Geology Reports⌕ Search

SEARCH · Geology Reports

Results for “Predator”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 847 records · Page 47Linked to original sources

Zooplanktivory and nutrient regeneration by invertebrate (Mysis relicta) and vertebrate (Oncorhynchus nerka) planktivores: Implications for trophic interactions in oligotrophic lakes

We investigated zooplanktivory and nutrient regeneration by the opossum shrimp Mysis relicta and kokanee Oncorhynchus nerka to assess the relative roles of these planktivores in oligotrophic food webs. Using bioenergetic models and clearance rate estimates, we quantified phosphorus (P) excretion rates and consumption of cladoceran prey by Mysis and kokanees in Lake Pend Oreille, Idaho, from 1995 to 1996. Consumption of cladoceran prey by Mysis was 186 kg·ha −1 ·year −1 , whereas consumption by kokanees was less than one quarter as much, at 45 kg·ha −1 ·year −1 . Similarly, Mysis excreted approximately 0.250 kg P·ha −1 ·year −1 during nighttime migrations into the upper water column, whereas P excretion by kokanees was less than one third as much, at approximately 0.070 kg P·ha −1 ·year −1 . On a volumetric basis, nocturnal excretion by Mysis ranged from 0.002 to 0.007 μg P·L −1 ·d −1 and accounted for less than 1% of the soluble reactive P typically measured in the upper water column of the lake. Hence, nutrient recycling by Mysis may be limited in the upper water column because of the nocturnal feeding habitats that constrain Mysis to deeper strata for much of the day. In spring and autumn months, low abundance of cladoceran prey coincided with high seasonal energy requirements of the Mysis population that were linked to timing of annual Mysis brood release and abundance of age-0 Mysis. Predation by Mysis accounted for 5–70% of daily cladoceran standing stock, supporting the notion that seasonal availability of cladocerans may be regulated by Mysis predation. In lakes where Mysis experience little predation mortality, they likely play a dominant role in food web interactions (e.g., trophic cascades) relative to planktivorous fishes. Biotic mechanisms, such as successful predator-avoidance behavior, omnivorous feeding habits, and seasonal variation in Mysis biomass, enhance the ability of Mysis to influence food web interactions from an intermediate trophic level.

Idaho↗

Growth, survival, longevity, and population size of the Big Mouth Cave salamander ( Gyrinophilus palleucus necturoides ) from the type locality in Grundy County, Tennessee, USA

Salamander species that live entirely in subterranean habitats have evolved adaptations that allow them to cope with perpetual darkness and limited energy resources. We conducted a 26-month mark–recapture study to better understand the individual growth and demography of a population of the Big Mouth Cave Salamander ( Gyrinophilus palleucus necturoides ). We employed a growth model to estimate growth rates, age at sexual maturity, and longevity, and an open population model to estimate population size, density, detectability, and survival rates. Furthermore, we examined cover use and evidence of potential predation. Individuals probably reach sexual maturity in 3–5 years and live at least nine years. Survival rates were generally high (>75%) but declined during the study. More than 30% of captured salamanders had regenerating tails or tail damage, which presumably represent predation attempts by conspecifics or crayfishes. Most salamanders (>90%) were found under cover (e.g., rocks, trash, decaying plant material). Based on 11 surveys during the study, population size estimates ranged from 21 to 104 individuals in the ca. 710 m 2 study area. Previous surveys indicated that this population experienced a significant decline from the early 1970s through the 1990s, perhaps related to silvicultural and agricultural practices. However, our data suggest that this population has either recovered or stabilized during the past 20 years. Differences in relative abundance between early surveys and our survey could be associated with differences in survey methods or sampling conditions rather than an increase in population size. Regardless, our study demonstrates that this population is larger than previously thought and is in no immediate risk of extirpation, though it does appear to exhibit higher rates of predation than expected for a species believed to be an apex predator of subterranean food webs.

