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The effects of human-caused mortality on mammalian cooperative breeders: A synthesis

Human-caused mortality can be pervasive and even highly selective for individuals in groups of cooperative breeders. Many studies of cooperative breeders, however, do not address human-caused mortality. Similarly, studies focused on the effects of human-caused mortality on wildlife populations often do not consider the ecology of cooperative breeders. We searched the literature and identified 58 studies where human-caused mortality affected a group characteristic, vital rate, or population state of a cooperative breeder. Of studies reporting population growth or decline, 80% reported a link between human-caused mortality and population declines in cooperative breeders. Such studies often did not identify the mechanism behind population declines, but 28% identified concurrent declines in adult survival and another 21% reported concurrent declines in recruitment or reproduction. There was little overlap between the cooperative breeding and human-caused mortality literatures, limiting our ability to accrue knowledge. Future work would be beneficial if it ( i ) identified the vital rate(s) causing population declines, ( ii ) leveraged management actions such as lethal removal to ask questions about the ecology of group-living in cooperative breeders, and ( iii ) used insights from cooperative breeding theory to inform management actions and conservation of group-living species.

Biological Reviews↗

Occurrence, resource use, and demography of the common raven in North America: A research synthesis

We reviewed the scientific literature to inventory existing studies of common raven ( Corvus corax ; raven) ecology in western North America. We conducted an intial literature review between June 2015 and March 2018. Prior to completing our review, we revisited the published literature for any additional relevant studies in July 2021. Our goal was to identify knowledge gaps and to synthesize the current understanding of environmental features that may support raven populations that pose general threats to biodiversity and sensitive species in particular. We focused our review on studies with direct conservation applications related to 3 processes of raven ecology: occurrence, resource use, and demography. We identified covariates that researchers associated with these processes of raven ecology, and we also quantified the geographic distribution of studies. Our review identified 54 studies, with an increasing number of studies published per decade and a geographic bias characterized by more studies conducted in the Mojave and Columbia Plateau ecoregions than elsewhere. Most studies (44) reported on a single ecological process, but 10 studies reported on multiple ecological processes. Results related to raven occurrence appeared 31 times; demographic results appeared 21 times; and resource use was reported 17 times. We also identified 13 explanatory covariates regularly invoked to explain variation in raven ecological processes. Greater attention was given to covariates including vegetation land cover, human settlement, recreation, and linear rights-of-ways than were used to explain variation in ecological processes. Most demographic studies investigated raven reproduction exclusively, but a small number of studies considered raven survival exclusively or in combination with reproduction. Along with a detailed summary of individual studies provided as an appendix, we intend for our findings to serve as a reference and to help identify future research priorities.

Human–Wildlife Interactions↗

Viability modeling for decision support with limited data: A lizard case study

Plateau spot-tailed earless lizards, Holbrookia lacerata, are a species of ground lizard in central Texas that are under review for listing as endangered under the US Endangered Species Act, but heretofore no predictive models of population dynamics or viability have been developed. We used limited available data and published demographic rates in a PVA model to predict future status of these lizards under parametric and ecological uncertainty and temporal variability. Even in cases where data are sparse and life history information are limited, viability models can help clarify the consequences of management choices given the uncertainty. Our model predicted that on average populations will decline in in the future. Quasi-extinction probability was low 20 years into the future but up to 0.60. Extinction risk was highly dependent on the road mortality effect and the proportion of the population exposed to roadways, both of which are currently uncertain quantities. Despite these unknowns, our model enables managers to consider the future abundance and extinction risk for the species and make decisions about management to project the populations and also identifies key uncertainties for future research and monitoring.

Texas↗

Duck plague epizootics in the United States, 1967-1995

In 1967, the first confirmed diagnosis of duck plague (DP) in the USA was made from pekin ducks ( Anas platyrhynchos domesticus ) on commercial duck farms on Long Island, New York. Within 10 mo, DP was confirmed as the cause of death in migratory waterfowl on a Long Island bay. This paper reviews 120 DP epizootics reported from 1967 to 1995 that involved waterfowl species native to North America or were reported in areas with free-flying waterfowl at risk. Duck plague epizootics occurred in 21 states with the greatest number reported in Maryland (29), New York (18), California (16), and Pennsylvania (13). The greatest frequency of epizootics (86%) was detected during the months of March to June. At least 40 waterfowl species were affected with the highest frequency of epizootics reported in captive or captive-reared ducks including muscovy ducks ( Cairina moschata ) (68%), mallard ducks ( A. platyrhynchos ) (18%) and black ducks ( A. rubripes ) (14%). The greatest number of waterfowl died in three epizootics that involved primarily migratory birds in 1967 and 1994 in New York (USA) and 1973 in South Dakota (USA). The greatest number of DP epizootics reported since 1967 appear to have involved flocks of non-migratory rather than migratory waterfowl; therefore, in our opinion it remains unknown if DP is enzootic in either non-migratory or migratory waterfowl.

