted altogether from climate-change vulnerability assessments. Improved understanding, consistent definition, and comprehensive evaluations of AC are needed. Using classic ecological-niche theory as an analogy, we propose a new paradigm that considers fundamental and realized AC: the former reflects aspects inherent to species, whereas the latter denotes how extrinsic factors constrain AC to what is actually expressed or observed. Through this conceptualization, we identify ecological attributes contributing to AC, outline areas of research necessary to advance understanding of AC, and provide examples demonstrating how the inclusion of AC can better inform conservation and natural-resource management.

Conservation Letters↗

Impacts of mesquite distribution on seasonal space use of lesser prairie-chickens

Loss of native grasslands by anthropogenic disturbances has reduced availability and connectivity of habitat for many grassland species. A primary threat to contiguous grasslands is the encroachment of woody vegetation, which is spurred by disturbances that take on many forms from energy development, fire suppression, and grazing. These disturbances are exacerbated by natural- and human-driven cycles of changes in climate punctuated by drought and desertification conditions. Encroachment of honey mesquite (Prosopis glandulosa) into the prairies of southeastern New Mexico has potentially limited habitat for numerous grassland species, including lesser prairie-chickens (Tympanuchus pallidicinctus) . To determine the magnitude of impacts of distribution of mesquite and how lesser prairie-chickens respond to mesquite presence on the landscape in southeastern New Mexico, we evaluated seasonal space use of lesser prairie-chickens in the breeding and nonbreeding seasons. We derived several remotely sensed spatial metrics to characterize the distribution of mesquite. We then used these data to create population-level resource utilization functions and predict intensity of use of lesser prairie-chickens across our study area. Home ranges were smaller in the breeding season compared with the nonbreeding season; however, habitat use was similar across seasons. During both seasons, lesser prairie-chickens used areas closer to leks and largely avoided areas with mesquite. Relative to the breeding season, during the nonbreeding season habitat use suggested a marginal increase in mesquite within areas of low intensity of use, yet aversion to mesquite was strong in areas of medium to high intensity of use. To our knowledge, our study is the first to demonstrate a negative behavioral response by lesser prairie-chickens to woody encroachment in native grasslands. To mitigate one of the possible limiting factors for lesser prairie-chickens, we suggest future conservation strategies be employed by land managersto reduce mesquite abundance in the southern portion of their current range.

New Mexico↗

Quantifying animal movement for caching foragers: the path identification index (PII) and cougars, Puma concolor

Relocation studies of animal movement have focused on directed versus area restricted movement, which rely on correlations between step-length and turn angles, along with a degree of stationarity through time to define behavioral states. Although these approaches may work well for grazing foraging strategies in a patchy landscape, species that do not spend a significant amount of time searching out and gathering small dispersed food items, but instead feed for short periods on large, concentrated sources or cache food result in movements that maybe difficult to analyze using turning and velocity alone. We use GPS telemetry collected from a prey-caching predator, the cougar (Puma concolor), to test whether adding additional movement metrics capturing site recursion, to the more traditional velocity and turning, improve the ability to identify behaviors. We evaluated our movement index’s ability to identify behaviors using field investigations. We further tested for statistical stationarity across behaviors for use of topographic view-sheds. We found little correlation between turn angle, velocity, tortuosity, and site fidelity and combined them into a movement index used to identify movement paths (temporally autocorrelated movements) related to fast directed movements (taxis), area restricted movements (search), and prey caching (foraging). Changes in the frequency and duration of these movements were helpful for identifying seasonal activities such as migration and denning in females. Comparison of field investigations of cougar activities to behavioral classes defined using the movement index and found an overall classification accuracy of 81%. Changes in behaviors resulted in changes in how cougars used topographic view-sheds, showing statistical non-stationarity over time. The movement index shows promise for identifying behaviors in species that frequently return to specific locations such as food caches, watering holes, or dens, and highlights the role memory and cognitive abilities may play in determining animal movements. With the addition of measures capturing site recursion the temporal structure in movements of a caching forager was revealed.