Tennessee↗

Protection benefits desert tortoise ( Gopherus agassizii ) abundance: the influence of three management strategies on a threatened species

We surveyed an area of ∼260 km 2 in the western Mojave Desert to evaluate relationships between condition of Agassiz's Desert Tortoise populations ( Gopherus agassizii ) and habitat on lands that have experienced three different levels of management and protection. We established 240 1-ha plots using random sampling, with 80 plots on each of the three types of managed lands. We conducted surveys in spring 2011 and collected data on live tortoises, shell-skeletal remains, other signs of tortoises, perennial vegetation, predators, and evidence of human use. Throughout the study area and regardless of management area, tortoise abundance was positively associated with one of the more diverse associations of perennial vegetation. The management area with the longest history of protection, a fence, and legal exclusion of livestock and vehicles had significantly more live tortoises and lower death rates than the other two areas. Tortoise presence and abundance in this protected area had no significant positive or negative associations with predators or human-related impacts. In contrast, the management area with a more recent exclusion of livestock, limited vehicular traffic, and with a recent, partial fence had lower tortoise densities and high death rates. Tortoise abundance here was negatively associated with vehicle tracks and positively associated with mammalian predators and debris from firearms. The management area with the least protection—unfenced, with uncontrolled vehicle use, sheep grazing, and high trash counts—also had low tortoise densities and high death rates. Tortoise abundance was negatively associated with sheep grazing and positively associated with trash and mammalian predator scat. cat.

California↗

Daily survival rates for nests of Black Skimmers from a core breeding area of the Southeastern USA

Little is known about the reproductive success of Black Skimmers ( Rynchops niger ) throughout the southeastern USA where availability of undisturbed beaches for nesting is limited. Daily survival rates (DSR) of nests were examined at three nesting sites in Cape Romain National Wildlife Refuge (CRNWR), South Carolina, USA, 2009&ndash;2010. The percent of successful nests ( n = 346 nests) ranged from 42&ndash;69% among colony sites when data were pooled across both years. The DSR of nests was primarily related to colony site, predation risk, height of high tide, and clutch size. Predation and overwash were the principal causes of identifiable nest loss, each accounting for &sim;33% of nest failures during the two study years. Because of the challenges of resighting skimmer chicks, we were not able to measure chick survival effectively and therefore accurate measures of productivity remain elusive. High variability in nest success among sites within close proximity to each other (<20 km) suggests factors at local scales such as disturbance, predation, and overwash events strongly influenced nest success of Black Skimmers during these 2 years as opposed to more region-wide stressors such as tropical storms or food availability. Although time-intensive techniques to control predators do exist, management options to limit flooding and overwash are far more limited. Conservation of Black Skimmers in the southeastern USA would benefit from coordinated, multi-state efforts to measure nest and chick survival.

South Carolina↗

Assemblage organization in stream fishes: Effects of environmental variation and interspecific interactions