Journal of Wildlife Diseases↗

Arsenic and mercury contamination related to historical goldmining in the Sierra Nevada, California

Arsenic (As) is a naturally occurring constituent in low-sulphide gold-quartz vein deposits, the dominant deposit type for lode mines in the Sierra Nevada Foothills (SNFH) gold (Au) province of California. Concentrations of naturally occurring mercury (Hg) in the SNFH Au province are low, but extensive use and loss of elemental Hg during amalgamation processing of ore from lode and placer Au deposits led to widespread contamination of Hg in the Sierra Nevada foothills and downstream areas, such as the Sacramento–San Joaquin Delta and San Francisco Bay. This review paper provides an overview of As and Hg contamination related to historical Au mining in the Sierra Nevada of California. It summarizes the geology, mineralogy, and geochemistry of the Au deposits, and provides information on specific areas where detailed studies have been done in association with past, ongoing, and planned remediation activities related to the environmental As and Hg contamination. Arsenic is a naturally occurring constituent in low-sulphide Au-quartz vein deposits, the dominant deposit type for lode mines in the Sierra Nevada Foothills (SNFH) Au province ( Ashley 2002 ). Because of elevated concentrations of As in accessory iron-sulphide minerals including arsenopyrite (FeAsS) and arsenian pyrite (Fe(S,As) 2 ), As is commonly a contaminant of concern in lode Au mine waste, including waste rock and mill tailings. The principal pathways of human As exposure from mine waste include ingestion of soil or drinking water, and inhalation of dust in contaminated areas ( Mitchell 2014 ). Concentrations of naturally occurring Hg in the SNFH Au province are low, but extensive use and loss of elemental Hg during amalgamation processing of ore from lode and placer Au deposits ( Churchill 2000 ) led to widespread contamination of Hg in the Sierra Nevada foothills and downstream areas, such as the Sacramento–San Joaquin Delta and San Francisco Bay ( Alpers et al. 2005 a ). Conversion of Hg to monomethylmercury (MeHg) by sulphate-reducing and iron-reducing microbes facilitates its bioaccumulation ( Wiener et al. 2003 ). The human Hg exposure pathway of main concern is ingestion of MeHg from sport (non-commercial) fish, especially higher trophic levels such as bass species ( Davis et al. 2008 ). Wildlife exposure to MeHg is also a concern because of chronic and reproductive effects, for example in fish-eating and invertebrate-foraging birds (e.g. Wiener et al. 2003 ; Eagles-Smith et al. 2009 ; Ackerman et al. 2016 ).

California↗

Challenges and opportunities in mitigating sarcoptic mange in wild South American camelids

Vicuñas ( Vicugna vicugna ) and guanacos ( Lama guanicoe ) are the two species of wild South American camelids whose distributions range from Peru to northern Argentina and southern Peru to southern Argentina, respectively. Listed as critically endangered in the 1960s due to poaching, vicuña numbers had been gradually recovering; however, new concerns about population stability have arisen with recent observations of sarcoptic mange outbreaks in this species. Sarcoptic mange is an infectious skin disease caused by the microscopic burrowing mite, Sarcoptes scabiei , which infects nearly 150 mammalian species globally, including guanaco and vicuña. Wild camelid populations across Argentina, Bolivia, Chile, and Peru have been affected by sarcoptic mange, with the most severe outbreaks resulting in localized extirpation. Population declines have conservation and economic implications, as many local communities harvest vicuña and guanaco fiber for profit. We review the current literature on sarcoptic mange in wild camelids from Argentina, Bolivia, Chile, and Peru to establish a current state of knowledge on spatial prevalence, management, and therapeutics, and identify existing knowledge gaps. Critical next steps include 1) implementation of effective management strategies that limit the transmission of sarcoptic mange, 2) standardization of data collected during community capture (i.e., chaccu) events, 3) assessing the potential role of community captures in mite transmission, and 4) evaluation of treatment options and best practices for implementation. Further, there is a need for capacity building to improve disease diagnostics and surveillance in wild camelids. A multisectoral collaboration between governmental authorities, communities, academic institutions, and national and international organizations focusing on wild South American camelid conservation could contribute to building actions aimed at preventing future outbreaks and mitigating the current burden of sarcoptic mange disease.