Movement Ecology↗

Human disturbance of an avian scavenging guild

In order to investigate the effects of human activities on relationships within foraging guilds, we examined inacanus dynamics of eagles, crows, and gulls scavenging on spawned salmon in the Pacific Northwest. We examined several hypotheses that postulate the asymmetric foraging relationships of the three guild members and that reveal the influence of competition and facilitation in these relationships. Spatial and temporal patterns of resource use by the three primary guild members varied with the presence and absence of human activity at experimental feeding stations. At control (undisturbed) stations, eagles preferred to feed >100 m from vegetative cover, whereas gulls fed <50 m from cover. At experimental (disturbed) stations, eagles rarely fed, and feeding activity by gulls increased at both near and far stations. Crows often fed on alternate food sources in fields adjacent to the river, especially when salmon carcasses were scarce, whereas eagles and gulls rarely did so. We also examined if and how the behavior of single guild members changes in the presence or absence of other guild members. In the absence of eagles, gulls and crows preferred stations far from cover, numbers of both increased at feeding stations, birds were distributed nearer to carcasses, and they fed more. We emphasize that guild theory lends important insights to our understanding of the effects of human disturbance on wildlife communities.

Ecological Applications↗

Hydrologic record extension of water-level data in the Everglades Depth Estimation Network (EDEN), 1991-99

The real-time Everglades Depth Estimation Network (EDEN) has been established to support a variety of scientific and water management purposes. The expansiveness of the Everglades, limited number of gaging stations, and extreme sensitivity of the ecosystem to small changes in water depth have created a need for accurate water-level and water-depth maps. The EDEN water-surface elevation model uses data from approximately 240 gages in the Everglades to create daily continuous interpolations of the water-surface elevation and water depth for the freshwater portion of the Everglades from 2000 to the present (2014). These maps provide hydrologic data previously unavailable for assessing biological and ecological studies. Ecologists working in the Everglades expressed a need to the EDEN project team for daily EDEN water-level surfaces from 1990 to 1999. The additional 10 years of surfaces will provide ecologists and resource managers with two decades (1991&ndash;2011) of surfaces to analyze hydrologic dynamics. Before 2000, many of the EDEN gages used to generate water surfaces were not in operation. These datasets were extended to provide estimations of hydrologic time-series histories. The general approach to the record extension (hindcasts) was to (1) create a database of available data from 1990 to the present; (2) use dynamic cluster analysis to group stations with similar hydrologic behaviors for subareas of the Everglades with a large number of stations; (3) use results from the cluster analysis to select candidate explanatory variables; (4) develop linear regression or artificial neural network models to extend water-level records; and (5) evaluate record extensions by using model performance statistics and comparison of water-surface maps for similar hydrologic conditions for the hindcasted period (1991&ndash;99) and measured period (2000&ndash;11). To hindcast and fill data records, 214 empirical models were developed&mdash;189 are linear regression models and 25 are artificial neural network models. The coefficient of determination (R 2 ) for 163 of the models is greater than 0.80 and the median percent model error (root mean square error divided by the range of the measured data) is 5 percent. To evaluate the performance of the hindcast models as a group, contour maps of modeled water-level surfaces at 2-centimeter (cm) intervals were generated using the hindcasted data. The 2-cm contour maps were examined for selected days to verify that water surfaces from the EDEN model are consistent with the input data. The biweekly 2-cm contour maps did show a higher number of issues during days in 1990 as compared to days after 1990. May 1990 had the lowest water levels in the Everglades of the 21-year dataset used for the hindcasting study. To hindcast these record low conditions in 1990, many of the hindcast models would require large extrapolations beyond the range of the predictive quality of the models. For these reasons, it was decided to limit the hindcasted data to the period January 1, 1991, to December 31, 1999. Overall, the hindcasted and gap-filled data are assumed to provide reasonable estimates of station-specific water-level data for an extended historical period to inform research and natural resource management in the Everglades.

Florida↗

Competitive interactions between walleye (Sander vitreus) and smallmouth bass (Micropterus dolomieu) under various controlled conditions

The range of smallmouth bass (Micropterus dolomieu) is expanding northward, creating new interactions with native predators, including walleye (Sander vitreus). We used a series of experiments to investigate competition between walleye (WAE) and smallmouth bass (SMB) at different life stages and light conditions, identified behaviors that allowed one fish to outcompete another, and evaluated whether prey switching mitigated competitive interactions. Juvenile and adult SMB appeared to outcompete WAE when fed during the daytime; neither species dominated when fed near dusk. Attack rates and capture efficiencies of both species were similar with an intra- or interspecific competitor, but SMB often exploited prey before the competitor had a chance to feed (exploitative competition) or displayed agonistic behaviors toward a potential competitor (interference competition). Prey selectivity of WAE or SMB did not differ when by themselves or with a potential competitor. These results indicate that SMB could outcompete WAE under limiting prey conditions due to the aggressive nature of SMB, but resources may be partitioned at least along a temporal scale. ?? 2011 Taylor & Francis.

Journal of Freshwater Ecology↗