We assessed the relative importance of environmental variation, interspecific competition for space, and predator abundance on assemblage structure and microhabitat use in a stream fish assemblage inhabiting Coweeta Creek, North Carolina, USA. Our study encompassed a 10–yr time span (1983–1992) and included some of the highest and lowest flows in the last 58 years. We collected 16 seasonal samples which included data on: (1) habitat availability (total and microhabitat) and microhabitat diversity, (2) assemblage structure (i.e., the number and abundances of species comprising a subset of the community), and (3) microhabitat use and overlap. We classified habitat availability data on the basis of year, season, and hydrologic period. Hydrologic period (i.e., pre–drought [PR], drought [D], and post–drought [PO]) represented the temporal location of a sample with respect to a four–year drought that occurred during the study. Hydrologic period explained a greater amount of variance in habitat availability data than either season or year. Total habitat availability was significantly greater during PO than in PR or D, although microhabitat diversity did not differ among either seasons or hydrologic periods. There were significantly fewer high–flow events (i.e., ≥2.1 m 3 /s) during D than in either PR or PO periods. We observed a total of 16 species during our investigation, and the total number of species was significantly higher in D than in PR samples. Correlation analyses between the number of species present (total and abundant species) and environmental data yielded limited results, although the total number of species was inversely correlated with total habitat availability. A cluster analysis grouped assemblage structure samples by hydrologic period rather than season or year, supporting the contention that variation in annual flow had a strong impact on this assemblage. The drought had little effect on the numerical abundance of benthic species in this assemblage; however, a majority of water–column species increased in abundance. The increased abundances of water–column species may have been related to the decrease in high-flow events observed during the drought. Such high–flow events are known to cause mortality in stream fishes. Microhabitat use data showed that species belonged to one of three microhabitat guilds: benthic, lower water column, and mid water column. In general, species within the same guild did not exhibit statistically distinguishable patterns of microhabitat use, and most significant differences occurred between members of different guilds. However, lower water–column guild species frequentlywere not separable from all members of either benthic or mid–water–column species. Variations in the abundance of potential competitors or predators did not produce strong shifts in microhabitat use by assemblage members. Predators were present in the site in only 9 of 16 seasonal samples and never were abundant (maximum number observed per day was 2). In conclusion, our results demonstrate that variability in both mean and peak flows had a much stronger effect on the structure and use of spatial resources within this assemblage then either interspecific competition for space or predation. Consequently, we suspect that the patterns in both assemblage structure and resource use displayed by fishes in Coweeta Creek arose from the interaction between environmental variation and species–specific evolutionary constraints on behavior, morphology, and physiology.

North Carolina↗

Landscape-scale analyses suggest both nutrient and antipredator advantages to Serengeti herbivore hotspots

Mechanistic explanations of herbivore spatial distribution have focused largely on either resource‐related (bottom‐up) or predation‐related (top‐down) factors. We studied direct and indirect influences on the spatial distributions of Serengeti herbivore hotspots, defined as temporally stable areas inhabited by mixed herds of resident grazers. Remote sensing and variation in landscape features were first used to create a map of the spatial distribution of hotspots, which was tested for accuracy against an independent data set of herbivore observations. Subsequently, we applied structural equation modeling to data on soil fertility and plant quality and quantity across a range of sites. We found that hotspots in Serengeti occur in areas that are relatively flat and located away from rivers, sites where ungulates are less susceptible to predation. Further, hotspots tend to occur in areas where hydrology and rainfall create conditions of relatively low‐standing plant biomass, which, coupled with grazing, increases forage quality while decreasing predation risk. Low‐standing biomass and higher leaf concentrations of N, Na, and Mg were strong direct predictors of hotspot occurrence. Soil fertility had indirect effects on hotspot occurrence by promoting leaf Na and Mg. The results indicate that landscape features contribute in direct and indirect ways to influence the spatial distribution of hotspots and that the best models incorporated both resource‐ and predation‐related factors. Our study highlights the collective and simultaneous role of bottom‐up and top‐down factors in determining ungulate spatial distributions.

Ecology↗

Modeling selenium bioaccumulation through arthropod food webs in San Francisco Bay, California, USA