Journal of Wildlife Management↗

The present status of the United States commercial fisheries of the Great Lakes

This review of the trends in production on the Great Lakes suggests that great biological changes have taken place. The general abundance of the choicer varieties, and of some of the less choice fishes, has been lowered considerably; and the prospects are that this level will fall still farther. In addition, the niches occupied by these finer species in the lakes have not been filled by coarser forms. Much of the reduced abundance in modern fishery must be attributed to overfishing or unwise fishing (cisco, whitefish, lake trout, chubs). Part of it we believe was caused by an infectious disease as was true for the smelt; part of it by the parasitic predator, the sea lamprey. Perhaps increased competition for space or food such as might have been brought about by the smelt in Lakes Huron and Michigan or the alewives in Lake Ontario may have played a role. Pollution, too, may have taken its toll. Often we have no better explanation to offer than to state that some unknown change in the environment was responsible.

Transactions of the North American Wildlife Confer↗

2,3,7,8-Tetrachlorodibenzo-p-dioxin equivalents in tissues of birds at Green Bay, Wisconsin, USA

The environment has become contaminated with complex mixtures of planar, chlorinated hydrocarbons (PCHs) such as polychlorinated biphenyls (PCBs), polychlorinated dibenzo- p -dioxins (PCDDs), polychlorinated dibenzofurans (PCDFs) and structurally similar compounds. Because the potencies of individual congeners to cause the same adverse effects vary greatly and the relative as well as absolute concentrations of individual PCH vary among samples from different locations, it is difficult to assess the toxic effects of these mixtures on wildlife. These compounds can cause a number of adverse effects, however, because the toxic effects which occur at ecologically-relevant concentrations such as embryo-lethality and birth defects appear to be mediated through the same mechanism, the potency of individual congeners can be reported relative to 2,3,7,8-tetrachlorodibenzo- p -dioxin (2,3,7,8-TCDD) which is the most toxic congener in the PCH class. The concentations of 2,3,7,8-TCDD Equivalents (TCDD-EQ) were determined in the tissues of aquatic and terrestrial birds of Green Bay, Wisconsin by the H4IIE bioassay system and compared toxic equivalency factors (TEFs) with the concentration predicted by the use of toxic equivalency factors applied to concentrations of PCH, which were determined by instrumental analyses. Concentrations of TCDD-EQ ranged from 0.52 to 440 ng/kg, wet weight. The greatest concentrations occurred in the fish-eating birds. Concentrations of TCDD-EQ, which were determined by the two methods were significantly correlated, but the additive model which used the TEFs with concentrations of measured PCB, PCDD and PCDF congeners underestimated the concentrations of TCDD-EQ measured by the H4IIE bioassay by an average of 57%. This is thought to be due to contributions from un-quantified PCH, which are known to occur in the environment. Of the quantified PCH congeners, PCDD and PCDF contributed a small portion of the TCDD-EQ in the aquatic birds, while most of the TCDD-EQ were due to non-ortho-substituted PCBs. In the terrestrial birds, the proportion of the TCDD-EQ contributed by the PCDD and PCDF was greater. This paper has been reviewed in accord with U.S. Environmental Protection Agency policy. Mention of specific products or trade names does not imply endorsement by the U.S. Government.

Archives of Environmental Contamination and Toxico↗

Simulation modeling to assess line transect distance sampling under a range of translocation scenarios

The accuracy of posttranslocation population monitoring methods is critical to assessing long-term success in translocation programs. Translocation can produce unique challenges to monitoring efforts; therefore, it is important to understand the flexibility and robustness of commonly used monitoring methods. In Florida, USA, thousands of gopher tortoises Gopherus polyphemus have been, and continue to be, translocated from development sites to permitted recipient sites. These recipient sites create a broad range of potential monitoring scenarios due to variability in soft-release strategies, habitat conditions, and population demographics. Line transect distance sampling is an effective method for monitoring natural tortoise populations, but it is currently untested for translocated populations. We therefore produced 3,024 individual-based, spatially explicit scenarios of translocated tortoise populations that differed in recipient site and tortoise population properties, based on real-world examples, literature review, and expert opinion. We virtually sampled simulated tortoise populations by using line transect distance sampling methods and built a Bayesian hierarchical model to estimate the population density for each simulation, which incorporated individual-level covariates (i.e., burrow width and burrow occupancy). Line transect distance sampling was largely appropriate for the conditions that typify gopher tortoise recipient sites, particularly when detection probability on the transect lines was greater than or equal to 0.85. Designing the layout of transects relative to the orientation of soft-release pens, to avoid possible sampling biases that lead to extreme outliers in estimates of tortoise densities, resulted in more accurate population estimates. We also suggest that use of individual-level covariates, applied using a Bayesian framework as demonstrated in our study, may improve the applicability of line transect distance sampling surveys in a variety of contexts and that simulation can be a powerful tool for assessing survey design in complex sampling situations.

Florida↗

Predation on waterfowl in arctic tundra and prairie breeding areas: A review

Predation is a natural component of waterfowl population biology, but environmental alterations have changed the magnitude and importance of predation on waterfowl breeding areas. We reviewed the status of waterfowl populations, adaptations of waterfowl that minimize impacts of predation, and the impacts of predation on waterfowl populations in 2 major North American breeding areas, the Arctic and Prairie Regions. We identified the underlying factors contributing to most waterfowl predation problems to be changes in essential breeding habitats and changes in predator community composition and abundance. In the Arctic, high predation rates on waterfowl eggs and young are usually associated with predators gaining access to populations that were previously isolated. In the prairie, predation problems are often related to large-scale habitat degradation coupled with changes in predator communities. Predation problems are often symptomatic of inadequate habitat management, but we recognize that habitat management alone is not always sufficient to effectively manage predation problems. Predation management efforts should be integrated with strategies of long-term management of habitats critical to breeding waterfowl, strategies embraced by the North American Waterfowl Management Plan. Predation management must be tailored to different situations and include an element of flexibility that allows appropriate response to the dynamic nature of factors influencing survival and recruitment.

Wildlife Society Bulletin↗

Storeria occipitomaculata (Red-bellied Snake)

STORERIA OCCIPITOMACULATA (Red-bellied Snake). USA: LOUISIANA: St. Mary Parish: Bayou Teche National Wildlife Refuge (29.69425N, 91.46701W; WGS 84). 18 August 2022. William C. Carroll and Aidan G. Phillips. Verified by Coleman M. Sheehy III. Florida Museum of Natural History, University of Florida (UF 193423; photo voucher). Adult photographed in leaf litter in a wet bottomland hardwood forest with a mixed composition of hardwood trees and Dwarf Palmetto (Sabal minor). New parish record (Dundee and Rossman 1989. The Amphibians and Reptiles of Louisiana. Louisiana State University Press, Baton Rouge, Louisiana. 300 pp.). The snake was found 68.5 km to the east-southeast from the nearest other documented specimen in Vermilion Parish (UF 177730; Muse et al. 2016. Herpetol. Rev. 47:266). This record is the second documentation of S. occipitomaculata in a coastal Louisiana parish (Muse et al. 2016, op. cit.). These two recent findings challenge our previous understanding that this species is absent from coastal parishes (Boundy and Carr 2017. Amphibians & Reptiles of Louisiana: An Identification and Reference Guide. Louisiana State University Press, Baton Rouge, Louisiana. 282 pp.). Storeria occipitomaculata is fossorial and can be difficult to locate, but these two recent records suggest additional populations may yet be discovered where suitable forested habitat exists along the coast.