Trophic transfer is the main process by which upper trophic level wildlife are exposed to selenium. Transfers through lower levels of a predator's food web thus can be instrumental in determining the threat of selenium in an ecosystem. Little is known about Se transfer through pelagic, zooplankton‐based food webs in San Francisco Bay ([SFB], CA, USA), which serve as an energy source for important predators such as striped bass. A dynamic multipathway bioaccumulation model was used to model Se transfer from phytoplankton to pelagic copepods to carnivorous mysids ( Neomysis mercedis ). Uptake rates of dissolved Se, depuration rates, and assimilation efficiencies (AE) for the model were determined for copepods and mysids in the laboratory. Small (73‐250 μm) and large (250‐500 μm) herbivorous zooplankton collected from SFB ( Oithona/Limnoithona and Acartia sp.) assimilated Se with similar efficiencies (41‐52%) from phytoplankton. Mysids assimilated 73% of Se from small herbivorous zooplankton; Se AE was significantly lower (61%) than larger herbivorous zooplankton. Selenium depuration rates were high for both zooplankton and mysids (12‐25% d −1 ), especially compared to bivalves (2‐3% d −1 ). The model predicted steady state Se concentrations in mysids similar to those observed in the field. The predicted concentration range (1.5‐5.4 μg g −1 ) was lower than concentrations of 4.5 to 24 μg g −1 observed in bivalves from the bay. Differences in efflux between mysids and bivalves were the best explanation for the differences in uptake. The results suggest that the risk of selenium toxicity to predators feeding on N. mercedis would be less than the risk to predators feeding on bivalves. Management of selenium contamination should include food webs analyses to focus on the most important exposure pathways identified for a given watershed.

California↗

Interactions between brown bears and chum salmon at McNeil River, Alaska

Predation on returning runs of adult salmon (Oncorhynchus spp.) can have a large influence on their spawning success. At McNeil River State Game Sanctuary (MRSGS), Alaska, brown bears (Ursus arctos) congregate in high numbers annually along the lower McNeil River to prey upon returning adult chum salmon (O. keta). Low chum salmon escapements into McNeil River since the late 1990s have been proposed as a potential factor contributing to concurrent declines in bear numbers. The objective of this study was to determine the extent of bear predation on chum salmon in McNeil River, especially on pre-spawning fish, and use those data to adjust the escapement goal for the river. In 2005 and 2006, 105 chum salmon were radiotagged at the river mouth and tracked to determine cause and location of death. Below the falls, predators consumed 99% of tagged fish, killing 59% of them before they spawned. Subsequently, the escapement goal was nearly doubled to account for this pre-spawning mortality and to ensure enough salmon to sustain both predators and prey. This approach to integrated fish and wildlife management at MRSGS can serve as a model for other systems where current salmon escapement goals may not account for pre-spawning mortality.

Alaska↗

Effects of hunting on survival of American woodcock in the Northeast

Numbers of American woodcock ( Scolopax minor ) males counted on the annual singing ground survey (SGS) have declined over the last 35 years at an average rate of 2.3% per year in the Eastern Region and 1.8% per year in the Central Region. Although hunting was not thought to be a cause of these declines, mortality caused by hunters can be controlled. Furthermore, there has been no research on effects of hunting mortality on woodcock populations at local and regional levels on the breeding grounds. We used radiotelemetry to determine survival rates and causes of mortality for 913 woodcock captured during fall 1997–2000 on 7 areas in Maine, New Hampshire, Pennsylvania, and Vermont, USA. Three of 7 sites were closed to hunting. For all sites and all years combined, 176 woodcock died, and 130 were censored, of which 39 were censored mortalities. Predation was the major ( n = 134, 76%) cause of mortality. Mammals accounted for 56% of the predation, raptors accounted for 25%, and 19% was attributed to unknown predators. On hunted sites, 36% of the total mortality ( n = 102) was caused by hunting, 63% by predation, and 1 bird starved. Kaplan-Meier survival curves did not differ between hunted and non-hunted sites among years ( P = 0.46). Overall, point estimates of survival did not differ ( P = 0.217) between hunted (SR = 0.636, SE = 0.04) and nonhunted sites (SR = 0.661, SE = 0.08). We modeled hazard rates from hunting and natural mortality events using program MARK. Akaike's Information Criterion supported using a model with common constant hazards from both hunting and natural causes for groups of sites. Groupings of sites for hazard rates from natural causes were not influenced by whether a site was hunted or not. Models detected no effects of woodcock age and sex ( P = 0.52) on survival. Proportional hazards models comparing hunted and nonhunted sites found no effects of age and sex ( P = 0.45), interactions of age, sex, capture weight, and bill length ( P ≥ 0.269). Our data suggest that current hunting regulations are not causing lower survival of woodcock.