Louisiana↗

An overview of sea otter studies

The Exxron Valdez oil spill (EVOS) on 24 March 1989 threatened extensive areas of prime sea otter ( Enhydra lutris ) habitat along the coasts of south-central Alaska. The spill occurred in northeastern Prince William Sound (PWS), and oil moved rapidly south and west through PWS into the Gulf of Alaska. Much of the coastline of western PWS was heavily oiled, and the slick eventually spread as far southwest as Kodiak Island and the Alaska Peninsula (Galt and Payton 1990; Morris and Loughlin, Chapter 1). All coastal waters affected by the spill were inhabited by sea otters. Concern for the survival of sea otters following the oil spill was immediate and well founded. Sea otters are particularly vulnerable to oil contamination because they rely on pelage rather than blubber for insulation, and oiling drastically reduces the insulative value of the fur (Costa and Kooyman 1982; Siniff et al. 1982; Geraci and Williams 1990). Within days of the spill, recovery of oiled live otters and carcasses began. During the several months following the spill, sea otters became symbolic of the mortality associated with the spilled oil, and of the hope for rescue and recovery of injured wildlife (Batten 1990). An extensive sea otter rescue and rehabilitation effort was mounted in the weeks and months following the spill. Handling and treatment of the captive sea otters posed an enormous and difficult challenge, given the large number of otters held at the facilities and minimal prior experience in caring for oiled sea otters. Rehabilitation of sea otters was a separate effort from the postspill studies designed to evaluate injury to the otter populations and is not addressed in this chapter only as it relates to evaluation of damage assessment studies. Detailed information on the rehabilitation effort is presented in Bayha and Kormendy (1990) and Williams and Davis (1990). Sea otters retained a high profile in the Natural Resource Damage Assessment (NRDA) studies largely because the initial injury to the sea otter population was readily demonstrable, but also because of concerns about long-term damages. The scope of the postspill studies to assess oil-related damages to sea otters was extensive: From 1989 through 1993, more than $3,000,000 was spent, and more than 20 scientists were involved in a comprehensive research program. The studies were predominantly directed at sea otter populations in PWS. Damages to sea otters generally can be classified as either acute, defined as spill-related deaths occurring during the spill, or chronic, defined as longer term lethal or sublethal oil-related injuries. Studies of acute damages focused on estimating the total initial loss of sea otters. Characterization of the pathologies associated with exposure to oil was a secondary goal of studies of acute effects. Chronic or longer term damages may have resulted from sublethal initial exposure or continued exposure to hydrocarbons persisting in the environment. Studies of chronic effects included evaluating abundance and distribution, survival and reproduction rates, foraging behavior, and pathological, physiological, and toxicological changes in the years following the spill. The objective of this chapter is to review the studies conducted on sea otters in response to the EVOS and to synthesize the major findings of those studies relative to injury to the sea otter population associated with exposure to oil. We also provide recommendations for research to improve our understanding of the effects of future oil spills on Sea otter populations.

Alaska↗

Appendix 6: Overview of iPOM 2.0: Updates to wolf abundance estimation in Montana

Montana Fish, Wildlife and Parks (MFWP) uses the integrated Patch Occupancy Model (iPOM) to estimate statewide and regional wolf abundance. During the early years of recovery, wolf abundance was tracked using minimum counts. As the population increased, limitations of this method became apparent, motivating development of a model-based approach for estimating abundance. iPOM development began in 2006, was operationalized in 2013, and has been used in its current form (iPOM 1.0) since 2021. Since its inception, iPOM has been developed and presented as an adaptive modeling framework intended to evolve as new data and analytical methods become available1. Here, we briefly present ongoing work to produce the next iteration of iPOM, hereafter iPOM 2.0, and summarize major model updates and resulting preliminary wolf abundance estimates. iPOM uses models for occupancy, territory size, and pack size, along with monitoring data collected by MFWP wolf specialists and potential wolf sightings reported by deer and elk hunters during the 5-week general rifle season each Nov-Dec. These monitoring data, wolf sightings, and covariates for habitat and survey effort are used to model occupancy of packs on a statewide grid of 600-km 2 cells. The area used by wolves is then estimated as each cell’s occupancy estimate multiplied by grid cell area. iPOM estimates pack abundance by dividing this area by predicted territory sizes, and in-pack wolf abundance by multiplying pack abundance by estimated group size. This is combined with a lone wolf rate to estimate total wolf abundance (see Sells et al. 1 for a full description of iPOM 1.0). This technical summary provides a high-level overview of the proposed iPOM updates and their implications for wolf abundance estimates. The estimates presented here represent results as of June 2026 and are provided to inform upcoming discussions surrounding harvest management and regulations (e.g., season dates, quotas, methods). Results are preliminary and remain subject to final model refinement and peer review.

Montana↗

Global warming and prairie wetlands: potential consequences for waterfowl habitat

The accumulation of greenhouse gasses in the atmosphere is expected to warm the earth's climate at an unprecedented rate (Ramanathan 1988, Schneider 1989). If the climate models are correct, within 100 years the earth will not only be warmer than it has been during the past million years, but the change will have occurred more rapidly than any on record. Many profound changes in the earth's environment are expected, including rising sea level, increasing aridity in continental interiors, and melting permafrost. Ecosystems are expected to respond variously to a rapidly changing climate. Tree ranges in eastern North American are expected to shift northward, and seed dispersal may not be adequate to maintain current diversity (Cohn 1989, Johnson and Webb 1989). In coastal wetlands, rising sea level from melting icecaps and thermal expansion could flood salt-grass marshes and generally reduce the size and productivity of the intertidal zone (Peters and Darling 1985). As yet, little attention has been given to the possible effects of climatic warming on inland prairie wetland ecosystems. These wetlands, located in the glaciated portion of the North American Great Plains (Figure 1), constitute the single most important breeding area for waterfowl on this continent (Hubbard 1988). This region annually produces 50-80% of the continent's total duck production (Batt et al. 1989). These marshes also support a variety of other wildlife, including many species of nongame birds, muskrat, and mink (Kantrud et al. 1989a). Prairie wetlands are relatively shallow, water-holding depressions that vary in size, water permanence, and water chemistry. Permanence types include temporary ponds (typically holding water for a few weeks in the springs), seasonal ponds (holding water from spring until early summer), semipermanent ponds (holding water throughout the growing season during most years), and large permanent lakes (Stewart and Kantrud 1971). Refilling usually occurs in spring from precipitation and runoff from melting snow on frozen or saturated soils (Figure 2). Annual water levels fluctuate widely due to climate variability in the Great Plains (Borchert 1950, Kantrud et al. 1989b). Climate affects the quality of habitat for breeding waterfowl by controlling regional water conditions--water depth, areal extent, and length of wet/dry cycles (Cowardin et al. 1988)--and vegetation patterns such as the cover ration (the ratio of emergent plant cover to open water). With increased levels of atmospheric carbon dioxide, climate models project warmer and, in some cases, drier conditions for the northern Great Plains (Karl et al. 1991, Manabe and Wetherald 1986, Mitchell 1983, Rind and Lebedeff 1984). In general, a warmer, drier climate could lower waterfowl production directly by increasing the frequency of dry basins and indirectly by producing less favorable cover rations (i.e., heavy emergent cover with few or no open-water areas). The possibility of diminished waterfowl production in a greenhouse climate comes at a time when waterfowl numbers have sharply declined for other reasons (Johnson and Shaffer 1987). Breeding habitat continues to be lost or altered by agriculture, grazing, burning, mowing, sedimentation, and drainage (Kantrud et al. 1989b). For example, it has been estimated that 60% of the wetland area in North Dakota has been drained (Tiner 1984). Pesticides entering wetlands from adjacent agricultural fields have been destructive to aquatic invertebrate populations and have significantly lowered duckling survival (Grue et al. 1988). In this article, we discuss current understanding and projections of global warming; review wetland vegetation dynamics to establish the strong relationship among climate, wetland hydrology, vegetation patterns, and waterflow habitat; discuss the potential effects of a greenhouse warming on these relationships; and illustrate the potential effects of climate change on wetland habitat by using a simulation model. The extent to which intensive management of the waterfowl resource will be needed in the future strongly depends on whether a changing climate exacerbates the current problem of waterfowl decline. Should this occur, efforts outlined the recent North American Waterfowl Management Plan between the United States and Canada to reduce the current decline (Patterson and Nelson 1988) may need to be redoubled in coming years.