Maine, New Hampshire, Pennsylvania, Vermont↗

Do ducks and songbirds initiate more nests when the probability of survival is greater?

Nesting chronology in grassland birds can vary by species, locality, and year. The date a nest is initiated can influence the subsequent probability of its survival in some grassland bird species. Because predation is the most significant cause of nest loss in grassland birds, we examined the relation between timing of nesting and nest survival. Periods of high nest survival that correspond with the peak of nesting activity might reflect long-term adaptations to specific predation pressures commonly recurring during certain periods of the nesting cycle. We evaluated this theory by comparing timing of nesting with date-specific nest survival rates for several duck and passerine species breeding in north-central North Dakota during 1998–2003. Nest survival decreased seasonally with date for five of the seven species we studied. We found little evidence to support consistent relations between timing of nesting, the number of nest initiations, and nest survival for any species we studied, suggesting that factors other than nest predation may better explain nesting chronology for these species. The apparent mismatch between date-specific patterns of nest survival and nest initiation underscores uncertainty about the process of avian nest site selection driven mainly by predation. Although timing of nesting differed among species, the general nesting period was fairly predictable across all years of study, suggesting the potential for research activities or management actions to be timed to take advantage of known periods when nests are active (or inactive). However, our results do not support the notion that biologists can take advantage of periods when many nests are active and survival is also high.

North Dakota↗

Grizzly bears and calving caribou: What is the relation with river corridors?

Researchers have debated the effect of the Trans-Alaska Pipeline (TAP) and associated developments to caribou ( Rangifer tarandus ) of the central Arctic herd (CAH) since the 1970s. Several studies have demonstrated that cows and calves of the CAH avoided the TAP corridor because of disturbance associated with the pipeline, whereas others have indicated that female caribou of the CAH avoided riparian habitats closely associated with the pipeline. This avoidance was explained as a predator-avoidance strategy. We investigated the relation between female caribou and grizzly bear ( Ursus arctos ) use of river corridors on the yet undisturbed calving grounds of the Porcupine caribou herd (PCH) in northeastern Alaska. On the coastal plain, caribou were closer to river corridors than expected (P = 0.038), but bear use of river corridors did not differ from expected (P = 0.740). In the foothills, caribou use of river corridors did not differ from expected (P = 0.520), but bears were farther from rivers than expected (P = 0.001). Our results did not suggest an avoidance of river corridors by calving caribou or a propensity for bears to be associated with riparian habitats, presumably for stalking or ambush cover. We propose that PCH caribou reduce the risks of predation to neonates by migrating to a common calving grounds, where predator swamping is the operational antipredator strategy. Consequently, we hypothesize that nutritional demands, not predator avoidance strategies, ultimately regulate habitat use patterns (e.g., use of river corridors) of calving PCH caribou.

Alaska↗

Habitat use by female caribou: Tradeoffs associated with parturition

We compared habitat use, forage characteristics, and group size among preparturient, parturient, and nonparturient female caribou ( Rangifer tarandus ) during and after the birthing season to test hypotheses involving acquisition of forage and risk of predation. We monitored 39 radiocollared females from the Mentasta caribou herd, Alaska, in 1994 and 40 animals in 1995. Group size of females giving birth at higher elevations was smaller ( P < 0.01) than females without young that occurred at lower elevations at peak parturition; that difference did not persist into post parturition ( P > 0.5). During peak parturition, females with young used sites with fewer predators ( P < 0.05), a lower abundance of forage ( P < 0.05), but with variable forage quality compared with those sites used by females without young. We hypothesized that parturient females used birth sites that lowered risk of predation, and traded-off forage abundance for increased safety. Nonetheless, few differences existed between parturient and nonparturient females in composition of diet or in indices of diet quality; we could not demonstrate a nutritional cost to maternal females from our analyses. We suggest that increasing population density might intensify intraspecific competition among females for birth sites, and thereby increase nutritional costs of using high-elevation areas with less forage but fewer predators.