BioScience↗

Methods for estimating vital rates of greater sage-grouse broods: A review

Biologists use a variety of methods to estimate productivity and resource selection of birds. The effectiveness and suitability of each method depends on the study's objectives, but is also influenced by many important traits, including detection probability, disturbance of focal birds and sampling frequency. We reviewed 504 greater sage-grouse Centrocercus urophasianus papers published from 1990 to 2019 to document the most common brood survey methods used by investigators and summarized if and how they used brood survey data to estimate brood survival and detection probability. Of the 504 papers, 16.1% (n = 81) had useful information relevant to the review. The most common methods included daytime visual surveys (46.9%; n = 38), daytime flush surveys (33.3%; n = 27), nocturnal spotlight surveys (19.8%; n = 16), radio-tagged chicks (16.0%; n = 13), wing surveys (9.9%; n = 8), brood routes (4.9%; n = 4) and pointing dogs (4.9%; n = 4). Fifty-nine of the 81 papers used >1 method, only 2 of the 81 papers measured or reported detection probability, and none reported the level of disturbance caused by the method. Studies varied widely regarding the age of the brood when brood fate was confirmed (x̄ = 44.4 days post-hatch, range 14–84 days). The frequency of brood sampling visits also varied greatly among studies (range = 1.19–3.85 surveys/brood/week) and this variation complicates comparison in fecundity and survival estimates across studies. Furthermore, 35 papers used >1 maternal behavior as purported indicators of brood fate, but none of them documented how accurate their indicators were. Future studies could reduce variance in estimates of sage-grouse fecundity and brood survival by employing empirical methods to estimate detection probability, standardizing brood sampling methods and conducting trials to document the effects of hen or brood capture, handling and flushing on brood survival estimates. Moreover, the accuracy of commonly used indicators of brood fate, including maternal behaviors, flocking behavior and distance moved after flush needs verification.

Wildlife Biology↗

Science-based management of public lands in southern Nevada

Landmark legislation provides guiding principles for land management planning in southern Nevada and the rest of the United States. Such legislation includes, but is not limited to, the Forest Service Organic Administration Act of 1897 (16 U.S>C. 473-478, 479-482 and 551), National Park Service Organic Act of 1916 (U.S.C. Title 16, Secs. 1-4). Wilderness Act 1964 (P.L.88-577), National Environmental Policy Act of 1969 (P.L. 91-190), Endangered Species Act of 1973 (P.L. 91-205), National Forest Management Act of of 1976 (P.L. 94-588), and Federal Land Policy and Management Act of 1976 (P.L. 94-579). The acts establishing congressionally designated areas within southern Nevada, such as Lake Mead National Recreation Area, Spring Mountains National Restoration Area, and Desert National Wildlife Refuge, also contain guidelines for the management of these lands. These documents variously require preservation of natural and cultural resource and wilderness character, protection of species, and prevention of undesirable environmental effects from land management actions. These requirements must be met while allowing for multiple "uses" of certain public lands (e.g. recreation, ranching, resources extraction, renewable energy development, etc.) to the degree that they do no threaten preservation, protection, and prevention goals,. many considerations some into play in the development and implementation for land management plans and actions. The planning process requires a balancing act that sometimes pit one need or priority against another. When priorities can trump other needs can prioritized and receive disproportionate consideration. Overall, the management of public lands is a very complicated and sometime contentious process. Science provides an objective way to help weigh quantifiable information and draw conclusions about the effects of past and potential future land management policies, decisions, and actions. When effectively integrated into adaptive management, science-based information can reduce uncertainties, increase knowledge, and improve decision making. However, the specific science information needed for effective management is often lacking or difficult to access or interpret. Science is typically reported in scientific journals as discrete units describing individual studies with other scientists as the primary audience. Translations of these studies an synthesis or multiple studies into formats that can be readily used in land management planning efforts are often lacking. Identifying and articulating the highest priority science and research needs is one of the primary purposes of the Southern Nevada Agency Partnership (SNAP; http://www.SNAP.gov) Science and Research Team (chapter 1; Turner and others 2009). The SNAP Science and Research Strategy (Strategy) calls for a synthesis report to be written every 5 years summarizing the state of knowledge, information gaps and management implications of scientific information as it relates to the SNAP Strategy goals (Turner and others 2009). This General Technical Report serves as the first SNAP Science and Research Synthesis Report (Synthesis Report) commissioned by the Science and Research Team. The Synthesis Report is mostly based on information form the peer-reviewed scientific literature, and is itself peer reviewed and constitutes a new contribution to the scientific literature. This final chapter addresses Sub-goal 2.3, which is to manage current and future authorized southern Nevada land uses in a manner that balances public need and ecosystem sustainability, and Sub-goal 2.5, which is to promote an effective conservation education and interpretation program to improve the quality of resources and enhance public use and enjoyment of southern Nevada public lands. It summarizes information form the previous chapters on what scientific information is known currently and what remains largely unknown, and it discusses how science can be used to make future management decisions that balances public needs and ecosystem sustainability.