Alaska↗

Roosting behavior of premigratory Dunlins ( Calidris alpina )

We studied roosting behavior of Dunlins ( Calidris alpina ) during late summer along the coast of the Yukon-Kuskokwim Delta, Alaska, in relation to tidal cycle, time of day, time of season, and occurrence of predators. Within Angyoyaravak Bay, peak populations of 70,000-100,000 Dunlins occur each year. The major diurnal roost sites were adjacent to intertidal feeding areas, provided an unobstructed view of predators, and were close to shallow waters used for bathing. At one site studied intensively, roosting flocks formed at high water consistently during the day but rarely at night. On about 75% of the days, Dunlins also came to the roost at dawn and dusk when the tide was low. The size of the roosting flock, the length of time birds spent at the roost site, and behavior at the roost site were highly variable throughout the season and significantly affected by both tide level and time of day. Roosting behavior changed significantly between early and late August, as Dunlins underwent heavy wing and body molt, and began premigratory fattening. The reaction of Dunlins to potential predators, the formation of roosting flocks in response to light cues, and seasonal changes in social behavior at the roost site suggested that communal roosting behavior may be related not only to the risk of predation but also to behavior during migration.

Alaska↗

Efficacy of manipulating reproduction of common ravens to conserve sensitive prey species: Three case studies

Expansion of human enterprise across western North America has resulted in an increase in availability of anthropogenic resource subsidies for generalist species. This has led to increases in generalists’ population numbers across landscapes that were previously less suitable for their current demographic rates. Of particular concern are growing populations of common ravens ( Corvus corax ; ravens), because predation by ravens is linked to population declines of sensitive species. Ecosystem managers seek management options for mitigating the adverse effects of raven predation where unsustainable predator–prey conflicts exist. We present 3 case studies examining how manipulating reproductive success of ravens influences demographic rates of 2 sensitive prey species. Two case studies examine impacts of removing raven nests or oiling raven eggs on nest survival of greater sage-grouse ( Centrocercus urophasianus ; sage-grouse) within Wyoming and the Great Basin of California and Nevada, USA, respectively. The third case study uses Mojave desert tortoise ( Gopherus agassizii ; tortoise) decoys to examine effects of oiling raven eggs on depredation rates of juvenile tortoises in the Mojave Desert in California. Initial trial years from all 3 case studies were consistent in finding improved vital rates associated with the application of strategies for reducing reproductive success of ravens. Specifically, removal of raven nests resulted in increased nest survival of sage-grouse within treatment areas where predation by ravens was the primary cause of nest failure. In addition, nest survival of sage-grouse and survival of juvenile tortoise decoys was higher following a treatment of oiling the eggs of ravens in their nests at 2 sites within the Great Basin and 4 tortoise conservation areas in the Mojave Desert in California. Along with specialized technologies that can make techniques such as egg-oiling more feasible, these findings support these management practices as important tools for managing ravens, especially in areas where breeding ravens have negative impacts on sensitive prey species.

California, Nevada, Wyoming↗

Intraseasonal variation in survival and probable causes of mortality in greater sage-grouse Centrocercus urophasianus

The mortality process is a key component of avian population dynamics, and understanding factors that affect mortality is central to grouse conservation. Populations of greater sage-grouse Centrocercus urophasianus have declined across their range in western North America. We studied cause-specific mortality of radio-marked sage-grouse in Eureka County, Nevada, USA, during two seasons, nesting (2008-2012) and fall (2008-2010), when survival was known to be lower compared to other times of the year. We used known-fate and cumulative incidence function models to estimate weekly survival rates and cumulative risk of cause-specific mortalities, respectively. These methods allowed us to account for temporal variation in sample size and staggered entry of marked individuals into the sample to obtain robust estimates of survival and cause-specific mortality. We monitored 376 individual sage-grouse during the course of our study, and investigated 87 deaths. Predation was the major source of mortality, and accounted for 90% of all mortalities during our study. During the nesting season (1 April - 31 May), the cumulative risk of predation by raptors (0.10; 95% CI: 0.05-0.16) and mammals (0.08; 95% CI: 0.03-013) was relatively equal. In the fall (15 August - 31 October), the cumulative risk of mammal predation was greater (M (mam) = 0.12; 95% CI: 0.04-0.19) than either predation by raptors (M (rap) = 0.05; 95% CI: 0.00-0.10) or hunting harvest (M (hunt) = 0.02; 95% CI: 0.0-0.06). During both seasons, we observed relatively few additional sources of mortality (e.g. collision) and observed no evidence of disease-related mortality (e.g. West Nile Virus). In general, we found little evidence for intraseasonal temporal variation in survival, suggesting that the nesting and fall seasons represent biologically meaningful time intervals with respect to sage-grouse survival.

Nevada↗

Mortality and survival of white-tailed deer Odocoileus virginianus fawns on a north Atlantic coastal island

Mortality and survival of white-tailed deer Odocoileus virginianus fawns (N = 29) were studied from birth to one year of age during 1991–95 on Mount Desert Island (MDI), Maine, where deer hunting is prohibited, coyotes Canis latrans have become recently established, and protected U.S. National Park lands are interspersed with private property. The rate of predator-caused mortality was 0.52, with coyote predation (N = 8) accounting for at least 47% of mortalities from all causes (N = 17). Mortality rate from drowning was 0.24 (N = 3), and from vehicles 0.14 (N = 3). For fawns radio-collared as neonates, 10 of 14 mortalities occurred during the first two months of life. Annual rate of fawn survival was 0.26. Survival rate from six months to one year was 0.65 and four mortalities (two predation, two drowning) were observed during this interval. A subgroup of fawns (N = 11) captured near a residential area and along the periphery of a coyote territory had a higher rate of survival to one year of age (S = 0.67) than did fawns from all other areas (N = 18, S = 0.00). Recruitment to one year of age was lower than that observed in other deer populations in the northeastern United States. Low recruitment associated with coyote predation and mortality sources associated with humans appears to be limiting white-tailed deer populations in some segments of this insular landscape.

Maine↗

The Ecology of Parasite-Host Interactions at Montezuma Well National Monument, Arizona - Appreciating the Importance of Parasites

Although parasites play important ecological roles through the direct interactions they have with their hosts, historically that fact has been underappreciated. Today, scientists have a growing appreciation of the scope of such impacts. Parasites have been reported to dominate food webs, alter predator-prey relationships, act as ecosystem engineers, and alter community structure. In spite of this growing awareness in the scientific community, parasites are still often neglected in the consideration of the management and conservation of resources and ecosystems. Given that at least half of the organisms on earth are probably parasitic, it should be evident that the ecological functions of parasites warrant greater attention. In this report, we explore different aspects of parasite-host relationships found at a desert spring pond within Montezuma Well National Monument, Arizona. In three separate but related chapters, we explore interactions between a novel amphipod host and two parasites. First, we identify how host behavior responds to this association and how this association affects interactions with both invertebrate non-host predators and a vertebrate host predator. Second, we look at the human dimension, investigating how human recreation can indirectly affect patterns of disease by altering patterns of vertebrate host space use. Finally - because parasites and diseases are of increasing importance in the management of wildlife species, especially those that are imperiled or of management concern - the third chapter argues that research would benefit from increased attention to the statistical analysis of wildlife disease studies. This report also explores issues of statistical parasitology, providing information that may better inform those designing research projects and analyzing data from studies of wildlife disease. In investigating the nature of parasite-host interactions, the role that relationships play in ecological communities, and how human activities alter these associations, scientists usually make inferences by methods of statistical hypotheses testing. This type of hypothesis testing places additional importance on the analysis and interpretation of parasite-host interactions. We address these ideas in this report, focusing on the following questions: (1) How do two parasites with complex life cycles alter the behavior of a novel amphipod host, and how do host and non-host predators respond to infected amphipod prey? (2) Does human recreation affect spatial patterns of infection in an otherwise natural ecosystem? (3) How is hypothesis-testing applied in studies of wildlife disease? (4) What conclusions can we make about the relative usefulness of these methodologies? and (5) How can the analysis and interpretation of wildlife disease studies be improved? Each chapter of this report contains its own literature-cited section, with tables included in appendixes at the end of the full report.