Nevada↗

Postmortem evaluation of reintroduced migratory whooping cranes (Grus americana) in eastern North America

We reviewed necropsy records of 124 Whooping Cranes ( Grus americana ) recovered following reintroduction of 268 individuals from 2001 to 2016 in the eastern US. Causes of death were determined in 62% (77/124) of cases facilitated by active monitoring that limited decomposition and scavenging artifact. The greatest proportions of mortality were caused by predation (0.468; 95% confidence interval 0.356–0.580; 36/77), collision with power lines or vehicles (0.260; 0.162–0.358; 20/77), and gunshot (0.169; 0.085–0.253; 13/77). Six deaths were attributed to infection (0.078; 0.018–0.138; 6/77), including bacterial and fungal etiologies. Lead analysis of 50 liver samples yielded two results with elevated concentrations (3.65 and 10.97 ppm wet weight), and 10 bone samples from partial carcasses lacking suitable liver tissue resulted in one elevated result (48.82 ppm dry weight). These data indicate that underlying subclinical or clinical lead toxicosis may be a factor in up to 5% of deaths attributed to predation or impact trauma. Brain cholinesterase activity testing indicated no exposure to organophosphate or carbamate pesticides (mean±SD=17.32±2.90 µmol/min/g, 31/71). The causes of death and potential underlying factors summarized in this study constitute the first definitive mortality survey of migratory Whooping Cranes based on a high carcass recovery rate. Causes of death by infectious etiologies remained comparatively rare in this study, and occurred as single cases with no evidence of sustained transmission among reintroduced Whooping Cranes.

Eastern North America↗

Environmental fate and effects of the lampricide Bayluscide: A review

Bayluscide is an additive to TFM that increases the effectiveness of TFM as a lampricide. A review of the literature was undertaken to determine the environmental fate and effects of Bayluscide. Niclosamide (2′, 5-dichloro-4′-nitrosalicylanilide), the active ingredient of Bayluscide, degrades rapidly in natural water and sediment systems, however, the rate of degradation is very slow in autoclaved samples. This difference suggests that degradation under laboratory conditions is dependent on microbial activity and hydrolysis plays a minor role in degradation of niclosamide. The major degradation product of niclosamide has been reported to be aminoniclosamide (2′,5-dichloro-4′-aminosalicylanilide), which represented more than 50% of the residues extractable from sediments. Significantly more of the chemical is adsorbed to sediments with higher organic content and at lower pH's. The mobility of niclosamide in soil can be characterized as slight to medium; the estimated leaching distance would range from 0 to > 25 cm depending on the soil type and pH. The active ingredient of Bayluscide (niclosamide) is decomposed by ultra-violet light depending on the intensity and duration of the exposure. The uptake of residues by most invertebrates exposed to 14 C-niclosamide is fairly rapid and equilibrium is reached within 24 h. About 90% of the accumulated residues were lost within 48 h after the organisms were transferred to clean flowing water. As with invertebrates, fish rapidly accumulate and eliminate residues of niclosamide. Three distinct residues were isolated from the extracts of edible fillet tissue; parent niclosamide, the glucuronide conjugate of niclosamide, and the sulfate ester of niclosamide. Aquatic plants and agricultural crops do not appear to be adversely affected at concentrations of Bayluscide used for lamprey or snail control. Mayflies ( Hexagenia sp .). tend to be susceptible to TFM, but are relatively resistant to the effects of exposure to Bayluscide. Bayluscide was originally developed as a molluscicide to eliminate snails. Therefore, it is not surprising that mollusks are extremely sensitive to Bayluscide. Oral, dermal, and ocular administration of Bayluscide to mammals resulted in no clinical signs of systemic toxicity. Tests of the chronic effects of Bayluscide indicated that it is not mutagenic or carcinogenic. Bayluscide is not persistent in the environment; it breaks down in natural water and sediment systems through hydrolysis, photolysis, and microbial degradation. Given the limited use and tight control maintained by the U.S. Fish and Wildlife Service during applications of lampricides, Bayluscide presents minimal risk to human health and safety of the environment.

Conference Paper↗