Open-File Report↗

Risk assessment for the reintroduction of anadromous salmonids upstream of Chief Joseph and Grand Coulee Dams, Northeastern Washington

The Upper Columbia United Tribes (UCUT; Spokane, Colville, Kootenai, Coeur d’Alene, and Kalispel Tribes) and Washington Department of Fish and Wildlife want to reintroduce anadromous salmonids to their historical range to restore ecosystem function and lost cultural and spiritual relationships in the upper Columbia River, northeastern Washington. The UCUT contracted with the U.S. Geological Survey to assess risks to resident taxa (existing fish populations in the reintroduction area upstream of Chief Joseph and Grand Coulee Dams) and reintroduced salmon associated with reintroduction. We developed a risk assessment framework for reintroduction of anadromous salmonids upstream of Chief Joseph and Grand Coulee Dams. To accomplish this goal, we applied strategies identified in previous risk assessment frameworks for reintroduction. The risk assessment is an initial step towards an anadromous reintroduction strategy. An initial list of potential donor sources for reintroduction species was developed from previous published sources for Chinook Salmon ( Oncorhynchus tshawytscha ) donors in the Transboundary Reach of the Columbia River, British Columbia; an ecological risk assessment of upper Columbia River hatchery programs on non-target taxa of concern; and a review of existing hatchery programs During two workshops, we further identified and ranked potential donor sources of anadromous Redband Trout (steelhead; O. mykiss ), Chinook Salmon, Sockeye Salmon ( O. nerka ), and Coho Salmon ( O. kisutch ). We also identified resident fish populations of interest and their primary habitat, location, status, and pathogen concerns to determine the potential risks of reintroduction. Species were deemed of interest based on resource management and potential interactions (that is, genetics, competition, and predation) with introduced species. We developed tables of potential donors by species and characterized potential sources (hatchery and natural origins), populations (individual runs), broodstock management and history, and potential constraints (that is, Endangered Species Act [ESA] listing, Evolutionarily Significant Unit concerns, pathogens, and availability). During the workshops, a group of regional fisheries and topic experts subjectively ranked the relative risks of pathogens, genetic effects, predation, and competition to resident fish and reintroduced salmonids. We assessed the pathogen risk of each potential donor for introducing new pathogens and the increased burden to existing pathogens for resident species upstream of the dams. We considered genetic risks to resident and downstream conspecifics and ecological impacts, including competition for food and space, predator-prey interactions, and ecosystem benefits/impacts. Each reintroduced species donor source was ranked based on abundance/viability (demographic risk to source and feasibility of collection), ancestral/genetic similarity (evolutionary similarity to historical populations), local adaptation (geographic proximity/similarity of source conditions to reintroduction conditions), and life history compatibility (including migration; spawn timing; and relative usage of reservoir, main-stem, or tributary habitats) with environmental conditions in the reintroduction area. We synthesized this information by species for all potential donors, in which an overall score and ranking system was established for decision support in donor selection for reintroduction into the upper Columbia River. We also provided information outside the ranking process by: Identifying predator-prey interactions and competition for food and space among species, Developing a decision support framework for donor selection, and Providing decision support for reintroduction strategies.

Washington↗